Announcement Date
Code
Name
Financial Year
Particular
Ex-date
Book Closed Date
Payable Date
Announcement Date
2025/08/13
Code
00006
Name
POWER ASSETS
Financial Year
2025/12
Particular
Int Div HKD 0.78
Ex-date
2025/09/10
Book Closed Date
2025/09/12
to
--
Payable Date
2025/09/23
Announcement Date
2025/06/26
Code
00088
Name
TAI CHEUNG HOLD
Financial Year
2025/03
Particular
Fin Div HKD 0.12
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/09
Payable Date
2025/09/23
Announcement Date
2025/08/22
Code
00255
Name
LUNG KEE
Financial Year
2025/12
Particular
Int Div HKD 0.08
Ex-date
2025/09/05
Book Closed Date
2025/09/09
to
2025/09/10
Payable Date
2025/09/23
Announcement Date
2025/08/18
Code
00393
Name
GLORIOUS SUN
Financial Year
2025/12
Particular
Int Div HKD 0.04
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
2025/09/04
Payable Date
2025/09/23
Announcement Date
2025/08/28
Code
00636
Name
KLN
Financial Year
2025/12
Particular
Int Div HKD 0.11
Ex-date
2025/09/09
Book Closed Date
2025/09/11
to
2025/09/12
Payable Date
2025/09/23
Announcement Date
2025/08/20
Code
00683
Name
KERRY PPT
Financial Year
2025/12
Particular
Int Div HKD 0.4
Ex-date
2025/09/10
Book Closed Date
2025/09/12
to
--
Payable Date
2025/09/23
Announcement Date
2025/08/26
Code
01061
Name
ESSEX BIO-TECH
Financial Year
2025/12
Particular
Int Div HKD 0.07
Ex-date
2025/09/08
Book Closed Date
2025/09/10
to
2025/09/12
Payable Date
2025/09/23
Announcement Date
2025/08/18
Code
01177
Name
SINO BIOPHARM
Financial Year
2025/12
Particular
Int Div HKD 0.05
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
2025/09/03
Payable Date
2025/09/23
Announcement Date
2025/08/12
Code
01234
Name
CHINA LILANG
Financial Year
2025/12
Particular
Int Div HKD 0.11
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/08
Payable Date
2025/09/23
Announcement Date
2025/08/12
Code
01234
Name
CHINA LILANG
Financial Year
2025/12
Particular
Sp Div HKD 0.05
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/08
Payable Date
2025/09/23
Announcement Date
2025/08/21
Code
01299
Name
AIA
Financial Year
2025/12
Particular
Int Div HKD 0.49
Ex-date
2025/09/05
Book Closed Date
2025/09/09
to
--
Payable Date
2025/09/23
Announcement Date
2025/08/27
Code
02020
Name
ANTA SPORTS
Financial Year
2025/12
Particular
Int Div HKD 1.37
Ex-date
2025/09/09
Book Closed Date
2025/09/11
to
--
Payable Date
2025/09/23
Announcement Date
2025/08/14
Code
02191
Name
SF REIT
Financial Year
2025/12
Particular
Int Div HKD 0.1311
Ex-date
2025/08/27
Book Closed Date
2025/08/29
to
--
Payable Date
2025/09/23
Announcement Date
2025/08/05
Code
09987
Name
YUM CHINA
Financial Year
2025/12
Particular
2nd Int Div USD 0.24
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/23
Announcement Date
2025/08/21
Code
81299
Name
AIA-R
Financial Year
2025/12
Particular
Int Div HKD 0.49
Ex-date
2025/09/05
Book Closed Date
2025/09/09
to
--
Payable Date
2025/09/23
Announcement Date
2025/08/27
Code
82020
Name
ANTA SPORTS-R
Financial Year
2025/12
Particular
Int Div HKD 1.37
Ex-date
2025/09/09
Book Closed Date
2025/09/11
to
--
Payable Date
2025/09/23
Announcement Date
2025/06/24
Code
00040
Name
GOLD PEAK
Financial Year
2025/03
Particular
Fin Div HKD 0.01
Ex-date
2025/09/09
Book Closed Date
2025/09/11
to
2025/09/12
Payable Date
2025/09/22
Announcement Date
2025/06/20
Code
00057
Name
CHEN HSONG HOLD
Financial Year
2025/03
Particular
Fin Div HKD 0.08
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/08
Payable Date
2025/09/22
Announcement Date
2025/06/27
Code
00518
Name
TUNGTEX (HOLD)
Financial Year
2025/03
Particular
Fin Div HKD 0.005
Ex-date
2025/09/05
Book Closed Date
2025/09/09
to
--
Payable Date
2025/09/22
Announcement Date
