Announcement Date
Code
Name
Financial Year
Particular
Ex-date
Book Closed Date
Payable Date
Announcement Date
2025/03/25
Code
00289
Name
WING ON CO
Financial Year
2024/12
Particular
Fin Div HKD 0.53
Ex-date
2025/06/19
Book Closed Date
2025/06/23
to
2025/06/27
Payable Date
2025/07/14
Announcement Date
2025/03/14
Code
01083
Name
TG SMART ENERGY
Financial Year
2024/12
Particular
Fin Div HKD 0.16, with scrip option
Ex-date
2025/06/02
Book Closed Date
2025/06/04
to
2025/06/06
Payable Date
2025/07/14
Announcement Date
2025/03/14
Code
01083
Name
TG SMART ENERGY
Financial Year
2024/12
Particular
Sp Div HKD 0.03, with scrip option
Ex-date
2025/06/02
Book Closed Date
2025/06/04
to
2025/06/06
Payable Date
2025/07/14
Announcement Date
2025/03/26
Code
01258
Name
CHINFMINING
Financial Year
2024/12
Particular
Fin Div USD 0.042893 or HKD 0.336697
Ex-date
2025/06/30
Book Closed Date
2025/07/03
to
--
Payable Date
2025/07/14
Announcement Date
2025/03/20
Code
01362
Name
SIS MOBILE
Financial Year
2024/12
Particular
Fin Div HKD 0.015
Ex-date
2025/06/30
Book Closed Date
2025/07/03
to
2025/07/04
Payable Date
2025/07/14
Announcement Date
2025/03/28
Code
01710
Name
TRIO IND ELEC
Financial Year
2024/12
Particular
Fin Div HKD 0.012
Ex-date
2025/06/23
Book Closed Date
2025/06/25
to
2025/06/27
Payable Date
2025/07/14
Announcement Date
2025/03/21
Code
01979
Name
TEN PAO GROUP
Financial Year
2024/12
Particular
Fin Div HKD 0.06
Ex-date
2025/06/23
Book Closed Date
2025/06/25
to
2025/06/27
Payable Date
2025/07/14
Announcement Date
2025/03/24
Code
02096
Name
SIMCERE PHARMA
Financial Year
2024/12
Particular
Fin Div RMB 0.16 or HKD 0.1748
Ex-date
2025/06/18
Book Closed Date
2025/06/20
to
2025/06/24
Payable Date
2025/07/14
Announcement Date
2025/03/28
Code
02209
Name
YESASIA HLDGS
Financial Year
2024/12
Particular
Fin Div HKD 0.075
Ex-date
2025/06/25
Book Closed Date
2025/06/27
to
2025/07/03
Payable Date
2025/07/14
Announcement Date
2025/03/28
Code
02355
Name
BAOYE GROUP
Financial Year
2024/12
Particular
Fin Div RMB 0.12 or HKD 0.13
Ex-date
2025/06/18
Book Closed Date
2025/06/20
to
2025/06/24
Payable Date
2025/07/14
Announcement Date
2025/03/24
Code
02507
Name
CIRRUS
Financial Year
2024/12
Particular
Fin Div USD 0.1 or HKD 0.782
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
2025/06/30
Payable Date
2025/07/14
Announcement Date
2025/03/26
Code
03320
Name
CHINARES PHARMA
Financial Year
2024/12
Particular
Fin Div RMB 0.052 or HKD 0.056
Ex-date
2025/05/28
Book Closed Date
2025/05/30
to
2025/06/02
Payable Date
2025/07/14
Announcement Date
2025/03/26
Code
03877
Name
CSSC SHIPPING
Financial Year
2024/12
Particular
Fin Div HKD 0.104
Ex-date
2025/07/02
Book Closed Date
2025/07/04
to
2025/07/08
Payable Date
2025/07/14
Announcement Date
2025/06/13
Code
00032
Name
CROSS-HAR(HOLD)
Financial Year
2025/12
Particular
1st Int Div HKD 0.06
Ex-date
2025/06/26
Book Closed Date
2025/06/30
to
2025/07/03
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
00107
Name
SICHUAN EXPRESS
Financial Year
2024/12
