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Dominion Finance Group Limited (In Receivership)
A receiver appointed to Dominion Finance Group Limited will use this page to keep investors updated as appropriate.
Updates:
16 November 2018 - Further to our previous communications the eighth and final distribution to secured investors was made on 15 November. This was paid by either direct credit or cheque. If investors have not received the distribution by 28 November they should contact John Yelverton at john@financeservices.co.nz.
We will be retiring as receivers very soon. As this is the final receivership distribution it is particularly important that cheques are deposited promptly. Cheques not deposited promptly may be assumed to be unclaimed money and could ultimately be transferred to the Unclaimed Money Fund. In most cases investors should be able to apply for the return of their entitlement subject to providing satisfactory proof but this will not be as straightforward as depositing cheques promptly.
- Receiver's Final Report - 13 December 2018
- Receiver’s Twenty-First Report - 9 September 2018
- Receiver’s Twentieth Report - 9 March 2018
- Receiver’s Nineteenth Report - 9 September 2017
- Investors Update Report - 6 November 2017
- Investors Update Report - 20 March 2017
- Receiver’s Eighteenth Report - 9 March 2017
4 November 2016 - Some Dominion investors have, as yet, not banked their distribution cheques. We have sent letters to those impacted investors today as attached. If you receive the letter, could you please look into this as soon as possible and respond direct to Greg Pearce.
- Receiver’s Seventeenth Report - 9 September 2016
- Investors Update Report - 22 July 2016
- Receiver's Sixteenth Report - 9 March 2016
- October 2015 – Consistent with our last update report to secured investors, the seventh distribution was made to all secured investors on 9 October 2015. Payments were made by direct credit or cheque. If investors have not received the distribution by 20 October they should call Greg Pearce using the contact details below. Also if any investors have not yet deposited earlier distribution cheques they should do so now as the receivership is drawing to close. If the cheques are stale (older than 6 months) please contact Greg and we can re-issue them
- Receiver's Fifteenth Report - 9 September 2015
- Investors Update Report - 24 July 2015
- Investors’ Update Report - 16 March 2015
- Receiver’s Fourteenth Report - 9 March 2015
- Receiver's Thirteenth Report - 9 September 2014
- Receiver’s Twelfth Report - 9 March 2014
- Letter to investors - 18 December 2013
- Advertisement of Application for Retirement and Appointment of Trustee - 2 December 2013
- Receiver's Eleventh report - 9 September 2013
- Receiver's Tenth report - 9 March 2013
Covers issues in the receivership for the period between 10 September 2012 and 9 March 2013. - Letter to investors - 29 November 2012
This letter provides investors with an update on the receivership. - Receiver's Ninth report - 9 September 2012
Covers issues in the receivership for the period between 10 March 2012 and 9 September 2012. - Receiver's Eighth report - 9 March 2012
Covers issues in the receivership for the period between 10 September 2011 and 9 March 2012. - Letter to investors - 15 December 2011
This letter provides investors with an update on the receivership. - Receiver's Seventh report - 9 September 2011
Covers issues in the receivership for the period between 10 March 2011 and 9 September 2011. - Receiver's Sixth report - 9 March 2011
Covers issues in the receivership for the period between 10 September 2010 and 9 March 2011. - Letter to investors - 17 December 2010
This letter provides investors with an update on the receivership. - Receiver's Fifth report - 9 September 2010
Covers issues in the receivership for the period between 10 March 2010 and 9 September 2010. - Receiver's Fourth report - 9 March 2010
Covers issues in the receivership for the period between 10 September 2009 and 9 March 2010. - Letter to investors - 26 April 2010
This letter provides investors with an update on the receivership. - Letter to investors - 27 November 2009
This letter provides investors with an update on the receivership. - Receiver's Third report - 9 September 2009
Covers issues in the receivership for the period between 9 March 2009 and 9 September 2009. - Letter to investors - 7 April 2009
This letter provides investors with an update on the conduct of the receivership, updates previous advice regarding distributions and reports on the potential for other recoveries. - Receiver's Second report - 9 March 2009
Covers issues in the receivership up to 9 March 2009. - Letter to investors - 2 December 2008
This letter provides investors with a brief update from Perpetual Trust. - Letter to investors - 28 November 2008
This letter provides investors with an update on the conduct of the receivership and an estimated outcome. - Receiver's First report - 9 November 2008
Covers background information and includes an overview of the process and estimated timetable for reporting an initial estimate of outcome. - Letter to investors - 3 October 2008
Covers the role of the receiver and includes further FAQs about the receivership - Letter to investors - 26 September 2008
Covers the role of Perpetual Trust as Trustee and their decision to appoint a receiver - Media release from Perpetual Trust - 9 September 2008
Covers the background circumstances leading up to the appointment
Please note:
For any queries, please contact John Yelverton at john@financeservices.co.nz.