2025/06/27
Code
01473
Name
PANGAEA CONNECT
Financial Year
2025/03
Particular
Fin Div HKD 0.01
Ex-date
2025/08/26
Book Closed Date
2025/08/28
to
2025/08/29
Payable Date
2025/09/22
Announcement Date
2025/08/28
Code
01895
Name
XINYUAN PM
Financial Year
2025/12
Particular
Int Div HKD 0.0277
Ex-date
2025/09/10
Book Closed Date
2025/09/12
to
2025/09/15
Payable Date
2025/09/22
Announcement Date
2025/06/26
Code
00025
Name
CHEVALIER INT'L
Financial Year
2025/03
Particular
Fin Div HKD 0.08
Ex-date
2025/09/09
Book Closed Date
2025/09/11
to
2025/09/12
Payable Date
2025/09/19
Announcement Date
2025/06/26
Code
00077
Name
AMS TRANSPORT
Financial Year
2025/03
Particular
Fin Div HKD 0.03
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/10
Payable Date
2025/09/19
Announcement Date
2025/06/26
Code
00077
Name
AMS TRANSPORT
Financial Year
2025/03
Particular
Sp Div HKD 0.01
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/10
Payable Date
2025/09/19
Announcement Date
2025/08/20
Code
00086
Name
SUN HUNG KAI CO
Financial Year
2025/12
Particular
Int Div HKD 0.12
Ex-date
2025/09/04
Book Closed Date
2025/09/08
to
2025/09/10
Payable Date
2025/09/19
Announcement Date
2025/06/20
Code
00335
Name
UPBEST GROUP
Financial Year
2025/03
Particular
Fin Div HKD 0.015
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
2025/09/05
Payable Date
2025/09/19
Announcement Date
2025/08/15
Code
00635
Name
PLAYMATES
Financial Year
2025/12
Particular
Int Div HKD 0.015
Ex-date
2025/08/28
Book Closed Date
2025/09/01
to
2025/09/02
Payable Date
2025/09/19
Announcement Date
2025/08/05
Code
00669
Name
TECHTRONIC IND
Financial Year
2025/12
Particular
Int Div USD 0.1609 or HKD 1.25
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/05
Payable Date
2025/09/19
Announcement Date
2025/06/26
Code
00677
Name
GOLDEN RES DEV
Financial Year
2025/03
Particular
Fin Div HKD 0.012
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/19
Announcement Date
2025/08/05
Code
00778
Name
FORTUNE REIT
Financial Year
2025/12
Particular
Int Div HKD 0.1841
Ex-date
2025/08/20
Book Closed Date
2025/08/22
to
--
Payable Date
2025/09/19
Announcement Date
2025/08/15
Code
00869
Name
PLAYMATES TOYS
Financial Year
2025/12
Particular
Int Div HKD 0.01
Ex-date
2025/08/28
Book Closed Date
2025/09/01
to
2025/09/02
Payable Date
2025/09/19
Announcement Date
2025/08/06
Code
00945
Name
MANULIFE-S
Financial Year
2025/12
Particular
2nd Int Div CAD 0.44 or HKD 2.484812
Ex-date
2025/08/19
Book Closed Date
2025/08/21
to
--
Payable Date
2025/09/19
Announcement Date
2025/08/20
Code
01179
Name
HWORLD-S
Financial Year
2025/12
Particular
Int Div USD 0.081
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/09
Payable Date
2025/09/19
Announcement Date
2025/03/27
Code
01522
Name
BII TRANS TECH
Financial Year
2024/12
Particular
Fin Div HKD 0.024
Ex-date
2025/06/23
Book Closed Date
2025/06/25
to
2025/06/27
Payable Date
2025/09/19
Announcement Date
2025/08/19
Code
01681
Name
CONSUN PHARMA
Financial Year
2025/12
Particular
Int Div HKD 0.33
Ex-date
2025/09/04
Book Closed Date
2025/09/08
to
--
Payable Date
2025/09/19
Announcement Date
2025/08/21
Code
01836
Name
STELLA HOLDINGS
Financial Year
2025/12
Particular
Int Div HKD 0.52
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/09
Payable Date
2025/09/19
Announcement Date
2025/08/14
Code
01985
Name
MICROWARE
Financial Year
2026/03
Particular
Sp Div HKD 0.1
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/08
Payable Date
2025/09/19
Announcement Date
2025/06/26
Code
02536
Name
PALASINO
Financial Year
2025/03
Particular
Fin Div HKD 0.029
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/08
Payable Date
2025/09/19
Announcement Date