Particular
Fin Div RMB 0.29 or HKD 0.315341
Ex-date
2025/06/04
Book Closed Date
2025/06/06
to
2025/06/12
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
00168
Name
TSINGTAO BREW
Financial Year
2024/12
Particular
Fin Div RMB 2.2 or HKD 2.38
Ex-date
2025/05/23
Book Closed Date
2025/05/27
to
2025/05/30
Payable Date
2025/07/11
Announcement Date
2025/03/26
Code
00554
Name
HANS GP HLDGS
Financial Year
2024/12
Particular
Fin Div HKD 0.015, with scrip option
Ex-date
2025/05/26
Book Closed Date
2025/05/28
to
2025/05/30
Payable Date
2025/07/11
Announcement Date
2025/03/31
Code
00623
Name
SINOMEDIA
Financial Year
2024/12
Particular
Fin Div RMB 0.1016 or HKD 0.11
Ex-date
2025/06/16
Book Closed Date
2025/06/18
to
2025/06/20
Payable Date
2025/07/11
Announcement Date
2025/03/31
Code
00623
Name
SINOMEDIA
Financial Year
2024/12
Particular
Sp Div RMB 0.2216 or HKD 0.24
Ex-date
2025/06/16
Book Closed Date
2025/06/18
to
2025/06/20
Payable Date
2025/07/11
Announcement Date
2025/03/27
Code
00686
Name
BJ ENERGY INTL
Financial Year
2024/12
Particular
Fin Div RMB 0.092 or HKD 0.1
Ex-date
2025/06/20
Book Closed Date
2025/06/24
to
2025/06/26
Payable Date
2025/07/11
Announcement Date
2025/03/31
Code
00826
Name
TIANGONG INT'L
Financial Year
2024/12
Particular
Fin Div RMB 0.0263 or HKD 0.0288
Ex-date
2025/06/27
Book Closed Date
2025/07/02
to
2025/07/04
Payable Date
2025/07/11
Announcement Date
2025/03/27
Code
00842
Name
LEOCH INT'L
Financial Year
2024/12
Particular
Fin Div HKD 0.07
Ex-date
2025/05/29
Book Closed Date
2025/06/02
to
2025/06/04
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
00881
Name
ZHONGSHENG HLDG
Financial Year
2024/12
Particular
Fin Div RMB 0.634 or HKD 0.678
Ex-date
2025/06/25
Book Closed Date
2025/06/27
to
2025/07/02
Payable Date
2025/07/11
Announcement Date
2025/03/27
Code
00883
Name
CNOOC
Financial Year
2024/12
Particular
Fin Div HKD 0.66
Ex-date
2025/06/12
Book Closed Date
2025/06/16
to
2025/06/20
Payable Date
2025/07/11
Announcement Date
2025/03/21
Code
01065
Name
TIANJIN CAPITAL
Financial Year
2024/12
Particular
Fin Div RMB 0.17 or HKD 0.185402
Ex-date
2025/05/29
Book Closed Date
2025/06/02
to
2025/06/04
Payable Date
2025/07/11
Announcement Date
2025/03/26
Code
01066
Name
WEIGAO GROUP
Financial Year
2024/12
Particular
Fin Div RMB 0.1235 or HKD 0.1344
Ex-date
2025/06/02
Book Closed Date
2025/06/04
to
2025/06/10
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
01171
Name
YANKUANG ENERGY
Financial Year
2024/12
Particular
Fin Div RMB 0.54 or HKD 0.5886
Ex-date
2025/06/05
Book Closed Date
2025/06/09
to
2025/06/17
Payable Date
2025/07/11
Announcement Date
2025/03/26
Code
01513
Name
LIVZON PHARMA
Financial Year
2024/12
Particular
Fin Div RMB 1.1 or HKD 1.198758
Ex-date
2025/06/13
Book Closed Date
2025/06/17
to
--
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
01866
Name
CHINA XLX FERT
Financial Year
2024/12
Particular
Fin Div RMB 0.26 or HKD 0.2748
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
2025/06/27
Payable Date
2025/07/11
Announcement Date
