Quote | Super Quote
Announcement DateAccendingCodeNameFinancial YearParticularEx-date DateBook Closed DatePayable Date
14/03/202501083TG SMART ENERGY2024/12Sp Div HKD 0.03, with scrip option02/06/202504/06/2025
to
06/06/2025
14/07/2025
14/03/202501205CITIC RESOURCES2024/12Fin Div HKD 0.02618/06/202520/06/2025
to
24/06/2025
17/07/2025
14/03/202501299AIA2024/12Fin Div HKD 1.309828/05/202530/05/2025
to
--
12/06/2025
14/03/202501313CR BLDG MAT TEC2024/12Fin Div HKD 0.0105/06/202509/06/2025
to
13/06/2025
23/07/2025
14/03/202501378CHINAHONGQIAO2024/12Fin Div HKD 1.0221/05/202523/05/2025
to
29/05/2025
13/06/2025
14/03/202501497YAN PALACE2024/12Fin Div RMB 0.21514/05/202516/05/2025
to
21/05/2025
05/06/2025
14/03/202502378PRU2024/122nd Int Div USD 0.1629, with scrip option27/03/202531/03/2025
to
--
14/05/2025
14/03/202502386SINOPEC SEG2024/12Fin Div RMB 0.20813/05/202515/05/2025
to
20/05/2025
18/07/2025
14/03/202503416A GX HSCEICC2025/03Monthly Div HKD 0.1531/03/202502/04/2025
to
--
07/04/2025
14/03/202503419A GX HSICC2025/03Monthly Div HKD 0.1231/03/202502/04/2025
to
--
07/04/2025
14/03/202503660QFIN-S2024/12Fin Div USD 0.3522/04/202524/04/2025
to
--
28/05/2025
14/03/202508113V&V TECH2025/12Consolidation 10 into 122/05/2025----
14/03/202508143GF HEALTHCARE2026/03Rts 1 for 1 @HKD 0.0508/05/202512/05/2025
to
16/05/2025
30/06/2025
14/03/202509638FERRETTI2024/12Fin Div EUR 0.1------
14/03/202581299AIA-R2024/12Fin Div HKD 1.309828/05/202530/05/2025
to
--
12/06/2025
17/03/202500212NANYANG HOLD2024/12Fin Div HKD 0.726/05/202528/05/2025
to
30/05/2025
06/06/2025
17/03/202500212NANYANG HOLD2024/12Sp Div HKD 0.426/05/202528/05/2025
to
30/05/2025
06/06/2025
17/03/202500405YUEXIU REIT2024/12Fin Div RMB 0.0252 or HKD 0.027308/04/202510/04/2025
to
11/04/2025
23/05/2025
17/03/202500788CHINA TOWER2024/12Fin Div RMB 0.3079623/05/202527/05/2025
to
30/05/2025
30/06/2025
17/03/202500830CSC DEVELOPMENT2024/12Fin Div HKD 0.02824/06/202526/06/2025
to
27/06/2025
08/07/2025
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