Quote | Super Quote
Date   Code Name No. of Shares Issued Issue Price Total Fund Raised Type % of issued shs Raising Method
(Reason)
10/10/2024 08163NOIZ GROUP----HKD 101.000MConvertible Bonds0.000Consideration Issue
(Bonds/Notes Replacement Proceeds will be set off against the outstanding principal amount of the 2025 August CB in full)
10/10/2024 01520VIRTUAL MIND25.000MHKD 0.400HKD 10.000MShares3.997Placing/Issue
(Enlarging the capital base)
09/10/2024 01536YUK WING GP76.000MHKD 0.085HKD 6.460MShares20.000Placing/Issue
(Enlarging the capital base)
09/10/2024 06878DIFFER GP AUTO20.639MHKD 1.100HKD 22.700MShares43.939Placing/Issue
(Enlarging the capital base After share consolidation)
09/10/2024 08475E-STATION GTECH2.001MHKD 0.315HKD 630,428Shares3.428Placing/Issue
(Enlarging the capital base)
09/10/2024 09863LEAPMOTOR70.213MHKD 40.800HKD 2.865BULS5.252Placing/Issue
(Enlarging the capital base;Business Development Issue price equivalent to approx RMB 37.03; Net proceeds equivalent to approx RMB 2,600 mil.)
09/10/2024 08475E-STATION GTECH7.776MHKD 0.315HKD 2.449MShares13.320Consideration Issue
(Debt Repayment)
09/10/2024 02611GTJA626.174MRMB 15.970RMB 10.000BA7.033Placing/Issue
(Enlarging the capital base;Business Development;Debt Repayment)
08/10/2024 02359WUXI APPTEC----USD 500.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Business Development;Debt Repayment)
08/10/2024 08113V&V TECH484.541MHKD 0.050HKD 24.200MShares50.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development;Debt Repayment Rts 1 for 2 (on non-underwritten basis))
07/10/2024 06998GENOR-B1.821BHKD 2.899HKD 5.280BShares350.274Consideration Issue
(Acquisition Acquisition of business in integrated biopharmaceutical)
07/10/2024 00913HARBOUR DIGITAL59.136MHKD 0.240HKD 14.200MShares20.000Placing/Issue
(Enlarging the capital base;Business Development)
04/10/2024 01129WATER INDUSTRY287.361MHKD 0.450HKD 129.310MShares100.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development;Debt Repayment Rts 1 for 1 consolidated sh (on non-underwritten basis))
04/10/2024 08612WORLD SUPER172.800MHKD 0.018HKD 3.050MShares20.000Placing/Issue
(Enlarging the capital base)
04/10/2024 00164CHINA BAOLI TEC4.878MHKD 0.410HKD 2.000MShares5.006Consideration Issue
(Debt Repayment)
04/10/2024 00164CHINA BAOLI TEC4.878MHKD 0.410HKD 2.000MShares5.006Placing/Issue
(Enlarging the capital base)
04/10/2024 08051CIRCUTECH5.206MHKD 3.900HKD 20.300MShares22.217Placing/Issue
(Business Development)
04/10/2024 08179PALINDA GROUP716.534MHKD 0.100HKD 71.700MShares50.000Rights Issue/Open Offer
(Enlarging the capital base;Debt Repayment Rts 1 for 2 (on non-underwritten basis))
04/10/2024 08051CIRCUTECH2.605MHKD 3.000HKD 7.800MShares11.116Placing/Issue
(Business Development)
03/10/2024 01341HAO TIAN INTL1.524BHKD 0.400HKD 610.000MShares20.000Placing/Issue
(Enlarging the capital base;Business Development)
03/10/2024 01636CMRU----RMB 400.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Business Development Net proceeds equivalent to approx HKD 444 mil)
03/10/2024 02257SIRNAOMICS-B17.528MHKD 3.360HKD 58.900MShares20.000Placing/Issue
(Enlarging the capital base)
02/10/2024 00745CN CULTURE GP156.244MHKD 0.100HKD 15.600MShares200.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development Rts 2 for 1 (on non-underwritten basis))
02/10/2024 00776IMPERIUM TEC GP62.207MHKD 1.790HKD 111.351MShares20.000Placing/Issue
(Enlarging the capital base;Debt Repayment)
02/10/2024 02459SANERGY GROUP80.000MHKD 0.390HKD 31.200MShares7.547Top Up Placing
(Enlarging the capital base;Business Development)
02/10/2024 00381KIU HUNG INT'L53.221MHKD 0.150HKD 7.983MShares7.230Consideration Issue
(Debt Repayment Loan capitalization)
02/10/2024 00274RA SILK ROAD----HKD 3.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base)
30/09/2024 87001HUI XIAN REIT54.084MRMB 0.520RMB 28.124MShares0.844Consideration Issue
(Fee Payment)
30/09/2024 01020CYBERNAUT INT'L200.000MHKD 0.100HKD 20.000MShares4.986Placing/Issue
(Enlarging the capital base;Business Development)
29/09/2024 03738VOBILE GROUP----HKD 78.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Business Development)
27/09/2024 02147ZHENGWEI GROUP160.000MHKD 0.036HKD 5.760MShares16.667Placing/Issue
(Enlarging the capital base)
27/09/2024 00058SUNWAY INT'L----HKD 30.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base Subscription price totaled HKD 22.68 mil will be partially set-off against the amount due to the subscriber)
27/09/2024 00245CHINA VERED FIN2.468BHKD 0.052HKD 128.300MShares7.108Consideration Issue
(Acquisition Acquisition of business in banking & asset management; Consideration equivalent to USD 16.45 mil)
27/09/2024 00058SUNWAY INT'L35.920MHKD 0.100HKD 3.600MShares20.000Placing/Issue
(Enlarging the capital base)
27/09/2024 00340TONGGUAN GOLD----HKD 33.000MConvertible Bonds0.000Consideration Issue
(Acquisition Acquisition of business in mine engineering & construction; Principal amount equal to RMB 30 mil)
26/09/2024 02680INNOVAX H-NEW20.000MHKD 0.600HKD 12.000MShares50.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development Rts 1 for 2 consolidated shs (on non-underwritten basis))
26/09/2024 02998INNOVAX HLDGS20.000MHKD 0.600HKD 12.000MShares50.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development Rts 1 for 2 consolidated shs (on non-underwritten basis))
26/09/2024 01586LEON INSPECTION----USD 3.846MConvertible Bonds0.000Placing/Issue
(Business Development Principial amount equal to HKD 30 mil)
25/09/2024 01303HUILI RES85.820MHKD 0.450HKD 38.619MShares4.254Consideration Issue
(Debt Repayment)
24/09/2024 08412NEW AMANTE20.370MHKD 0.460HKD 9.370MShares19.995Placing/Issue
(Enlarging the capital base;Debt Repayment)
 
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