Quote | Super Quote
Announcement DateDescendingCodeNameFinancial YearParticularEx-date DateBook Closed DatePayable Date
27/09/202401025KNT HOLDING-NEW2025/03Consolidation 20 into 131/10/2024----
27/09/202402999KNT HOLDING-OLD2025/03Consolidation 20 into 131/10/2024----
27/09/202408079WISDOMCOME GP2025/03Consolidation 20 into 129/11/2024----
26/09/202400053GUOCO GROUP2024/06Fin Div HKD 2.719/11/202421/11/2024
to
--
03/12/2024
26/09/202400188SUNWAH KINGSWAY2024/06Fin Div HKD 0.01, with scrip option02/12/202404/12/2024
to
06/12/2024
23/01/2025
26/09/202400900AEON CREDIT2025/02Int Div HKD 0.2410/10/202415/10/2024
to
16/10/2024
31/10/2024
26/09/202401529YUES INTL H-NEW2024/12Consolidation 10 into 108/11/2024----
26/09/202402293BAMBOOSHEALTH2024/06Fin Div HKD 0.02503/12/202405/12/2024
to
09/12/2024
18/12/2024
26/09/202402680INNOVAX H-NEW2025/02Rts 1 for 2 consolidated shs @HKD 0.628/10/202430/10/2024
to
05/11/2024
06/12/2024
26/09/202402680INNOVAX H-NEW2025/02Consolidation 10 into 125/10/2024----
26/09/202402904YUES INTL HLDG2024/12Consolidation 10 into 108/11/2024----
26/09/202402998INNOVAX H-OLD2025/02Rts 1 for 2 consolidated shs @HKD 0.628/10/202430/10/2024
to
05/11/2024
06/12/2024
26/09/202402998INNOVAX H-OLD2025/02Consolidation 10 into 125/10/2024----
26/09/202406066CSC2024/12Int Div RMB 0.09 or HKD 0.09807/11/202409/11/2024
to
14/11/2024
27/12/2024
26/09/202408482WAN LEADER2025/03Consolidation 20 into 1 (Not approved)------
25/09/202400122CROCODILE-NEW2024/12Consolidation 20 into 101/11/2024----
25/09/202400659NWS HOLDINGS2024/06Fin Div HKD 0.3526/11/202428/11/2024
to
--
18/12/2024
25/09/202400686BJ ENERGY I-NEW2024/12Consolidation 10 into 101/11/2024----
25/09/202400722UMP2024/06Fin Div HKD 0.0210/12/202412/12/2024
to
13/12/2024
10/01/2025
25/09/202401104APAC RESOURCES2024/06Fin Div HKD 0.121/11/202425/11/2024
to
28/11/2024
16/12/2024
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