SHAREHOLDER ID
USER NAME
NAME
RANKING - (0)
JOIN DATE
REGISTER RECEIPT PRINT
EXPIRY DATE 1 YEAR
MY PREMIER TRUST PRIVATE TRUST DEED
OMNIBUS
CONTRACT REMAINING DAYS  DAY
RESTRICTED COMMON SHARES 0
UPGRADE REMAINING DAYS 90DAYS
ACCUMULATE DEVELOPMENT BNS. 0 (01 JAN > 30 JUNE)
NEWS

RCP BONUS/ ACTIVITY FUND, SHOPPING POINTS (SP) FOR SP2SHARES

Dear member,

Good news. We have a few options for RCP Bonus. Kindly find the details as below.

OPTION 1: RCP BONUS WITHDRAWALS

From 12th July 2017 to 31st July 2017, you may make a RCP Bonus withdraw with a minimum of USD50.

OPTION 2: CONVERT RCP BONUS TO SHOPPING POINTS (SP) BEFORE 1/8/17

Entitled for an extra 20% Shopping Points (SP).

OPTION 3: SYSTEM CONVERT RCP BONUS TO SHOPPING POINTS (SP) AUTOMATICALLY ON 1/8/17

Entitled for an extra 10% Shopping Points (SP)

OPTIONS 4: ACTIVITY FUND (AF) CONVERT TO SHOPPING POINTS (SP)

From 20th July 2017 to 31st July 2017, you may convert Activity Fund (AF) to Shopping Points (SP).

 

SP2SHARES (SP to purchase shares)

Validity of purchase from 20th July, 2017 to 31st October 2017.

SP2SHARES calculations:

SP150 = 100 UNITS OF SHARES.

MINIMUM PURCHASE OF 100 UNITS.

*Purchase of SP2SHARES shall be done via member login. 

Lastly, all RCP Bonus withdrawals will be revert back to the member’s accounts by 20th July 2017, for you to have this opportunity to grab this special offer of SP2SHARES!!!!!! 

 

Thank you.

Marketing Department

                                                                                                                                                                                                     

亲爱的会员,

借此带给您好消息。现您可以选择不同的方式使用您的RCP奖金。请看以下:

选项1:RCP奖金提现

从2017年7月12日至2017年7月31日,您可以申请提现,最低数额为50美金。

选项2:201781日前把RCP奖金转换成购物分(SP)

您可额外获得20%购物分 ( SP )

选项3:201781日系统将自动把RCP 奖金转换成购物分 ( SP )

您可额外获得10%购物分 ( SP )

选项4:AF转换成购物分(SP)

从2017年7月20日至31日,您可以把AF转换成购物分(SP)

 

SP2SHARES (以SP购买股权)

有效日期从2017年7月20日至2017年10月31日。

SP2SHARES计算方式:

每150SP可购买100单位的股权。

最低购买数量为100单位。

*SP2SHARES交易可于会员区内进行。

 

最后,之前所有RCP奖金提现申请将于2017年 7月20日内退还给会员个别账户。您可借此机会享有SP2SHARES的优惠。

 

谢谢

市场部

7/18/2017 11:38:47 PM

Withdrawal or Conversion of RCP Bonus / RCP 奖金提现或转换

From 12th July 2017 to 31st July 2017, you may make a withdraw (min USD50) or conversion with an extra 20% Shopping Points (SP) via online login.

From 1st August 2017 the system will automatically convert all RPC Bonus to Shopping Points (SP) with extra 10% SP. 

Thank you. 

 

从2017年7月12至2017年7月31,您可以自行登入账号提现(最低价值50美金)或者转换为购物分(SP),凡转换为购物分者可额外获得20%购物分(SP)。

另外,从2017年8月1日开始,系统将把所有为提现或转换为购物分的余额自动转换为购物分,同时也可额外获得10%购物分(SP) 。

谢谢。

7/10/2017 12:45:54 PM

Expiry Date of Shopping Points (SP) / 购物分 ( SP ) 逾期

Date: 1st June 2017

RE: Expiry Date of Shopping Points (SP)
1. Shopping Points (SP) accumulated from RCP
i. The redemption deadline of Shopping Points (SP) accumulated before 1/7/17 is on 31/10/17.

2. Shopping Points (SP) accumulated from bonuses
i. The redemption deadline of Shopping Points (SP) accumulated before 1/7/17 is on 31/10/17.
ii. Accumulation of Shopping Points (SP) after 1/7/17 can be continue until further notice.

