Announcement Date
Code
Name
Financial Year
Particular
Ex-date
Book Closed Date
Payable Date
Announcement Date
2024/11/29
Code
00855
Name
CHINA WATER
Financial Year
2025/03
Particular
Int Div HKD 0.13
Ex-date
2025/01/20
Book Closed Date
2025/01/22
to
2025/01/24
Payable Date
2025/05/16
Announcement Date
2025/03/26
Code
00999
Name
XIAOCAIYUAN
Financial Year
2024/12
Particular
Fin Div RMB 0.3187 or HKD 0.343
Ex-date
2025/04/30
Book Closed Date
2025/05/06
to
--
Payable Date
2025/05/16
Announcement Date
2025/03/12
Code
01361
Name
361 DEGREES
Financial Year
2024/12
Particular
Fin Div RMB 0.096 or HKD 0.1
Ex-date
2025/04/29
Book Closed Date
2025/05/02
to
2025/05/07
Payable Date
2025/05/16
Announcement Date
2025/02/14
Code
01529
Name
YUES INTL HLDG
Financial Year
2025/12
Particular
Rts 4 for 1 @HKD 0.13
Ex-date
2025/03/26
Book Closed Date
2025/03/28
to
2025/04/07
Payable Date
2025/05/16
Announcement Date
2025/02/28
Code
02343
Name
PACIFIC BASIN
Financial Year
2024/12
Particular
Fin Div USD 0.007 or HKD 0.051
Ex-date
2025/05/02
Book Closed Date
2025/05/07
to
--
Payable Date
2025/05/16
Announcement Date
2025/02/24
Code
00236
Name
SAN MIGUEL HK
Financial Year
2024/12
Particular
Fin Div HKD 0.05
Ex-date
2025/04/25
Book Closed Date
2025/04/29
to
2025/05/06
Payable Date
2025/05/15
Announcement Date
2025/02/07
Code
08401
Name
STREAM IDEAS
Financial Year
2025/03
Particular
Rts 2 for 1 @HKD 0.085
Ex-date
2025/03/19
Book Closed Date
2025/03/21
to
2025/03/27
Payable Date
2025/05/15
Announcement Date
2025/03/14
Code
02378
Name
PRU
Financial Year
2024/12
Particular
2nd Int Div USD 0.1629 or HKD 1.263835, with scrip option
Ex-date
2025/03/27
Book Closed Date
2025/03/31
to
--
Payable Date
2025/05/14
Announcement Date
2025/04/11
Code
03626
Name
HSSP INTL
Financial Year
2025/06
Particular
Sp Div HKD 0.108
Ex-date
2025/04/29
Book Closed Date
2025/05/02
to
--
Payable Date
2025/05/14
Announcement Date
2025/03/07
Code
02030
Name
CABBEEN
Financial Year
2024/12
Particular
Fin Div RMB 0.0079 or HKD 0.0086
Ex-date
2025/04/28
Book Closed Date
2025/04/30
to
--
Payable Date
2025/05/13
Announcement Date
2025/04/14
Code
03466
Name
HS HIGH DIV
Financial Year
2025/12
Particular
Monthly Div HKD 0.09
Ex-date
2025/05/02
Book Closed Date
2025/05/07
to
--
Payable Date
2025/05/13
Announcement Date
2025/03/19
Code
08547
Name
PACIFIC LEGEND
Financial Year
2025/06
Particular
Rts 1 for 2 @HKD 0.1
Ex-date
2025/03/27
Book Closed Date
2025/03/31
to
2025/04/07
Payable Date
2025/05/13
Announcement Date
2025/03/13
Code
00019
Name
SWIRE PACIFIC A
Financial Year
2024/12
Particular
2nd Int Div HKD 2.1
Ex-date
2025/04/09
Book Closed Date
2025/04/11
to
--
Payable Date
2025/05/09
Announcement Date
2025/03/13
Code
00087
Name
SWIRE PACIFIC B
Financial Year
2024/12
Particular
2nd Int Div HKD 0.42
Ex-date
2025/04/09
Book Closed Date
2025/04/11
to
--
Payable Date
2025/05/09
Announcement Date
2025/03/17
Code
00867
Name
CMS
Financial Year
2024/12
Particular
Fin Div RMB 0.1174 or HKD 0.127
Ex-date
2025/04/28
Book Closed Date
2025/04/30
to
--
Payable Date
2025/05/09
Announcement Date
2024/12/02
Code
01327
Name
LUXXU GROUP
Financial Year
2025/12
Particular
Rts 1 for 1 consolidated sh @HKD 0.15
Ex-date
2025/03/17
Book Closed Date
2025/03/19
to
2025/03/25
Payable Date
2025/05/09
Announcement Date
2025/01/17
Code
01718
Name
WAN KEI GROUP
Financial Year
2025/03
Particular
Rts 1 for 1 @HKD 0.2
Ex-date
2025/03/17
Book Closed Date
2025/03/19
to
2025/03/25
Payable Date
2025/05/09
Announcement Date
2025/04/14
Code
03075
Name
GX ASUSD BOND
Financial Year
2026/03
Particular
Monthly Div HKD 0.21
Ex-date
2025/05/02
Book Closed Date
2025/05/07
to
--
Payable Date
2025/05/09
Announcement Date
2024/12/05
Code
08146
Name
GRACEWINE
Financial Year
2025/12
Particular
Sp Div HKD 0.04256 & HKD 0.07802
Ex-date
2025/04/08
Book Closed Date
2025/04/10
to
2025/04/11
Payable Date
2025/05/09
Announcement Date
2025/03/28
Code
08473
Name
MI MING MART
Financial Year
2025/03
Particular
Sp Div HKD 0.026
Ex-date
2025/04/14
Book Closed Date
2025/04/16
to
2025/04/17
Payable Date
2025/05/09
Announcement Date
2025/04/14
Code
09075
Name
GX ASUSD BOND-U
Financial Year
2026/03
Particular
Monthly Div HKD 0.21
Ex-date
2025/05/02
Book Closed Date
2025/05/07
to
--
Payable Date
2025/05/09
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