Announcement Date
Code
Name
Financial Year
Particular
Ex-date
Book Closed Date
Payable Date
Announcement Date
2025/03/31
Code
01223
Name
SYMPHONY HOLD
Financial Year
2024/12
Particular
Fin Div HKD 0.005
Ex-date
2025/08/07
Book Closed Date
2025/08/11
to
2025/08/15
Payable Date
2025/09/08
Announcement Date
2025/08/12
Code
02638
Name
HKELECTRIC-SS
Financial Year
2025/12
Particular
Int Div HKD 0.1594
Ex-date
2025/08/26
Book Closed Date
2025/08/28
to
--
Payable Date
2025/09/08
Announcement Date
2025/08/14
Code
09999
Name
NTES-S
Financial Year
2025/12
Particular
2nd Int Div USD 0.114
Ex-date
2025/08/27
Book Closed Date
2025/08/29
to
--
Payable Date
2025/09/08
Announcement Date
2025/08/01
Code
00008
Name
PCCW
Financial Year
2025/12
Particular
Int Div HKD 0.0977
Ex-date
2025/08/15
Book Closed Date
2025/08/19
to
2025/08/20
Payable Date
2025/09/05
Announcement Date
2025/06/13
Code
00423
Name
HKET HOLDINGS
Financial Year
2025/03
Particular
Fin Div HKD 0.05
Ex-date
2025/08/07
Book Closed Date
2025/08/11
to
2025/08/13
Payable Date
2025/09/05
Announcement Date
2025/06/27
Code
01830
Name
PERFECT MEDICAL
Financial Year
2025/03
Particular
Fin Div HKD 0.053
Ex-date
2025/08/15
Book Closed Date
2025/08/19
to
2025/08/22
Payable Date
2025/09/05
Announcement Date
2025/08/08
Code
02030
Name
CABBEEN
Financial Year
2025/12
Particular
Int Div HKD 0.0108
Ex-date
2025/08/21
Book Closed Date
2025/08/25
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
03041
Name
GX CN PB BOND
Financial Year
2026/03
Particular
Dividend per unit HKD 0.65
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
03059
Name
GX AGREENBOND
Financial Year
2026/03
Particular
Dividend per unit HKD 0.39
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
03075
Name
GX ASUSD BOND
Financial Year
2026/03
Particular
Monthly Div HKD 0.21
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
03440
Name
GX 0-3M UST
Financial Year
2026/03
Particular
Quarterly Div HKD 0.55
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
03450
Name
GX 3-5Y UST
Financial Year
2026/03
Particular
Quarterly Div HKD 0.5
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
09075
Name
GX ASUSD BOND-U
Financial Year
2026/03
Particular
Monthly Div HKD 0.21
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
09440
Name
GX 0-3M UST-U
Financial Year
2026/03
Particular
Quarterly Div HKD 0.55
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
09450
Name
GX 3-5Y UST-U
Financial Year
2026/03
Particular
Quarterly Div HKD 0.5
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/08/15
Code
83059
Name
GX AGREENBOND-R
Financial Year
2026/03
Particular
Dividend per unit HKD 0.39
Ex-date
2025/09/01
Book Closed Date
2025/09/03
to
--
Payable Date
2025/09/05
Announcement Date
2025/07/30
Code
00011
Name
HANG SENG BANK
Financial Year
2025/12
Particular
2nd Int Div HKD 1.3
Ex-date
2025/08/12
Book Closed Date
2025/08/14
to
--
Payable Date
2025/09/04
Announcement Date
2025/06/26
Code
00064
Name
GET NICE-NEW
Financial Year
2025/03
Particular
Fin Div HKD 0.05 (after Share Consolidation)
Ex-date
2025/08/26
Book Closed Date
2025/08/28
to
2025/08/29
Payable Date
2025/09/04
Announcement Date
2025/05/28
Code
00179
Name
JOHNSON ELEC H
Financial Year
2025/03
Particular
Fin Div USD 0.0564 or HKD 0.44
Ex-date
2025/07/21
Book Closed Date
2025/07/23
to
2025/07/25
Payable Date
2025/09/04
Announcement Date
2025/06/16
Code
00341
Name
CAFE DE CORAL H
Financial Year
2025/03
Particular
Fin Div HKD 0.25
Ex-date
2025/08/22
Book Closed Date
2025/08/26
to
--
Payable Date
2025/09/04
Announcement Date
2025/06/26
Code
01382
Name
PACIFICTEXTILES
Financial Year
2025/03
Particular
Fin Div HKD 0.05
Ex-date
2025/08/19
Book Closed Date
2025/08/21
to
2025/08/25
Payable Date
2025/09/04
Announcement Date
2025/08/07
Code
02343
Name
PACIFIC BASIN
Financial Year
2025/12
Particular
Int Div USD 0.002 or HKD 0.016
Ex-date
2025/08/21
Book Closed Date
2025/08/25
to
--
Payable Date
2025/09/04
Announcement Date
2025/06/26
Code
02932
Name
GET NICE
Financial Year
2025/03
Particular
Fin Div HKD 0.05 (after Share Consolidation)
Ex-date
2025/08/26
Book Closed Date
2025/08/28
to
2025/08/29
Payable Date
2025/09/04
Announcement Date
2025/08/14
Code
03416
Name
A GX HSCEICC
Financial Year
2026/03
Particular
Monthly Div HKD 0.14
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
--
Payable Date
2025/09/04
Announcement Date
2025/08/14
Code
03417
Name
A GX HSTCC
Financial Year
2026/03
Particular
Monthly Div HKD 0.13
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
--
Payable Date
2025/09/04
Announcement Date
2025/08/14
Code
03419
Name
A GX HSICC
Financial Year
2026/03
Particular
Monthly Div HKD 0.12
Ex-date
2025/08/29
Book Closed Date
2025/09/02
to
--
Payable Date
2025/09/04
Announcement Date
2025/03/27
Code
03808
Name
SINOTRUK
Financial Year
2024/12
Particular
Fin Div RMB 0.51 or HKD 0.55
Ex-date
2025/07/07
Book Closed Date
2025/07/09
to
2025/07/10
Payable Date
2025/09/04
Announcement Date
2025/07/31
Code
06823
Name
HKT-SS
Financial Year
2025/12
Particular
Int Div HKD 0.338
Ex-date
2025/08/15
Book Closed Date
2025/08/19
to
2025/08/20
Payable Date
2025/09/04
Announcement Date
2025/07/30
Code
80011
Name
HANGSENG BANK-R
Financial Year
2025/12
Particular
2nd Int Div HKD 1.3
Ex-date
2025/08/12
Book Closed Date
2025/08/14
to
--
Payable Date
2025/09/04
Announcement Date
2025/08/07
Code
02282
Name
MGM CHINA
Financial Year
2025/12
Particular
Int Div HKD 0.313
Ex-date
2025/08/20
Book Closed Date
2025/08/22
to
--
Payable Date
2025/09/03
Announcement Date
2025/06/25
Code
01213
Name
MOBICON GROUP
Financial Year
2025/03
Particular
Fin Div HKD 0.0025
Ex-date
2025/08/15
Book Closed Date
2025/08/19
to
2025/08/21
Payable Date
2025/09/01
Announcement Date
2025/03/27
Code
02880
Name
LIAONING PORT
Financial Year
2024/12
Particular
Fin Div RMB 0.0239 or HKD 0.02617
Ex-date
2025/07/02
Book Closed Date
2025/07/04
to
2025/07/09
Payable Date
2025/09/01
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