Thank you,
Marketing dept.




日期:2017 年6 月1 日

主题:购物分 ( SP ) 逾期
1. 从每日回馈累积的购物分 (SP)
i. 1/7/17 前累积的购物分 (SP) 兑换截止日期为31/10/17。

2. 从奖金累积的购物分 (SP)
i. 1/7/17 前累积的购物分 (SP) 兑换截止日期为31/10/17。
ii. 1/7/17 之后从奖金累积的购物分 (SP) 可继续累积到另行通知。

谢谢,
Marketing dept.

6/1/2017 11:18:48 AM

MPT SELLING PROCEDURES / MPT 私人信托股权售卖程序 

Click here      MPT Selling Procedures 

Click here      MPT 私人信托股权售卖程序 
5/25/2017 6:26:00 PM

TERMINATION OF RCP BONUS / 终止 RCP

Dear members,

In conjunction with the changes of marketing strategy on 1st January 2017, the company hereby informed that RCP Bonus will no longer be available with effective from 1st July, 2017.

Currently, GMCI is listed in OTC (Over-The-Counter) Market, GMCI is well on its plan to be listed in the NASDAQ Composite Index by year 2017/2018.

 

Thank you for your continuous support.

The Management 

 

亲爱的会员,您好。

随着2017年1月1日营销策略的变化,公司特此通知,RCP奖金将从2017年7月1日起不再生效。

目前,GMCI在OTC场外市场上市,并计划于2017/2018年转板致纳斯达克综合指数上市。

感谢您的长期支持。

 

管理层敬上

4/4/2017 9:57:42 PM

US Broker

Click here      Account opening 1.0 - ETC Individual and Joint - 開戶申請 - NON-US INVESTORS
Click here      Account opening 2.2 ETC Individual and Joint Domestic Cash Acc – US INVESTORS

MEMO


Date:   19/10/2016 
To:       All Marketing Agency Of GMCI Corporation
CC :     GMCI Management Team 
 
Subject : US Broker (Glendale Securities & Key West Investment)
 
Dear All,
We are pleased to inform that an additional broker is ready to assist our investor for share depositing.  
Kindly inform your clients and they need to contact the broker directly.
 
Glendale Securities Details as per below:
PIC: Andy Huang
Email: ahuang@glendalesecurities.com
Broker: Glendale Securities  

Accounts opening: 
Please find the attached for our new account application forms (2.2 is for US investors and 1.0 is for non-US investors), complete its entirety, sign where is necessary and attach a copy of your ID and proof of your residential address.  

Please provide the ticker symbol, quantity, and original source of the securities which you plan to deposit with us. 
 
Key West Investment Details as per below:
PIC: Jason Adams
Email : jason@keywestinvestments.com
Broker: Key West Investment 
 
For ALL stock certificate deposits we need the following:
 
Copy of the front and back of the stock certificate(s) Supporting documentation as to HOW the shares were acquired (ie. Signed subscription agreement, consulting agreement, etc.) Proof of consideration given in exchange for the shares (ie. Copy of a check or bank statement showing the check or wire cleared).
 
We would also need new account paperwork completed by each shareholder that would like to establish an account. In addition, a photo I.D. (ie. Passport) would be required as well as proof of physical residence (ie. Utility bill). 
 
GMCI Corporation is acting an introductory role to refer brokers to our fellow business partners.  All charges are payable to the brokers directly.  The investor has the right to refuse the said broker or seek alternative brokers by themselves.  Of course they can wait for the opportunity to trade electronically when GMCI stock move to Nasdaq Capital. 
 
Thank you.
GMCI Corporation 

12/13/2016 11:07:06 PM

FREE TRUST ACCOUNT

Click here      Memo Free Trust Account

日期     : 201611月1日

         : 所以股东

         : INFINITY 集团

主题     : 免费私人信托账户

 

参阅上述事宜, 我们谨通知凡购买以下配套:

1) 6,000美金配套或以下可获得一次性免费的OMNIBUS 信托账户。
2) 12,000美金配套或以上可获得一次性免费的私人信托账户。(重复消费可累计于同一个私人信托账户)。
以上的免费信托账户只可一次性使用,您可把重复消费的股权寄存在同一个信托账户内。

 

谢谢您的合作与支持。

 