2025/03/27
Code
02039
Name
CIMC
Financial Year
2024/12
Particular
Fin Div RMB 0.176 or HKD 0.191
Ex-date
2025/05/30
Book Closed Date
2025/06/03
to
2025/06/06
Payable Date
2025/07/11
Announcement Date
2025/03/31
Code
02273
Name
GUSHENGTANG
Financial Year
2024/12
Particular
Fin Div HKD 0.41
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
2025/06/30
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
02289
Name
CHARMACY PHAR
Financial Year
2024/12
Particular
Fin Div RMB 0.45 or HKD 0.48895
Ex-date
2025/05/26
Book Closed Date
2025/05/28
to
2025/06/04
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
02555
Name
CHABAIDAO
Financial Year
2024/12
Particular
Fin Div RMB 0.2 or HKD 0.217537
Ex-date
2025/05/26
Book Closed Date
2025/05/28
to
2025/05/30
Payable Date
2025/07/11
Announcement Date
2025/03/21
Code
03311
Name
CHINA STATE CON
Financial Year
2024/12
Particular
Fin Div HKD 0.285
Ex-date
2025/06/19
Book Closed Date
2025/06/23
to
--
Payable Date
2025/07/11
Announcement Date
2025/03/27
Code
03347
Name
TIGERMED
Financial Year
2024/12
Particular
Fin Div RMB 0.3 or HKD 0.3245
Ex-date
2025/06/12
Book Closed Date
2025/06/16
to
2025/06/19
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
03363
Name
ZHENGYE INT'L
Financial Year
2024/12
Particular
Fin Div RMB 0.02 or HKD 0.022
Ex-date
2025/06/25
Book Closed Date
2025/06/27
to
2025/07/02
Payable Date
2025/07/11
Announcement Date
2025/03/28
Code
06830
Name
HUAZHONG IN-V
Financial Year
2024/12
Particular
Fin Div RMB 0.002826 or HKD 0.003062
Ex-date
2025/06/09
Book Closed Date
2025/06/11
to
2025/06/13
Payable Date
2025/07/11
Announcement Date
2025/03/26
Code
06989
Name
EXCELLENCE CM
Financial Year
2024/12
Particular
Fin Div RMB 0.058 or HKD 0.0628
Ex-date
2025/06/13
Book Closed Date
2025/06/17
to
2025/06/20
Payable Date
2025/07/11
Announcement Date
2025/03/27
Code
80883
Name
CNOOC-R
Financial Year
2024/12
Particular
Fin Div HKD 0.66
Ex-date
2025/06/12
Book Closed Date
2025/06/16
to
2025/06/20
Payable Date
2025/07/11
Announcement Date
2025/03/18
Code
00071
Name
MIRAMAR HOTEL
Financial Year
2024/12
Particular
Fin Div HKD 0.3
Ex-date
2025/06/09
Book Closed Date
2025/06/11
to
2025/06/17
Payable Date
2025/07/10
Announcement Date
2025/03/31
Code
00144
Name
CHINA MER PORT
Financial Year
2024/12
Particular
Fin Div HKD 0.636
Ex-date
2025/06/05
Book Closed Date
2025/06/09
to
--
Payable Date
2025/07/10
Announcement Date
2025/02/18
Code
00164
Name
CHINA BAOLI TEC
Financial Year
2026/03
Particular
Rts 4 for 1 @HKD 0.4
Ex-date
2025/04/22
Book Closed Date
2025/04/24
to
2025/04/30
Payable Date
2025/07/10
Announcement Date
2025/03/27
Code
00189
Name
DONGYUE GROUP
Financial Year
2024/12
Particular
Fin Div HKD 0.1
Ex-date
2025/06/10
Book Closed Date
2025/06/12
to
2025/06/16
Payable Date
2025/07/10
Announcement Date
2025/03/21
Code
00675
Name
K & P INT'L
Financial Year
2024/12
Particular
Fin Div HKD 0.04
Ex-date
2025/05/30
Book Closed Date
2025/06/03
to
2025/06/06
Payable Date
2025/07/10
Announcement Date
2025/03/20
Code