2025/08/21
Code
03316
Name
BINJIANG SER
Financial Year
2025/12
Particular
Int Div HKD 0.826
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/12
Payable Date
2025/09/19
Announcement Date
2025/08/19
Code
03668
Name
YANCOAL AUS
Financial Year
2025/12
Particular
Int Div AUD 0.062 or HKD 0.316386
Ex-date
2025/09/04
Book Closed Date
2025/09/08
to
--
Payable Date
2025/09/19
Announcement Date
2025/06/16
Code
08092
Name
ITE HOLDINGS
Financial Year
2025/03
Particular
Fin Div HKD 0.002
Ex-date
2025/08/25
Book Closed Date
2025/08/27
to
2025/08/29
Payable Date
2025/09/19
Announcement Date
2025/08/25
Code
09919
Name
ACTIVATION GP
Financial Year
2025/12
Particular
Int Div HKD 0.023
Ex-date
2025/09/04
Book Closed Date
2025/09/06
to
2025/09/11
Payable Date
2025/09/19
Announcement Date
2025/06/24
Code
00151
Name
WANT WANT CHINA
Financial Year
2025/03
Particular
Fin Div USD 0.0204 or HKD 0.1592
Ex-date
2025/08/28
Book Closed Date
2025/08/30
to
2025/09/03
Payable Date
2025/09/18
Announcement Date
2025/08/20
Code
00440
Name
DAH SING
Financial Year
2025/12
Particular
Int Div HKD 1.16
Ex-date
2025/09/04
Book Closed Date
2025/09/08
to
2025/09/10
Payable Date
2025/09/18
Announcement Date
2025/08/15
Code
00808
Name
PROSPERITY REIT
Financial Year
2025/12
Particular
Int Div HKD 0.0585
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
2025/09/04
Payable Date
2025/09/18
Announcement Date
2025/08/20
Code
02232
Name
CRYSTAL INTL
Financial Year
2025/12
Particular
Int Div USD 0.021 or HKD 0.163
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/09
Payable Date
2025/09/18
Announcement Date
2025/08/20
Code
02356
Name
DAHSING BANKING
Financial Year
2025/12
Particular
Int Div HKD 0.31
Ex-date
2025/09/04
Book Closed Date
2025/09/08
to
2025/09/10
Payable Date
2025/09/18
Announcement Date
2025/08/20
Code
00012
Name
HENDERSON LAND
Financial Year
2025/12
Particular
Int Div HKD 0.5
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/08
Payable Date
2025/09/17
Announcement Date
2025/06/27
Code
00213
Name
NATIONAL ELEC H
Financial Year
2025/03
Particular
Fin Div HKD 0.005
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
2025/09/03
Payable Date
2025/09/17
Announcement Date
2025/06/25
Code
00237
Name
SAFETY GODOWN
Financial Year
2025/03
Particular
Fin Div HKD 0.05
Ex-date
2025/08/26
Book Closed Date
2025/08/28
to
2025/09/02
Payable Date
2025/09/17
Announcement Date
2025/06/24
Code
00345
Name
VITASOY INT'L
Financial Year
2025/03
Particular
Fin Div HKD 0.102
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
2025/09/03
Payable Date
2025/09/17
Announcement Date
2025/08/14
Code
00533
Name
GOLDLION HOLD
Financial Year
2025/12
Particular
Int Div HKD 0.01
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/05
Payable Date
2025/09/17
Announcement Date
2025/08/20
Code
00887
Name
EMPEROR WATCH&J
Financial Year
2025/12
Particular
Int Div HKD 0.0055
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/05
Payable Date
2025/09/17
Announcement Date
2025/08/07
Code
00941
Name
CHINA MOBILE
Financial Year
2025/12
Particular
Int Div RMB 2.508 or HKD 2.75
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
2025/09/05
Payable Date
2025/09/17
Announcement Date
2025/08/20
Code
01128
Name
WYNN MACAU
Financial Year
2025/12
Particular
Int Div HKD 0.185
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/08
Payable Date
2025/09/17
Announcement Date
2025/08/18
Code
02283
Name
TK GROUP HLDG
Financial Year
2025/12
Particular
Int Div HKD 0.043
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
2025/09/03
Payable Date
2025/09/17
Announcement Date
2025/06/27
Code
03860
Name
EPS HEALTH TECH
Financial Year
2025/03
Particular
Fin Div HKD 0.01
Ex-date
