Announcement Date | Code![]() | Name | Financial Year | Particular | Ex-date Date | Book Closed Date | Payable Date |
14/08/2025 | 03419 | A GX HSICC | 2026/03 | Monthly Div HKD 0.12 | 29/08/2025 | 02/09/2025 to -- | 04/09/2025 |
14/08/2025 | 03417 | A GX HSTCC | 2026/03 | Monthly Div HKD 0.13 | 29/08/2025 | 02/09/2025 to -- | 04/09/2025 |
14/08/2025 | 03416 | A GX HSCEICC | 2026/03 | Monthly Div HKD 0.14 | 29/08/2025 | 02/09/2025 to -- | 04/09/2025 |
21/08/2025 | 03368 | PARKSON GROUP | 2025/12 | Int Div RMB 0.02 | 22/09/2025 | 24/09/2025 to 25/09/2025 | 15/10/2025 |
01/08/2025 | 03360 | FE HORIZON | 2025/12 | Int Div HKD 0.25 | 09/09/2025 | 11/09/2025 to 15/09/2025 | 24/09/2025 |
26/08/2025 | 03330 | LINGBAO GOLD | 2025/12 | Int Div RMB 0.164 | 19/09/2025 | 23/09/2025 to 28/09/2025 | 22/10/2025 |
29/08/2025 | 03328 | BANKCOMM | 2025/12 | Int Div RMB 0.1563 | -- | -- | -- |
26/08/2025 | 03320 | CHINARES PHARMA | 2025/12 | Int Div RMB 0.072 or HKD 0.0789 | 11/09/2025 | 15/09/2025 to 16/09/2025 | 31/10/2025 |
26/08/2025 | 03319 | A-LIVING | 2025/12 | Int Div RMB 0.062 | 27/11/2025 | 01/12/2025 to 04/12/2025 | 14/01/2026 |
21/08/2025 | 03316 | BINJIANG SER | 2025/12 | Int Div HKD 0.826 | 03/09/2025 | 05/09/2025 to 12/09/2025 | 19/09/2025 |
20/08/2025 | 03311 | CHINA STATE CON | 2025/12 | Int Div HKD 0.34 | 16/09/2025 | 18/09/2025 to -- | 10/10/2025 |
26/08/2025 | 03303 | JUTAL OIL SER | 2025/12 | Int Div HKD 0.015 | 22/09/2025 | 24/09/2025 to 26/09/2025 | 17/10/2025 |
28/08/2025 | 03288 | HAITIAN FLAV | 2025/12 | Int Div RMB 0.26 or HKD 0.2850452 | 16/09/2025 | 18/09/2025 to 25/09/2025 | 23/10/2025 |
27/08/2025 | 03190 | FB SSH HIGH DIV | 2025/12 | Quarterly Div HKD 0.3 | 19/09/2025 | 23/09/2025 to -- | 29/09/2025 |
06/08/2025 | 03146 | CAM 20 UST | 2025/12 | Dist per unit USD 0.95 | 21/08/2025 | 25/08/2025 to -- | 29/08/2025 |
15/08/2025 | 03075 | GX ASUSD BOND | 2026/03 | Monthly Div HKD 0.21 | 01/09/2025 | 03/09/2025 to -- | 05/09/2025 |
15/08/2025 | 03059 | GX AGREENBOND | 2026/03 | Dividend per unit HKD 0.39 | 01/09/2025 | 03/09/2025 to -- | 05/09/2025 |
15/08/2025 | 03041 | GX CN PB BOND | 2026/03 | Dividend per unit HKD 0.65 | 01/09/2025 | 03/09/2025 to -- | 05/09/2025 |
08/08/2025 | 02938 | CONANTOPTIC-500 | 2025/12 | Int Div RMB 0.15 | 11/09/2025 | 15/09/2025 to 17/09/2025 | 15/10/2025 |
06/08/2025 | 02909 | VC HOLDINGS-OLD | 2025/12 | Rts 2 for 1 @HKD 0.45 | 15/09/2025 | 17/09/2025 to 23/09/2025 | 20/10/2025 |
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