As at June 30, 2011, the interests and short positions of the following persons, other than directors and chief executive of the Company, in the shares, underlying shares and debentures of the Company which have been disclosed to the Company pursuant to Divisions 2 and 3 of Part XV of the SFO have been recorded in the register kept by the Company pursuant to section 336 of the SFO:

Name Total
interests
in shares
(L/S/LP)*
Approximate
aggregate
percentage
of interests
Capital Research and Management Company (1)
FMR LLC (2)
JPMorgan Chase & Co. (3)


Hang Seng Bank Trustee International Limited(4)
145,857,000 (L)
143,763,000 (L)
160,444,028 (L)
9,450,000 (S)
135,858,028 (LP)
96,517,000 (L)
9.08% (L)
8.95% (L)
9.98% (L)
0.59% (S)
8.45% (LP)
6.01% (L)

* (L/S/LP) represents (Long position/Short position/Lending Pool)

Notes:

(1)

The following is a breakdown of the interests in the shares in the Company held by Capital Research and Management Company:

  Total interests in shares
Name Remarks Direct
Interests
(L/S) Deemed
interests
(L/S)
Approximate
percentage
of interests
Capital Research and Management Company (1a) 145,857,000 (L) 9.08%

Remarks:

(1a) The capacity of Capital Research and Management Company in holding the 145,857,000 shares of long position was as investment manager. Its 100% controlling shareholder is The Capital Group Companies, Inc.
(2)
The following is a breakdown of the interests in the shares in the Company held by FMR LLC:
  Total interests in shares
Name Remarks Direct
interests
(L/S) Deemed
interests
(L/S) Approximate
percentage
of interests
FMR LLC (2a) 143,763,000 (L) 8.95%
Fidelity Management & Research Company (2b) 117,933,500 (L) 7.34%
Fidelity Management Trust Company,
Pyramis Global Advisors LLC
(2b) 25,829,500 (L) 1.61%

Remarks:

(2a) The capacity of FMR LLC in holding the 143,763,000 shares of long position was as investment manager.
(2b) Fidelity Management & Research Company and Fidelity Management Trust Company, Pyramis Global Advisors LLC were all indirect owned by FMR LLC and by virtue of the SFO, FMR LLC was deemed to be interested in the shares held by these subsidiaries.
(3)
The following is a breakdown of the interests in the shares in the Company held by JPMorgan Chase & Co.:
  Total interests in shares
Name Remarks Direct interests (L/S) Deemed
interests
(L/S/LP) Approximate percentage of interests
JPMorgan Chase & Co. (3a)



160,444,028
9,450,000
135,858,028
(L)
(S)
(LP)
9.98%
0.59%
8.45%
JPMorgan Chase Bank, N.A. (3b) 135,858,028
(L)
8,466,000
8,450,000
(L)
(S)
8.98%
0.53%
J.P. Morgan Securities Ltd. (3b) 7,950,000
7,950,000
(L)
(S)


0.49%
0.49%
J.P. Morgan Chase International Holdings (3b)

7,950,000
7,950,000
(L)
(S)
0.49%
0.49%
J.P. Morgan Chase (UK) Holdings Limited (3b)

7,950,000
7,950,000
(L)
(S)
0.49%
0.49%
J.P. Morgan Capital Holdings Limited (3b)

7,950,000
7,950,000
(L)
(S)
0.49%
0.49%
J.P. Morgan International Finance Limited (3b)

7,966,000
7,950,000
(L)
(S)
0.50%
0.49%
Bank One International Holdings Corporation (3b)

7,966,000
7,950,000
(L)
(S)
0.50%
0.49%
J.P. Morgan International Inc. (3b)

7,966,000
7,950,000
(L)
(S)
0.50%
0.49%
JF Asset Management Limited (3b) 14,015,000 (L) 0.87%
JPMorgan Asset Management (Asia) Inc. (3b) 15,120,000 (L) 0.94%
JPMorgan Asset Management Holdings Inc. (3b) 15,120,000 (L) 0.94%
J.P. Morgan Whitefriars Inc. (3b) 16,000 (L) 0.00%
J.P. Morgan Overseas Capital Corporation (3b) 16,000 (L) 0.00%
JF International Management Inc. (3b) 1,105,000 (L) 0.07%
J.P. Morgan Markets Limitd (3b) 1,000,000
1,000,000
(L)
(S)


0.06%
0.06%
Bear Stearns Holdings Limited (3b)

1,000,000
1,000,000
(L)
(S)
0.06%
0.06%
Bear Stearns UK Holdings Limited (3b)

1,000,000
1,000,000
(L)
(S)
0.06%
0.06%
The Bear Stearns Companies LLC (3b)

1,000,000
1,000,000
(L)
(S)
0.06%
0.06%
JPMorgan Chase Bank, N.A. – London Branch (3b) 500,000
500,000
(L)
(S)


0.03%
0.03%

Remarks:

(3a) JPMorgan Chase & Co. is listed on New York Stock Exchange.
The capacity of JPMorgan Chase & Co. in holding the 160,444,028 shares of long position, 9,450,000 shares of short position and 135,858,028 shares of lending pool respectively was as controlled corporation.
(3b) JPMorgan Chase Bank, N.A., J.P. Morgan Securities Ltd., J.P. Morgan Chase International Holdings, J.P. Morgan Chase (UK) Holdings Limited, J.P. Morgan Capital Holdings Limited, J.P. Morgan International Finance Limited, Bank One International Holdings Corporation, J.P. Morgan International Inc., JF Asset Management Limited, JPMorgan Asset Management (Asia) Inc., JPMorgan Asset Management Holdings Inc., J.P. Morgan Whitefriars Inc., J.P. Morgan Overseas Capital Corporation, JF International Management Inc., J.P. Morgan Markets Limited, Bear Stearns Holdings Limited, Bear Stearns UK Holdings Limited, The Bear Stearns Companies LLC and JPMorgan Chase Bank, N.A. – London Branch were all direct or indirect owned by JPMorgan Chase & Co. and by virtue of the SFO, JPMorgan Chase & Co. was deemed to be interested in the shares held by these subsidiaries.
(4)
The following is a breakdown of the interests in the shares in the Company held by Hang Seng Bank Trustee International Limited:
  Total interests in shares
Name Remarks Direct interests (L/S) Deemed
interests
(L/S) Approximate percentage
of interests
Hang Seng Bank Trustee International Limited (4a) 96,517,000 (L) 6.01%
Cheah Company Limited (4b) 96,517,000 (L) 6.01%
Cheah Capital Management Limited (4b) 96,517,000 (L) 6.01%
Value Partners Group Limited (4b) 96,517,000 (L) 6.01%
Value Partners Limited (4b) 96,517,000 (L) 6.01%

Remarks:

(4a) The capacity of Hang Seng Bank Trustee International Limited in holding the 96,517,000 shares of long position was as Trustee (other than bare trustee).
(4b) Cheah Company Limited, Cheah Capital Management Limited, Value Partners Group Limited and Value Partners Limited were all direct or indirect owned by Hang Seng Bank Trustee International Limited and by virtue of the SFO, Hang Seng Bank Trustee International Limited was deemed to be interested in the shares held by these subsidiaries.

Save as disclosed, no other person was interested in or had a short position in the shares, underlying shares and debentures of the Company which would fall to be disclosed to the Company under Divisions 2 and 3 of the Part XV of the SFO as at June 30, 2011.