01177
Name
SINO BIOPHARM
Financial Year
2024/12
Particular
Fin Div RMB 0.0376 or HKD 0.04
Ex-date
2025/06/16
Book Closed Date
2025/06/18
to
2025/06/23
Payable Date
2025/07/10
Announcement Date
2025/03/28
Code
01538
Name
ZHONG AO HOME
Financial Year
2024/12
Particular
Fin Div HKD 0.025
Ex-date
2025/06/06
Book Closed Date
2025/06/10
to
2025/06/12
Payable Date
2025/07/10
Announcement Date
2025/03/21
Code
02530
Name
NUMANS
Financial Year
2024/12
Particular
Fin Div RMB 0.05 or HKD 0.0537
Ex-date
2025/06/03
Book Closed Date
2025/06/05
to
2025/06/06
Payable Date
2025/07/10
Announcement Date
2025/06/16
Code
03141
Name
CAM ASIA IGB
Financial Year
2025/12
Particular
Quarterly Div HKD 0.12
Ex-date
2025/07/02
Book Closed Date
2025/07/04
to
--
Payable Date
2025/07/10
Announcement Date
2025/03/28
Code
03319
Name
A-LIVING
Financial Year
2024/12
Particular
Fin Div RMB 0.03 or HKD 0.032678
Ex-date
2025/05/30
Book Closed Date
2025/06/03
to
2025/06/06
Payable Date
2025/07/10
Announcement Date
2025/06/16
Code
03466
Name
HS HIGH DIV
Financial Year
2025/12
Particular
Monthly Div HKD 0.1
Ex-date
2025/07/02
Book Closed Date
2025/07/04
to
--
Payable Date
2025/07/10
Announcement Date
2025/03/27
Code
06668
Name
E-STAR CM
Financial Year
2024/12
Particular
Fin Div HKD 0.083
Ex-date
2025/06/11
Book Closed Date
2025/06/13
to
2025/06/16
Payable Date
2025/07/10
Announcement Date
2025/06/16
Code
09141
Name
CAM ASIA IGB-U
Financial Year
2025/12
Particular
Quarterly Div HKD 0.12
Ex-date
2025/07/02
Book Closed Date
2025/07/04
to
--
Payable Date
2025/07/10
Announcement Date
2025/03/27
Code
09636
Name
JF SMARTINVEST
Financial Year
2024/12
Particular
Fin Div HKD 0.33
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
2025/06/30
Payable Date
2025/07/10
Announcement Date
2025/03/21
Code
00034
Name
KOWLOON DEV
Financial Year
2024/12
Particular
Fin Div HKD 0.12
Ex-date
2025/06/12
Book Closed Date
2025/06/16
to
2025/06/17
Payable Date
2025/07/09
Announcement Date
2025/05/07
Code
00205
Name
SEEC MEDIA
Financial Year
2025/12
Particular
Rts 1 for 2 @HKD 0.11
Ex-date
2025/05/14
Book Closed Date
2025/05/16
to
2025/05/23
Payable Date
2025/07/09
Announcement Date
2025/03/24
Code
00322
Name
TINGYI
Financial Year
2024/12
Particular
Fin Div RMB 0.3314 or HKD 0.36212
Ex-date
2025/06/11
Book Closed Date
2025/06/13
to
2025/06/17
Payable Date
2025/07/09
Announcement Date
2025/03/24
Code
00322
Name
TINGYI
Financial Year
2024/12
Particular
Sp Div RMB 0.3314 or HKD 0.36212
Ex-date
2025/06/11
Book Closed Date
2025/06/13
to
2025/06/17
Payable Date
2025/07/09
Announcement Date
2025/03/25
Code
00385
Name
CHINNEY ALLI
Financial Year
2024/12
Particular
Fin Div HKD 0.025
Ex-date
2025/06/11
Book Closed Date
2025/06/13
to
2025/06/18
Payable Date
2025/07/09
Announcement Date
2025/03/25
Code
00506
Name
CHINA FOODS
Financial Year
2024/12
Particular
Fin Div RMB 0.153 or HKD 0.166
Ex-date
2025/06/17
Book Closed Date
2025/06/19
to
2025/06/20
Payable Date
2025/07/09
Announcement Date
2025/03/24
Code
00829
Name
SHENGUAN HLDGS