INFINITY集团启

___________________________________________________________________________________________________________________

 

Date       : 1st November 2016

To          : All Shareholders

From      : INFINITY Holdings

Sub         : Free Private and Omnibus Trust

 

In reference to the above matter, we would like to inform all shareholders who have purchased one of the following packages of:
1) Package USD 6,000 and below entitles you to a FREE Omnibus Trust (claimable for ONE time use only).
2) Package USD 12,000 and above entitles you to a FREE Private Trust (claimable one time only may add more packages).
The above FREE trust can be claimed and used one time only, regardless of how many packages you have purchased. However, for the Private Trust you have the option of adding more packages into 1 (one) Private Trust account.

 

Thank you for your cooperation and support.

 

Yours sincerely,

INFINITY HOLDINGS

11/4/2016 10:57:55 AM

MEMO TP2SHARES

         : 所有股东

         : GMCI Infinity Sdn Bhd

日期     : 20161028

主题     : TP2SHARES 5%交易手续费和提交文件

 

参阅上述事宜,所有已进行TP2Shares交易并尚未支付5%交易手续费和提交认购协议书的股东,我们谨通知2016117日是缴付交易手续费和提交文件的截止日期。任何于2016117日之后仍无缴付和进行文件提交者,您的TP2Shares交易将被视作为无效。之后,我们将取消所有交易并退还所有TP到您的账户。

 

***TP2shares交易。所有5%交易手续费和认购协议书必须在最迟2016117日缴付和提交*

 

感谢您的合作与支持。

 

谢谢。

谨启,

GMCI Infinity Sdn Bhd

管理员

___________________________________________________________________________________________________________________

 

To           : All Shareholders

From      : GMCI Infinity Sdn Bhd

Date       : 28th October 2016

RE          : TP2SHARES 5% Transaction Fee and Submission

 

In reference to the above matter, we would like to inform all shareholders, who purchased TP2shares and are yet to pay the 5% transaction fee and the submission of the subscription agreement, that the 7th November 2016 is the last day for payment and submission.  Anyone who fails to pay and submit after 7th November 2016, your transactions for TP2shares will be regarded as void.  Thereafter, we will cancel all the transactions and return all your TP back to your account.

 

***TP2shares purchased.  All 5% transaction fee and subscription agreement must be submitted by 7th November 2016 at the latest*

 

Thank you for your cooperation and support.

 

Thank you.

Yours sincerely,

GMCI Infinity Sdn Bhd

Admin

10/28/2016 6:07:45 PM

Date of Subscription Agreement

           :GMCI 

           :GMCI Infinity有限公司代表GMCI

日期        :10/10/2016

回复        :股权认购协议书日期

 

上述事,我通知所有股,股权认购协议书所填写的日期和将认购协议书交到GMCI Infinity的提交日期限必是在14天以内。如果您的认购协议书日期和提交致GMCI的提交日并非在14天限期内的,无您的认购协议书所填写的日期更早的日期,也都将视为提交。因此,都将不接受您的提交申

 

例如:

2016915日把全部协议书提交GMCI Infinity有限公司。

认购协议书日期必不能填写201691日之前的日期。

 

衷心建所有股尽早提交所有股权认购协议书、申或相关明文件,以避免在封间发生不必要的

 

谢谢您的合作。

 

诚挚的,

GMCI Infinity 有限公司

代表于GMCI 

 

 

To           : All Shareholders

From      : GMCI Infinity Sdn Bhd on behalf of GMCI Corporation

Date       : 14th October 2016

RE          : Date of Subscription Agreement

 

Refer to the above matter, we would like to inform all shareholders that the submission of Subscription AgreementDate stated must be within 14 (fourteen) days on your submission to GMCI Infinitys office. This also applies even if your purchase date is much earlier, but GMCI Corporation will not be accepting any applications due to late submission or incomplete/inaccurate documents.

 

Example: 
15th September 2016 = submit all agreements to 
GMCI Infinity Sdn Bhd,

Subscription Agreement date must not be earlier than 1st September 2016.

 

We are encourage all shareholders to submit all agreements, forms or supporting documents in timely fashion as to avoid any dispute during the non-tradeable period.

 

Thank you.

Yours sincerely,

GMCI Infinity Sdn Bhd

On behalf of GMCI Corporation.

