Quote | Super Quote
Announcement DateCodeNameFinancial YearParticularDescendingEx-date DateBook Closed DatePayable Date
15/08/202503075GX ASUSD BOND2026/03Monthly Div HKD 0.2101/09/202503/09/2025
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05/09/2025
15/08/202509075GX ASUSD BOND-U2026/03Monthly Div HKD 0.2101/09/202503/09/2025
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05/09/2025
14/08/202503416A GX HSCEICC2026/03Monthly Div HKD 0.1429/08/202502/09/2025
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04/09/2025
14/08/202503417A GX HSTCC2026/03Monthly Div HKD 0.1329/08/202502/09/2025
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04/09/2025
14/08/202503419A GX HSICC2026/03Monthly Div HKD 0.1229/08/202502/09/2025
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04/09/2025
15/08/202503466HS HIGH DIV2025/12Monthly Div HKD 0.1201/09/202503/09/2025
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09/09/2025
21/08/202500316OOIL2025/12Int Div USD 0.72 or HKD 5.616 or RMB 5.13804/09/202508/09/2025
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12/09/2025
15/10/2025
14/08/202503660QFIN-S2025/12Int Div USD 0.3805/09/202509/09/2025
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25/09/2025
19/08/202502057ZTO EXPRESS-W2025/12Int Div USD 0.329/09/202502/10/2025
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24/10/2025
15/08/202501308SITC2025/12Int Div USD 0.17 or HKD 1.328/08/202501/09/2025
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04/09/2025
16/09/2025
05/08/202500669TECHTRONIC IND2025/12Int Div USD 0.1609 or HKD 1.2502/09/202504/09/2025
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05/09/2025
19/09/2025
21/08/202502588BOC AVIATION2025/12Int Div USD 0.147622/09/202524/09/2025
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26/09/2025
13/10/2025
20/08/202501179HWORLD-S2025/12Int Div USD 0.08103/09/202505/09/2025
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09/09/2025
19/09/2025
28/08/202502610NANSHAN AL INTL2025/12Int Div USD 0.08 or HKD 0.6518/09/202522/09/2025
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26/09/2025
17/10/2025
22/08/202502378PRU2025/12Int Div USD 0.0771, with scrip option04/09/202508/09/2025
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16/10/2025
21/08/202509896MNSO2025/12Int Div USD 0.072404/09/202508/09/2025
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16/09/2025
28/08/202500133CHINA MERCHANTS2025/12Int Div USD 0.04 or HKD 0.31218/09/202522/09/2025
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25/09/2025
07/11/2025
15/08/202501928SANDS CHINA LTD2025/12Int Div USD 0.032 or HKD 0.2528/08/202501/09/2025
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12/09/2025
20/08/202502232CRYSTAL INTL2025/12Int Div USD 0.021 or HKD 0.16303/09/202505/09/2025
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09/09/2025
18/09/2025
28/08/202501199COSCO SHIP PORT2025/12Int Div USD 0.01928 or HKD 0.151, with scrip option10/09/202512/09/2025
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18/09/2025
21/11/2025
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