Date | No. of Shares Issued | Issue Price | Total Fund Raised | Type | % of Issued Shs | Raising Method (Reason) |
02/10/2024 | -- | -- | HKD 3.000M | Convertible Bonds | 0.000 | Placing/Issue (Enlarging the capital base) |
30/01/2024 | 800,000,000 | HKD 0.028 | HKD 22.400M | Shares | 37.868 | Placing/Issue (Enlarging the capital base;Debt Repayment) |
18/07/2023 | -- | -- | HKD 3.025M | Convertible Bonds | 0.000 | Placing/Issue (Enlarging the capital base Maturity Date changed to the date of the second anniversary of the date of Bondholder Agreement (2 Oct 2024);Interest rate amended to 6% p.a.) |
18/07/2023 | 294,318,174 | HKD 0.109 | HKD 32.081M | Shares | 16.186 | Placing/Issue (Enlarging the capital base) |
01/06/2023 | 236,716,397 | HKD 0.105 | HKD 24.900M | Shares | 14.967 | Placing/Issue (Enlarging the capital base) |
12/01/2023 | 66,334,814 | HKD 0.270 | HKD 17.910M | Shares | 4.378 | Consideration Issue (Debt Repayment) |
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Remark: | Information above for reference only; |
Real time quote last updated: 18/11/2024 17:55 | |
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