 

10/25/2016 12:27:17 AM

GMCI MPT APPLICATION (MY PREMIER TRUST FORMS)

Click here      Supersede the Interim Certs from the Original
                          (MPT – Date of non-tradeable period)
Click here      GMCI Private Trust Deed
Click here      GMCI Subscription Agreement

MY PREMIER PRIVATE TRUST
  1. GMCI Private Trust Deed
  2. GMCI Subscription Agreement
  3. Supporting Documents
    • applicant's ID / Passport
    • applicant's proof of address *no later than 3 months
    • beneficiary's ID / Passport


MY PREMIER OMNIBUS
  1. GMCI Subscription Agreement
  2. Supporting Documents
    • applicant's ID / Passport
    • applicant's proof of address *no later than 3 months

 

9/28/2016 12:17:38 AM

Office Relocation

Dear shareholders,
Kindly be informed that our office has relocated to new address as below:
Address: G-07, Menara K1, Lorong 3/137C, Off Jalan Kelang Lama, 58000 Kuala Lumpur.
Contact no.: +603 7772 5571
Operation hours: 10am – 7pm (Monday – Friday)
Please feel free to visit us. Thank you and hope to see you soon.
 
Regards,
The Management of Infinity Holdings
 
亲爱的股东,您好。
为了让大家享用更好的设施和舒适的洽谈空间,办公室的吉隆坡已经搬迁到新的地址。
地址:G-07, Menara K1, Lorong 3/137C, Off Jalan Kelang Lama, 58000 Kuala Lumpur.
联系电话:+603 7772 5571
客服邮箱:cs@v3network.com
营运时间:上午10点至下午7点(星期一至星期五)
欢迎参观。谢谢。
 
INFINITY集团管理层启
7/18/2016 6:16:00 PM

update for today/ 今天最新消息

Good day to all, 

GMCI Shares - USD 1,000 value package will end on next Friday,15 July 2016!

 

Thank you,

Infinity Marketing dept.

 

大家好,

GMCI股票-1,000美金配套将于下星期五(7月15日)结束!

谢谢。

INFINITY 市场部

7/4/2016 10:48:52 PM

Important Notice: GMCI Member Platform Login Privacy/ 重要信息:GMCI会员系统登入隐私

Dear shareholder,

Please ensure your GMCI Member Platform login details (including password) are always secured.

You are advised to change the login password regularly and don't share the password to anyone.

It is prohibited to login to other people's account, regardless of members or agents, or it will subject to membership termination and up to report to police due to invasion of privacy.

Thank you,
Infinity Marketing dept.

 

亲爱的股东,

重要信息:GMCI会员系统登入隐私

请确认您的GMCI会员系统登入资料(包括密码)随时保持隐私安全。

我们建议您时常更换登入密码并不与他人分享您的密码。

不管是会员还是代理人员,任何人都严禁登入他人账号;否则将会终止会员身份并以侵犯私隐为由向警方备案。

谢谢。

INFINITY 市场部

7/4/2016 10:41:48 PM

PROCEDURES OF SELLING GMCI CORPORATION SHARES – MPT CERTIFICATE

Dear shareholders, 
Please find the procedures of selling as follow: 

1) MPT will be acting as the market maker and will appoint US Brokers to handle the disposal of shares to the OTC market.

2) All certificates will be required to be send to MPT, who in turn will provide a “Letter of Opinion” to convert the restricted shares to free trading shares.

(Note: This process will take up to 15 working days. Upon conversion, the shareholders will need to request for their trading shares to be deposited to the broker, in order to enable them to place the order.)

The certificate needs to be sent to MPT at least one (1) month prior.

(The latest placement can be made by sending the certificate to MPT at least 1 month prior to the official expiry date.)

(i) Required Documents:

  • Original Certificate

  • Shareholders Restricted Share Returning Letter (may download from DOWNLOAD column) 

(ii) To be send to:

MY PREMIER TRUSTEE (MALAYSIA) BERHAD

Add: 21-9, Office Suites, Menara 1MK, Kompleks 1 Mont’ KiaraNo.1, Jalan Kiara, Mont’ Kiara, 50480 Kuala Lumpur

Tel: +603-62062626/ 62062121

Fax: +603-62062672

3) When the Shareholders would like to dispose their shares, they have to contact MPT via email or phone call. MPT will perform verification procedures prior to placing the selling orders as per the request of the shareholders at the required dispose units and price.

