Announcement Date
Code
Name
Financial Year
Particular
Ex-date
Book Closed Date
Payable Date
Announcement Date
2024/11/11
Code
00036
Name
FE HLDGS INTL
Financial Year
2024/12
Particular
Rts 2 for 1 consolidated sh@HKD 0.334
Ex-date
2024/12/18
Book Closed Date
2024/12/20
to
2024/12/30
Payable Date
2025/02/12
Announcement Date
2024/11/25
Code
01773
Name
TIANLI INT HLDG
Financial Year
2024/08
Particular
Fin Div RMB 0.0408 or HKD 0.0442
Ex-date
2025/01/21
Book Closed Date
2025/01/23
to
2025/01/27
Payable Date
2025/02/10
Announcement Date
2024/09/27
Code
00026
Name
CHINA MOTOR BUS
Financial Year
2024/06
Particular
Fin Div HKD 0.1
Ex-date
2025/01/14
Book Closed Date
2025/01/16
to
2025/01/17
Payable Date
2025/02/07
Announcement Date
2024/09/27
Code
00026
Name
CHINA MOTOR BUS
Financial Year
2024/06
Particular
Sp Div HKD 1.7
Ex-date
2025/01/14
Book Closed Date
2025/01/16
to
2025/01/17
Payable Date
2025/02/07
Announcement Date
2024/12/27
Code
00226
Name
LIPPO
Financial Year
2025/12
Particular
Dist. 2420 HK CHINESE LTD (00655) shs for 1000 shs
Ex-date
2025/01/13
Book Closed Date
2025/01/15
to
2025/01/17
Payable Date
2025/02/07
Announcement Date
2024/11/29
Code
01565
Name
VIRSCEND EDU
Financial Year
2024/08
Particular
Fin Div RMB 0.0023 or HKD 0.0025
Ex-date
2025/01/21
Book Closed Date
2025/01/23
to
2025/01/24
Payable Date
2025/02/07
Announcement Date
2024/11/29
Code
01565
Name
VIRSCEND EDU
Financial Year
2024/08
Particular
Sp Div RMB 0.0046 or HKD 0.005
Ex-date
2025/01/21
Book Closed Date
2025/01/23
to
2025/01/24
Payable Date
2025/02/07
Announcement Date
2025/01/14
Code
03075
Name
GX ASUSD BOND
Financial Year
2025/03
Particular
Monthly Div HKD 0.21
Ex-date
2025/02/03
Book Closed Date
2025/02/05
to
--
Payable Date
2025/02/07
Announcement Date
2024/11/12
Code
06908
Name
HG SEMI
Financial Year
2024/12
Particular
Rts 1 for 4 @HKD 0.48
Ex-date
2024/12/18
Book Closed Date
2024/12/20
to
2024/12/30
Payable Date
2025/02/07
Announcement Date
2025/01/14
Code
09075
Name
GX ASUSD BOND-U
Financial Year
2025/03
Particular
Monthly Div HKD 0.21
Ex-date
2025/02/03
Book Closed Date
2025/02/05
to
--
Payable Date
2025/02/07
Announcement Date
2024/12/12
Code
00158
Name
MELBOURNE ENT
Financial Year
2024/09
Particular
Fin Div HKD 1.8
Ex-date
2025/01/22
Book Closed Date
2025/01/24
to
--
Payable Date
2025/02/06
Announcement Date
2025/01/07
Code
02821
Name
ABF PAIF
Financial Year
2025/06
Particular
Div USD 1.58
Ex-date
2025/01/21
Book Closed Date
2025/01/23
to
--
Payable Date
2025/02/06
Announcement Date
2025/01/10
Code
03416
Name
A GX HSCEICC
Financial Year
2025/03
Particular
Monthly Div HKD 0.15
Ex-date
2025/01/27
Book Closed Date
2025/02/04
to
--
Payable Date
2025/02/06
Announcement Date
2025/01/10
Code
03419
Name
A GX HSICC
Financial Year
2025/03
Particular
Monthly Div HKD 0.12
Ex-date
2025/01/27
Book Closed Date
2025/02/04
to
--
Payable Date
2025/02/06
Announcement Date
2024/12/20
Code
01373
Name
IH RETAIL
Financial Year
2025/04
Particular
Int Div HKD 0.04
Ex-date
2025/01/06
Book Closed Date
2025/01/08
to
2025/01/10
Payable Date
2025/02/05
Announcement Date
2024/11/29
Code
01969
Name
CHINA CHUNLAI
Financial Year
2024/08
Particular
Fin Div RMB 0.0924 or HKD 0.1
Ex-date
2025/01/14
Book Closed Date
2025/01/16
to
2025/01/21
Payable Date
2025/02/05
Announcement Date
2025/01/20
Code
04701
Name
AIR AUTH B2608
Financial Year
2025/12
Particular
4th interest payment 4.25% p.a.
Ex-date
--
Book Closed Date
--
to
--
Payable Date
2025/02/05
Announcement Date
2024/10/21
Code
08087
Name
CHINA 33MEDIA
Financial Year
2024/12
Particular
Rts 3 for 2 consolidated shs @HKD 0.3
Ex-date
2024/12/10
Book Closed Date
2024/12/12
to
2024/12/18
Payable Date
2025/02/05
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