Quote | Super Quote
Announcement DateCodeAccendingNameFinancial YearParticularEx-date DateBook Closed DatePayable Date
03/09/202402828HSCEI ETF2024/12Fin Div HKD 0.9520/09/202424/09/2024
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27/09/2024
29/10/202402836ISHARES INDIA2024/12Fin Div USD 0.0313/11/202415/11/2024
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19/11/2024
03/09/202402838HS FCI50 ETF2024/12Fin Div HKD 1.8520/09/202424/09/2024
to
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27/09/2024
06/09/202402843AMUNDI A502024/09Fin Div RMB 0.320/09/202424/09/2024
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14/10/2024
29/10/202402846ISHARESCSI3002024/12Fin Div RMB 0.313/11/202415/11/2024
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19/11/2024
09/10/202402881WUHAN YOUJI2024/12Sp Div RMB 0.4823 or HKD 0.531423/10/202425/10/2024
to
29/10/2024
15/11/2024
25/09/202402901CROCODILE2024/12Consolidation 20 into 101/11/2024----
25/09/202402902BJ ENERGY INTL2024/12Consolidation 10 into 101/11/2024----
03/09/202402988BONJOUR H-OLD2024/12Consolidation 20 into 103/10/2024----
02/09/202402993DETAI NEWEN-OLD2025/06Consolidation 30 into 118/10/2024----
23/09/202402996GRAND OCEAN AR2024/12Consolidation 10 into 125/10/2024----
26/09/202402998INNOVAX HLDGS2025/02Rts 1 for 2 consolidated shs @HKD 0.628/10/202430/10/2024
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05/11/2024
06/12/2024
26/09/202402998INNOVAX HLDGS2025/02Consolidation 10 into 125/10/2024----
27/09/202402999KNT HOLDINGS2025/03Consolidation 20 into 131/10/2024----
24/10/202403001PP CNUSDPROP2024/12Dividend per unit USD 0.1708/11/202412/11/2024
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14/11/2024
29/10/202403010ISHARES AXJ2024/12Fin Div USD 0.1613/11/202415/11/2024
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19/11/2024
03/09/202403038HS ALOWCARBON2024/12Fin Div RMB 0.420/09/202424/09/2024
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27/09/2024
06/09/202403041GX CN PB BOND2025/03Dividend per unit HKD 0.6524/09/202426/09/2024
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30/09/2024
06/09/202403059GX AGREENBOND2025/03Dividend per unit HKD 0.3924/09/202426/09/2024
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30/09/2024
29/10/202403074ISHARESMSCITW2024/12Fin Div USD 0.5313/11/202415/11/2024
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19/11/2024
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