4) The disposal units and price will be placed to the US Brokers for queuing at the OTC markets. 

5) After the placement, a similar mechanism to that of the normal main board trading, will take effect.

6) Upon completion of the ‘selling’, the resulting proceeds will be deposited back to the owner’s trust account by MPT.

We wish to hereby inform that during the course of the “buy” and “sell” transactions that these events are merely between the shareholders and the brokers.  GMCI, as the company, will not be liable to any cost or losses incurred. Any expenses incurred such as brokerage fee, courier fees or banking fees are to be bared in full by the shareholders.

 

Thank you.

 

GMCI INFINITY SDN BHD
on behalf of GMCI CORPORATION

 

*If there should be any changes or amendments to this process flow, GMCI Corporation will issue a revise memo.

6/30/2016 10:07:05 PM

PROCEDURES OF SELLING GMCI CORPORATION SHARES – US SHARES CERTIFICATE

Dear shareholders,
Kindly find the procedures of shares selling as follow:

1) The certificate needs to be send to GMCI at least one (1) month prior.
  (The latest placement can be made by sending the certificate to GMCI at least 1 month prior to the official expiry date.)

  1. Required documents:

  • Original Certificate

  • Shareholders Restricted Share Returning Letter (may download from DOWNLOAD column)

  1. To be send to:

GMCI INFINITY SDN BHD,

Attention to: Administrative/ Processing Department

Add: G-07, Menara K1, Lorong 3/137C, Off Jalan Kelang Lama, 58000 Kuala Lumpur, Malaysia.

2) All certificates sent to us, will be required to be send to GMCI Corporation’s US Attorney W. Scott, who in turn will provide a “Letter of Opinion” to convert the restricted shares to free trading shares. (Note: This process will take up to 15 working days. Upon conversion, the shareholders will need to request their trading shares to be deposited to the broker, in order to enable them to place the order.)

3) Upon such, the shareholders can contact the respective brokers recommended by the US Attorney, W. Scott, and place their free trading shares for trading at the OTC market. (Note: GMCI Corporation will provide brokers details via another memo)

4) Upon successful trading transactions, where a buyer is willing to buy at the opted price from the shareholders via the brokers, the brokers will arrange to wire the funds either via online transfer or cheque back to the respective shareholders. (Note: Brokers will request banking details from shareholders, once shareholders decided to deposit it with via the broker)

5) Please provide a proof of payment of the shares, such as the bank-in slips during the submission. The proof of payment should have a copy from the marketing arm. The proof of payment is a document required by the brokers in order to accept the trading shares.

We wish to hereby inform that during the course of the “buy” and “sell” transactions that these events are merely between the shareholders and the brokers.  GMCI, as the company, will not be liable to any cost or losses incurred. Any expenses incurred such as brokerage fee, courier fees or banking fees are to be bared in full by the shareholders.


Thank you.

 

GMCI INFINITY SDN BHD
on behalf of GMCI CORPORATION

** If there should be any changes or amendments to this process flow, GMCI Corporation will issue a revised memo.

6/30/2016 10:02:34 PM

VIETNAM SHAREHOLDER PAYMENT INSTRUCTION Việt Nam hoặc các khoản thanh toán

The company hereby confirm that all collection or payment for GMCI Shares Equity required shall be deposited to the below bank account:
Beneficiary Bank : TECHCOMBANK
Bank Address : 14B Ky Dong, Phuong 9, Dist 3, Ho Chi Minh City
Beneficiary Name : CT TNHH TƯ VẤN ĐẦU TƯ GMCI VIỆT NAM
Bank Account No. : 191-304-2338-9399 

GMCI Vietnam Investment Consulting Limited will be responsible to TT all payment to My Premier Trustee Account.

 

Bằng cách này Công ty hướng dẫn đến các Cổ đông của Việt Nam hoặc các khoản thanh toán cho Vốn Cổ Phần GMCI Việt Nam yêu cầu gửi vào tài khoản ngân hàng dưới đây:
Ngân hàng thụ hưởng : TECHCOMBANK
Địa chỉ ngân hang : 14B Kỳ Đồng, phường 9, quận 3, thành phố Hồ Chí Minh
Tên thụ hưởng : CT TNHH TƯ VẤN ĐẦU TƯ GMCI VIỆT NAM
Số tài khoản ngân hang : 191 - 304 - 2338 - 9399 

Trách nhiệm của Công ty TNHH Tư vấn Đầu Tư GMCI Việt Nam sẽ quản lý việc thanh toán để chuyển vào tài khoản My Premier Trustee.