Financial Year
2024/12
Particular
Fin Div HKD 0.02
Ex-date
2025/06/10
Book Closed Date
2025/06/12
to
2025/06/17
Payable Date
2025/07/09
Announcement Date
2025/03/24
Code
00829
Name
SHENGUAN HLDGS
Financial Year
2024/12
Particular
Sp Div HKD 0.02
Ex-date
2025/06/10
Book Closed Date
2025/06/12
to
2025/06/17
Payable Date
2025/07/09
Announcement Date
2025/03/25
Code
01112
Name
H&H INTL HLDG
Financial Year
2024/12
Particular
Fin Div HKD 0.05
Ex-date
2025/05/15
Book Closed Date
2025/05/19
to
2025/05/21
Payable Date
2025/07/09
Announcement Date
2025/03/20
Code
01148
Name
POWER XINCHEN
Financial Year
2024/12
Particular
Fin Div HKD 0.0097
Ex-date
2025/06/23
Book Closed Date
2025/06/25
to
2025/06/27
Payable Date
2025/07/09
Announcement Date
2025/03/19
Code
01316
Name
NEXTEER
Financial Year
2024/12
Particular
Fin Div USD 0.0087 or HKD 0.068
Ex-date
2025/06/23
Book Closed Date
2025/06/25
to
2025/06/27
Payable Date
2025/07/09
Announcement Date
2025/03/31
Code
01425
Name
JUSTIN ALLEN H
Financial Year
2024/12
Particular
Fin Div HKD 0.056
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
--
Payable Date
2025/07/09
Announcement Date
2025/03/25
Code
01553
Name
MAIKE TUBE
Financial Year
2024/12
Particular
Fin Div RMB 0.111 or HKD 0.12
Ex-date
2025/06/11
Book Closed Date
2025/06/13
to
2025/06/16
Payable Date
2025/07/09
Announcement Date
2025/03/25
Code
01556
Name
CHINNEY KW
Financial Year
2024/12
Particular
Fin Div HKD 0.02
Ex-date
2025/06/11
Book Closed Date
2025/06/13
to
2025/06/18
Payable Date
2025/07/09
Announcement Date
2025/03/25
Code
01556
Name
CHINNEY KW
Financial Year
2024/12
Particular
Sp Div HKD 0.02
Ex-date
2025/06/11
Book Closed Date
2025/06/13
to
2025/06/18
Payable Date
2025/07/09
Announcement Date
2025/03/25
Code
02003
Name
VCREDIT
Financial Year
2024/12
Particular
Fin Div HKD 0.2
Ex-date
2025/06/18
Book Closed Date
2025/06/20
to
2025/06/23
Payable Date
2025/07/09
Announcement Date
2025/03/28
Code
02009
Name
BBMG
Financial Year
2024/12
Particular
Fin Div RMB 0.05 or HKD 0.0544
Ex-date
2025/05/29
Book Closed Date
2025/06/02
to
2025/06/09
Payable Date
2025/07/09
Announcement Date
2025/03/28
Code
02128
Name
CHINA LESSO
Financial Year
2024/12
Particular
Fin Div HKD 0.2
Ex-date
2025/06/16
Book Closed Date
2025/06/18
to
2025/06/20
Payable Date
2025/07/09
Announcement Date
2025/03/26
Code
02169
Name
CANGGANGRAILWAY
Financial Year
2024/12
Particular
Fin Div RMB 0.006 or HKD 0.0065828
Ex-date
2025/06/20
Book Closed Date
2025/06/24
to
2025/06/27
Payable Date
2025/07/09
Announcement Date
2025/03/28
Code
02377
Name
BOQI ENV
Financial Year
2024/12
Particular
Fin Div HKD 0.046
Ex-date
2025/06/12
Book Closed Date
2025/06/16
to
2025/06/18
Payable Date
2025/07/09
Announcement Date
2025/03/28
Code
02510
Name
TS LINES
Financial Year
2024/12
Particular
Fin Div USD 0.11 or HKD 0.858
Ex-date
2025/06/02
Book Closed Date
2025/06/04
to
2025/06/09
Payable Date
2025/07/09
Announcement Date
2025/03/28
Code
02585
Name
MOKINGRAN
Financial Year
2024/12
Particular
Fin Div RMB 0.3 or HKD 0.325348
