On Jul 6, 2016, at 7:59 AM, Perry Kuo wrote:
Dear Mikeon桑, Joe桑,
收到Tesco Securities Litigation回覆.
請參考.
Regards
Perry
Dear Perry,
Thank you for your email.
This is to confirm that we have received your updates and submitted them for processing. We will contact you if additional information is required.
We cannot provide exact calculations until we have a completed claim on file for you, as your specific loss depends on when you purchased or sold your shares. Your share of a particular Net Settlement Fund will also depend on the number of Class Members filing claims for that Class, how many damaged shares were acquired during the applicable Class Period, the aggregate Recognized Claims for that Class, and when you acquired and sold your shares.
By following the Distribution Plan (which can be found in the Notice), you can calculate your “Recognized Claim.” Note that the Recognized Claim is the amount that will be used to proportionally allocate the Net Settlement Funds. It is NOT an estimate of the amount that you may be paid. Please review the Notice for more details.
Very Truly Yours,
Dave C.
Tesco PLC Securities Litigation
Claims Administrator
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