 

6/27/2016 8:56:04 PM

Bulgaria Project Issue / 保加利亚计划

Dear all investors/ shareholders/ members of Infinity Holdings,

In regards to Bulgaria, investment partnership with Bulgaria development company Sky Ventures Group Pte. Ltd, after careful evaluation on due diligence by board of directors of GMCI Corporation & Infinity Holdings, we are hereby to announce the decision of not pursuing any further with Bulgaria investment partnership development company Sky Ventures Group Pte. Ltd, effective immediately.

For more enquiries, please contact our administration office at 603 6206 1814.

From the Management of Infinity Holdings

 

各位股东、会员,您们好。
经过尽职调查,关于GMCI集团和INFINITY集团与保加利亚Sky Ventures集团的产业开发合作计划已被搁置,即日生效。
如有任何疑问,请联系公司电话603 6206 1814。

INFINITY 集团管理层启

6/3/2016 10:40:08 PM

Good News / 好消息

Shares Price Remain

Due to overwhelming response, the company decided to extend the selling period of USD 0.70/unit until 31st May, 2016. 
Thanks for your support. 

股价保持

由于反应热烈,公司现决定延长每股0.70美金的股价销售期至2016年 5月31日。
感谢大家的支持。

5/1/2016 10:17:43 AM

重要通告

为了使股权证书申请程序更清晰而且速度可以更有效率,填写申请表格的范本已经上载于公司文件下载库内,请查阅并根据范文内的指示填妥表格。
请中国籍股东在填写MPT信托服务以及股权认购合约时,填写英文地址。您可以点击 www.9181.cn/addt.asp 链接,此链接为专业中文地址翻译成英文地址网站,然后输入您的中文地址,点击《开始翻译》即可。
谢谢。

3/25/2016 4:19:45 PM

Launch of GMCI E-Mall

Good News! 
We are delighted to announce the launch of our online shopping website on 15th March, 2016 (Tuesday). 
With just a few clicks and you can enjoy your shopping with us at anytime and anywhere. 
Thank you for your loyal support. 

好消息!
我们很高兴地宣布,在2016年3月15日(星期二)推出我们的在线购物网站。
轻而易举地,您便可以随时随地享受您的购物。
谢谢您的忠诚支持。

3/10/2016 1:23:29 AM

Change of account/member’s name 修改账户/会员名字

Kindly be informed that change of account/member’s name is not allowed. Any changes shall incurred a fee of USD 300 net. 
Thank you for your cooperation. 

会员不得随意申请修改账户名字。任何的修改将被扣除美金300元为修改费用。
谢谢您的合作。

 

1/30/2016 12:56:17 PM

NEW PACKAGE OF 2016 / 2016年全新配套

​随着GMCI CORP 集团的逐步壮大,拓展的市场业绩以及持续壮大集团净资产值,实现了公司对于股东的承诺,有条不紊的迈向升级至纳斯达克主板(NASDAQ CAPITAL) 的雄伟目标。作为集团委任全球股权分销平台,我司 (GMCI INFININY公司) 也始终坚持公司初创办时的使命与远景,让每一位投资者除了能有效理财及倍增财富外,也能享受更多的福利。

近日,我司已完成电子商城 (G-mall) 的开发,经董事局以及各大领导的协商后皆非常认可并一致通过开通G-mall予众股东们。此外,我司也将推出《Consume and rebate program (C&R)》《C&R 消费回扣活动》因此,我司于2016年1月23日起,将进行几处调整,务必让所有股东最大利益化。调整处为以下几项:

a) 于2016年1月23日01:00分起成功申请成为股东者,将于隔日开始,每日享受C&R消费回扣活动,直到GMCI CORP转板至纳斯达克主板(NASDAQ CAPITAL) 为止。

 i)6000美金每日将获取0.04%
 ii)12000美金每日将获取0.05%
 iii)36000美金每日将获取0.06%​​
 iv)60000美金每日将获取0.07%
 v)120000美金每日将获取0.08%

b)每日所获取的C&R回扣,

    80%将转为回赎积分Redeem Cash Point (RCP);
    10%将转为购物积分Shopping Point (SP);
    10%将转为活动基金Activity Fund (AF)