Ex-date
2025/05/20
Book Closed Date
2025/05/22
to
2025/05/27
Payable Date
2025/07/09
Announcement Date
2025/03/20
Code
02660
Name
ZENGAME
Financial Year
2024/12
Particular
Fin Div HKD 0.15
Ex-date
2025/06/10
Book Closed Date
2025/06/12
to
2025/06/16
Payable Date
2025/07/09
Announcement Date
2025/03/21
Code
02869
Name
GREENTOWN SER
Financial Year
2024/12
Particular
Fin Div HKD 0.13
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
2025/06/27
Payable Date
2025/07/09
Announcement Date
2025/03/21
Code
02869
Name
GREENTOWN SER
Financial Year
2024/12
Particular
Sp Div HKD 0.07
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
2025/06/27
Payable Date
2025/07/09
Announcement Date
2025/06/11
Code
03070
Name
PING AN HKDIV
Financial Year
2025/12
Particular
Int Div HKD 0.74
Ex-date
2025/06/26
Book Closed Date
2025/06/30
to
--
Payable Date
2025/07/09
Announcement Date
2025/06/11
Code
09070
Name
PING AN HKDIV-U
Financial Year
2025/12
Particular
Int Div HKD 0.74
Ex-date
2025/06/26
Book Closed Date
2025/06/30
to
--
Payable Date
2025/07/09
Announcement Date
2025/05/09
Code
00339
Name
CN SCI-TECH IND
Financial Year
2025/12
Particular
Rts 1 for 2 @HKD 0.07
Ex-date
2025/05/15
Book Closed Date
2025/05/19
to
2025/05/23
Payable Date
2025/07/08
Announcement Date
2025/03/24
Code
00340
Name
TONGGUAN GOLD
Financial Year
2024/12
Particular
Fin Div HKD 0.012
Ex-date
2025/06/12
Book Closed Date
2025/06/16
to
2025/06/17
Payable Date
2025/07/08
Announcement Date
2025/05/28
Code
00685
Name
MEDIA CHINESE
Financial Year
2025/03
Particular
Fin Div USD 0.001 or HKD 0.007792
Ex-date
2025/06/16
Book Closed Date
2025/06/18
to
--
Payable Date
2025/07/08
Announcement Date
2025/03/17
Code
00830
Name
CSC DEVELOPMENT
Financial Year
2024/12
Particular
Fin Div HKD 0.028
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
2025/06/27
Payable Date
2025/07/08
Announcement Date
2025/03/25
Code
00909
Name
MING YUAN CLOUD
Financial Year
2024/12
Particular
Sp Div RMB 0.092 or HKD 0.1
Ex-date
2025/05/23
Book Closed Date
2025/05/27
to
2025/05/30
Payable Date
2025/07/08
Announcement Date
2025/03/21
Code
01861
Name
PRECIOUS DRAGON
Financial Year
2024/12
Particular
Fin Div HKD 0.0219
Ex-date
2025/06/05
Book Closed Date
2025/06/07
to
2025/06/12
Payable Date
2025/07/08
Announcement Date
2025/03/26
Code
01908
Name
C&D INTL GROUP
Financial Year
2024/12
Particular
Fin Div HKD 1.2, with scrip option
Ex-date
2025/05/27
Book Closed Date
2025/05/29
to
2025/05/30
Payable Date
2025/07/08
Announcement Date
2025/03/26
Code
02885
Name
PEIPORT HOLD
Financial Year
2024/12
Particular
Fin Div HKD 0.0135
Ex-date
2025/06/19
Book Closed Date
2025/06/23
to
2025/06/25
Payable Date
2025/07/08
Announcement Date
2025/03/26
Code
02885
Name
PEIPORT HOLD
Financial Year
2024/12
Particular
Sp Div HKD 0.027
Ex-date
2025/06/19
Book Closed Date
2025/06/23
to
2025/06/25
Payable Date
2025/07/08
Announcement Date
2025/06/16
Code
03075
Name
GX ASUSD BOND
Financial Year
2026/03
Particular
Monthly Div HKD 0.21
Ex-date
2025/07/02
Book Closed Date