2025/08/20
Book Closed Date
2025/08/22
to
2025/08/27
Payable Date
2025/09/17
Announcement Date
2025/03/27
Code
09616
Name
NEUTECH GROUP
Financial Year
2024/12
Particular
Fin Div HKD 0.388
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
2025/09/04
Payable Date
2025/09/17
Announcement Date
2025/08/07
Code
80941
Name
CHINA MOBILE-R
Financial Year
2025/12
Particular
Int Div RMB 2.508 or HKD 2.75
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
2025/09/05
Payable Date
2025/09/17
Announcement Date
2025/08/12
Code
00004
Name
WHARF HOLDINGS
Financial Year
2025/12
Particular
Int Div HKD 0.2
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
--
Payable Date
2025/09/16
Announcement Date
2025/08/15
Code
00046
Name
COMPUTER & TECH
Financial Year
2025/12
Particular
Int Div HKD 0.055
Ex-date
2025/08/28
Book Closed Date
2025/09/01
to
2025/09/02
Payable Date
2025/09/16
Announcement Date
2025/08/14
Code
00066
Name
MTR CORPORATION
Financial Year
2025/12
Particular
Int Div HKD 0.42
Ex-date
2025/08/27
Book Closed Date
2025/08/29
to
2025/09/03
Payable Date
2025/09/16
Announcement Date
2025/06/26
Code
00104
Name
ASIA COMM HOLD
Financial Year
2025/03
Particular
Fin Div HKD 0.02677
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
2025/09/05
Payable Date
2025/09/16
Announcement Date
2025/08/08
Code
00215
Name
HUTCHTEL HK
Financial Year
2025/12
Particular
Int Div HKD 0.0228
Ex-date
2025/09/04
Book Closed Date
2025/09/08
to
--
Payable Date
2025/09/16
Announcement Date
2025/08/20
Code
00388
Name
HKEX
Financial Year
2025/12
Particular
2nd Int Div HKD 6.0
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/05
Payable Date
2025/09/16
Announcement Date
2025/04/16
Code
00653
Name
BONJOUR HOLD
Financial Year
2026/06
Particular
Rts 3 for 1 @HKD 0.08
Ex-date
2025/08/14
Book Closed Date
2025/08/18
to
2025/08/22
Payable Date
2025/09/16
Announcement Date
2025/08/15
Code
00999
Name
XIAOCAIYUAN
Financial Year
2025/12
Particular
Int Div RMB 0.2119 or HKD 0.2331
Ex-date
2025/08/28
Book Closed Date
2025/09/01
to
2025/09/02
Payable Date
2025/09/16
Announcement Date
2025/08/07
Code
01278
Name
CHINANEWTOWN
Financial Year
2025/12
Particular
Int Div HKD 0.0016
Ex-date
2025/08/21
Book Closed Date
2025/08/25
to
2025/08/26
Payable Date
2025/09/16
Announcement Date
2025/08/15
Code
01308
Name
SITC
Financial Year
2025/12
Particular
Int Div USD 0.17 or HKD 1.3
Ex-date
2025/08/28
Book Closed Date
2025/09/01
to
2025/09/04
Payable Date
2025/09/16
Announcement Date
2025/06/26
Code
01496
Name
AP RENTALS
Financial Year
2025/03
Particular
Fin Div HKD 0.007
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
2025/09/05
Payable Date
2025/09/16
Announcement Date
2025/08/21
Code
02331
Name
LI NING
Financial Year
2025/12
Particular
Int Div RMB 0.3359 or HKD 0.368
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/08
Payable Date
2025/09/16
Announcement Date
2025/08/19
Code
02342
Name
COMBA
Financial Year
2025/12
Particular
Int Div HKD 0.006
Ex-date
2025/09/04
Book Closed Date
2025/09/08
to
--
Payable Date
2025/09/16
Announcement Date
2025/08/21
Code
09896
Name
MNSO
Financial Year
2025/12
Particular
Int Div USD 0.0724
Ex-date
2025/09/04
Book Closed Date
2025/09/08
to
--
Payable Date
2025/09/16
Announcement Date
2025/08/20
Code
80388
Name
HKEX-R
Financial Year
2025/12
Particular
2nd Int Div HKD 6.0
Ex-date
2025/09/02
Book Closed Date
2025/09/04
to
2025/09/05
Payable Date
2025/09/16
Announcement Date
2025/08/21
Code
82331
Name
LI NING-R
Financial Year
2025/12
Particular
Int Div RMB 0.3359 or HKD 0.368
Ex-date
2025/09/03
Book Closed Date
2025/09/05
to
2025/09/08
Payable Date
2025/09/16
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