**备注:
1: RCP可选择直接提现,最低提现金额为200RCP,唯提现将含10%手续费。
2: RCP可转换成SP,并获取额外10%SP。

c) 于2016年1月22日23:59分后,交易平台(Trade center)将停止交易。原持有交易单位(Trade units)的股东,我司将按照原有价值,转换成购物积分(Shopping point),届时股东可选择于G-mall消费或按每股0.50美元换取限制普通股权。

d)新配套启动后,所有奖金将以BV值计算,详情请与您推荐人联系。

e)所有动态奖金将按以下分类:

    80%将转为Cash Point (CP);
    10%将转为购物积分Shopping Point (SP);
    10%将转为活动基金Activity Fund (AF)

**备注:
1: CP可选择直接提现,最低提现金额为300CP,不含额外手续费。
2: CP可转换成SP,并获取额外10%SP。

感谢所有股东于一直以来给予公司的支持与配合。公司希望携手所有股东一起共创辉煌!

谢谢大家!

GMCI INFINITY管理层

1/23/2016 12:38:05 PM

Launch of new package / 新配套推出

GMCI Infinity hereby informed that the existing packages was fully sold. In order to accommodate the market’s development and to achieve higher profit, the company is now launching a new package for year 2016. For further information, please contact your introducer. 

Thank you. 

Regards,
GMCI Infinity, Marketing Department

 

在此预通知GMCI INFINITY 目前的配套已售完。为了配合市场发展得以获得更高的利润,在这全新的2016年公司已推出最新配套。有关新配套详情,请向您的推荐人查询。

谢谢。

GMCI Infinity 市场部启

1/23/2016 12:32:07 AM

NEW BANKING INFOMATION / 新银行账号

Kindly refer below for the banking information:

Banking account information:
NAME OF ACCOU
NT: MY PREMIER - GMCI INF TRUST A/C
BANK NAME: MAYBANK ISLAMIC BERHAD
BANK ACCOUNT NUMBER:
5640 1662 5871
BANK ADDRESS: Menara Maybank, 100, Jalan Tun Perak, 50050 Kuala Lumpur, Malaysia            
SWIFT CODE: MBBEMYKL

公司银行賬號信息如下:
銀行賬號明細:
賬號名字:MY PREMIER – GMCI INF TRUST A/C
銀行名字:MAYBANK ISLAMIC BERHAD
銀行賬號:5640 1662 5871
銀行地址:Menara Maybank, 100, Jalan Tun Perak, 50050 Kuala Lumpur, Malaysia.
SWIFT代碼:MBBEMYKL

12/22/2015 1:46:28 PM

Procedures of Share Certificate Application / 權證書申請程序

Dear Investors,
In order to expedite the shares certificate application, all applications forms shall be completely filled and duly signed by applicant before submitting to the company, any incomplete forms will not be attended. 
Application requirements:
1.    GMCI PRIVATE TRUST DEED FORM – 2 original copies
2.    STOCK PURCHASE AGREEMENT – 3 original copies
3.    Supporting documents – 2 copies for each of below:
For Malaysian: 

  • Identity Card of Applicant;
  • Address proof (Utilities bill, Bank/ Insurance statement etc.);
  • Identity Card of Beneficiary/(s).

For non-Malaysian:

  • Passport of Applicant;
  • Address proof (Utilities bill, Bank/ Insurance statement etc.);
  • Passport of Beneficiary/(s).

The above will take effective from December 21, 2015. Your kind cooperation is much appreciated. Thank you. 

Regards,
Management of GMCI Infinity

親愛的股東,您好。
爲了使股權證書申請速度加快,從2015年12月21日起,所有的的申請者必須自行填寫及簽字后才遞交給公司處理,如有任何不完整的表格恕不受理。
申請要求:
1.    认购GMCI股份之私人信托契约表格 – 2 份原件
2.    股權購買協議 – 3份原件
3.    辅助文件 
– 2 份原件
馬來西亞籍: 

  • 申請者身份證; 
  • 住址證明(水電單/銀行或保險結單等);
  • 受益人身份證。

非馬來西亞籍: 

  • 申請者護照; 
  • 住址證明(水電單/銀行或保險結單等);
  • 受益人護照。

感謝您的合作。謝謝
GMCI管理層啓

12/18/2015 11:10:22 PM

NOTICE: ADJUSTMENT OF GMCI INFINITY’S SHAREHOLDERS TRADING PLATFORM

NOTICE: ADJUSTMENT OF GMCI INFINITY’S SHAREHOLDERS TRADING PLATFORM

In order to promote and encourage our shareholders to trade actively in our free trading platform, we are now upgrading and adjusting it partially. Its upgrading and adjustment action will not affect the existing TU transaction, shareholders may trade as usual. The new trading system shall be effective from 27th November, 2015. Adjustment as follows:

1. System will wash down the waitlisted TU (trading unit) at 23:59:59 PM of every Friday, and shall resume at 00:15:00 AM on Saturday. 