2025/07/04
to
--
Payable Date
2025/07/08
Announcement Date
2025/03/25
Code
06601
Name
CHEERWIN GP
Financial Year
2024/12
Particular
Fin Div RMB 0.0682 or HKD 0.0739
Ex-date
2025/06/24
Book Closed Date
2025/06/26
to
--
Payable Date
2025/07/08
Announcement Date
2025/03/20
Code
06626
Name
YUEXIU SERVICES
Financial Year
2024/12
Particular
Fin Div RMB 0.078 or HKD 0.083
Ex-date
2025/06/23
Book Closed Date
2025/06/25
to
2025/06/26
Payable Date
2025/07/08
Announcement Date
2025/03/21
Code
06898
Name
CHINA ALUMCAN
Financial Year
2024/12
Particular
Fin Div HKD 0.0028
Ex-date
2025/06/05
Book Closed Date
2025/06/07
to
2025/06/12
Payable Date
2025/07/08
Announcement Date
2025/06/16
Code
09075
Name
GX ASUSD BOND-U
Financial Year
2026/03
Particular
Monthly Div HKD 0.21
Ex-date
2025/07/02
Book Closed Date
2025/07/04
to
--
Payable Date
2025/07/08
Announcement Date
2025/03/26
Code
09936
Name
XIMEI RESOURCES
Financial Year
2024/12
Particular
Fin Div HKD 0.0556
Ex-date
2025/06/02
Book Closed Date
2025/06/04
to
2025/06/06
Payable Date
2025/07/08
Announcement Date
2025/05/28
Code
00158
Name
MELBOURNE ENT
Financial Year
2025/09
Particular
Int Div HKD 1.7
Ex-date
2025/06/19
Book Closed Date
2025/06/23
to
2025/06/25
Payable Date
2025/07/07
Announcement Date
2025/03/31
Code
00926
Name
BESUNYEN
Financial Year
2024/12
Particular
Fin Div HKD 0.1
Ex-date
2025/06/18
Book Closed Date
2025/06/20
to
--
Payable Date
2025/07/07
Announcement Date
2025/03/27
Code
01397
Name
BAGUIO GREEN
Financial Year
2024/12
Particular
Fin Div HKD 0.038
Ex-date
2025/06/19
Book Closed Date
2025/06/23
to
2025/06/24
Payable Date
2025/07/07
Announcement Date
2025/03/31
Code
02307
Name
KAM HING INT'L
Financial Year
2024/12
Particular
Fin Div HKD 0.007
Ex-date
2025/06/11
Book Closed Date
2025/06/13
to
--
Payable Date
2025/07/07
Announcement Date
2025/03/24
Code
03326
Name
PERFECT GROUP
Financial Year
2024/12
Particular
Fin Div HKD 0.01
Ex-date
2025/06/20
Book Closed Date
2025/06/24
to
2025/06/26
Payable Date
2025/07/07
Announcement Date
2025/06/13
Code
03416
Name
A GX HSCEICC
Financial Year
2026/03
Particular
Monthly Div HKD 0.15
Ex-date
2025/06/30
Book Closed Date
2025/07/03
to
--
Payable Date
2025/07/07
Announcement Date
2025/06/13
Code
03417
Name
A GX HSTCC
Financial Year
2026/03
Particular
Monthly Div HKD 0.13
Ex-date
2025/06/30
Book Closed Date
2025/07/03
to
--
Payable Date
2025/07/07
Announcement Date
2025/06/13
Code
03419
Name
A GX HSICC
Financial Year
2026/03
Particular
Monthly Div HKD 0.12
Ex-date
2025/06/30
Book Closed Date
2025/07/03
to
--
Payable Date
2025/07/07
Announcement Date
2025/03/26
Code
08033
Name
VODATEL NETWORK
Financial Year
2024/12
Particular
Fin Div HKD 0.01
Ex-date
2025/06/25
Book Closed Date
2025/06/27
to
--
Payable Date
2025/07/07
Announcement Date
2025/03/28
Code
09989
Name
HEPALINK
Financial Year
2024/12
Particular
Fin Div RMB 0.25 or HKD 0.27165
Ex-date
2025/05/26
Book Closed Date
2025/05/28
to
2025/05/30
Payable Date
2025/07/07
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