2. Saturday and Sunday will be a non-trading day.

3. The system will re-open for trading at 00:15:00 AM on every Monday; shareholders may login to the member section to resubmit the trades.

The adjustment plays a catalytic role that will facilitate the market development of our shareholders. All existing and new shareholders shall be able to trade transparent and fairly; meanwhile new shareholders will have the opportunity to trade as soon as possible. 

Thank you.

GMCI INFINITY, MARKETING DIVISON

 

GMCI INFINITY股东专区交易平台调整通告

为了更好推动及鼓励GMCI股东关注以及积极的操作我司所提供的免费交易平台,我司将进行系统升级以及局部性调整。此升级以及调整并不影响目前的TU交易,股东们仍然可如常交易。调整后,我司将于2015年11月27日起,正式启用新交易系统。调整细节如下:

1. 于每周五晚上23:59:59pm,系统将会清洗所有挂卖中的TU(交易单位),并于每周六凌晨00:15am,将TU返回股东专区的交易平台。

2. 每逢周六以及周日属非交易日。

3. 每周一凌晨00:15am,交易系统将重新开放交易,股东可登入股东专区的交易平台重新手动挂单。

此调整将有利于发展市场的股东起推动性作用,新旧股东取得透明及公平交易机会,新股东也将有机会更快的将TU挂单交易出去。

谢谢

GMCI INFINITY市场部启

 

11/23/2015 12:26:06 AM

SEC status for acquisition / SEC 并购程序

致GMCI CORP股东:

鉴于GMCI CORP于近期对Junior Apparel Enterprise Sdn. Bhd. (SUBZERO) 以及ICloud Forest Incorporated进行并购,在提交并购文件予SEC(美国证劵交易委员会)时资料不齐全,因此,GMCI CORP需要整理SEC所要求有关以上两家公司的完整文件并重新提交予SEC。在此期间,各大财经平台将暂时于网站提醒大众有关GMCI CORP的资料不完整事宜,此提示属SEC正常程序。请各位股东耐心的等候。

谢谢!

GMCI INFINITY市场部

 

Dear all GMCI Corp shareholders,

Due to the incomplete documents submitted to U.S. Securities and Exchange Commission (SEC) status for recent acquisitions of Junior Apparel Enterprise Sdn. Bhd. (SUBZERO) and ICloud Forest Incorporated, therefore it is a normal procedure where the public information from the financials platform will show an alert of incomplete documents. Your patience is much appreciated.

Thank you.

 

Regards,

GMCI Infinity, Marketing Division

 

 

 

11/11/2015 8:18:33 PM

Agreement Fee / 合约费

For your attention:

All share certificates shall only be processed after full payment made.
The fee structure is as follows:
1. Fee of USD 950.00 for package worth USD 30,000.00 or below.
2. Fee of USD 1650.00 for package worth USD 30,000.01 and above.

Thank you.
From the Management of GMCI Infinity
_________________________________________________________

请注意:

所有的股东必须在缴交合约费后律师才会为您处理股权证。
合约费的计算如下:
1. 购买30,000美金或以下的配套,合约费为950美金。
2. 购买30,001美金和以上的配套,合约费为1,650美金。

谢谢。
GMCI Infinity管理层启

9/20/2015 9:39:38 PM

GMCI系统启示

系统帐户登入时间将会于(GMT +8 北京时间) 凌晨03:00分至晚间23:59分为系统运作时间。 集团系统将会规定在于每日00:00时将会启动系统维护状态。为3小时期限。 每日凌晨03:00am 将恢复运作。 如有带来不便,敬请见谅。 GMCI 系统技术部 启 2015年6月25日 6/25/2015 12:02:03 AM

GMCI

WELCOME TO GMCI-INFINITY GROUP. 6/23/2015 8:15:01 AM