Quote | Super Quote
Date   Code Name No. of Shares Issued Issue Price Total Fund Raised Type % of issued shs Raising Method
(Reason)
19/12/2024 03800GCL TECH1.560BHKD 1.000HKD 1.560BShares5.795Placing/Issue
(Enlarging the capital base)
18/12/2024 02556MARKETINGFORCE1.000MHKD 110.000HKD 110.000MShares0.425Placing/Issue
(Enlarging the capital base;Business Development)
18/12/2024 00804PINESTONE81.210MHKD 0.176HKD 14.290MShares19.999Placing/Issue
(Enlarging the capital base)
18/12/2024 01907CHINA RISUN GP52.000MHKD 3.000HKD 156.000MShares1.181Top Up Placing
(Enlarging the capital base;Debt Repayment)
18/12/2024 08213STARGLORY HLDGS34.286MHKD 0.350HKD 12.000MShares6.584Placing/Issue
(Enlarging the capital base;Business Development)
17/12/2024 08613ORIENTAL PAY37.150MHKD 0.210HKD 7.800MShares1.957Placing/Issue
(Enlarging the capital base;Debt Repayment)
17/12/2024 01825STERLING GP57.600MHKD 0.070HKD 4.030MShares20.000Placing/Issue
(Enlarging the capital base)
17/12/2024 08037CH BIOTECH SER----USD 6.000MConvertible Bonds0.000Consideration Issue
(Bonds/Notes Replacement Principal amount equivalent to approx HKD 46.68 mil; Net proceeds in full will be set off against the existing CB that hold by subscriber)
16/12/2024 01783ENVISION GREEN21.553MHKD 6.000HKD 129.300MShares1.607Placing/Issue
(Enlarging the capital base;Business Development)
16/12/2024 08168AMASSE CAPITAL104.700MHKD 0.057HKD 5.970MShares9.518Placing/Issue
(Enlarging the capital base)
13/12/2024 01143CN ENGY STORAGE448.578MHKD 0.210HKD 94.200MShares200.000Rights Issue/Open Offer
(Enlarging the capital base;Acquisition;Business Development Rts 2 for 1 (on non-underwritten basis))
13/12/2024 08125ROYAL CEN RES135.458MHKD 0.289HKD 39.150MShares300.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development;Debt Repayment Rts 3 for 1 consolidated sh (on non-underwritten basis))
13/12/2024 00813SHIMAO GROUP----USD 397.759MConvertible Bonds0.000Consideration Issue
(Debt Repayment)
13/12/2024 00813SHIMAO GROUP----USD 12.663BConvertible Bonds0.000Consideration Issue
(Debt Repayment;Fee Payment Pay for restructuring consideration and work fee of the proposed restructuring)
12/12/2024 08511MIN FU INTL4.318MHKD 0.850HKD 3.670MShares19.994Placing/Issue
(Enlarging the capital base)
12/12/2024 01115TIBET WATER----HKD 165.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Debt Repayment)
12/12/2024 00033INTL GENIUS110.000MHKD 2.750HKD 302.500MShares19.705Placing/Issue
(Enlarging the capital base;Business Development)
11/12/2024 00020SENSETIME-W1.865BHKD 1.500HKD 2.798BCLB5.307Placing/Issue
(Enlarging the capital base;Business Development)
11/12/2024 80020SENSETIME-WR1.865BHKD 1.500HKD 2.798BCLB5.307Placing/Issue
(Enlarging the capital base;Business Development)
11/12/2024 02322MODERN INNO DT800.000MHKD 0.700HKD 560.000MShares19.415Placing/Issue
(Enlarging the capital base;Business Development)
11/12/2024 02498ROBOSENSE10.000MHKD 27.750HKD 277.500MShares2.218Placing/Issue
(Enlarging the capital base;Business Development)
11/12/2024 01942MOG DIGITECH212.121MHKD 0.990HKD 210.000MShares22.774Placing/Issue
(Enlarging the capital base;Business Development)
10/12/2024 01025KNT HOLDINGS151.638MHKD 0.290HKD 44.000MShares300.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development;Debt Repayment Rts 3 for 1 (on non-underwritten basis))
09/12/2024 00863OSL GROUP2.003MHKD 8.156HKD 16.300MShares0.320Consideration Issue
(Acquisition Acquisition of business in digital assets & blockchain platform in Europe; Consideration equal to USD 2.1 mil)
08/12/2024 08115SHANGHAI QINGPU----RMB 85.000MConvertible Bonds0.000Consideration Issue
(Acquisition Acquisition of business in the provision of fire safety training services in the PRC)
08/12/2024 08115SHANGHAI QINGPU28.000MRMB 1.000RMB 28.000MH14.939Consideration Issue
(Acquisition Acquisition of business in the provision of fire safety training services in the PRC; Issue price equal to approx HKD 1.1)
06/12/2024 02699XINMING CHINA75.145M - 83.778MHKD 1.120 - 1.120HKD 84.200M - 93.800MShares445.954Rights Issue/Open Offer
(Enlarging the capital base;Debt Repayment Rts 4 for 1 consolidated sh (on non-underwritten basis))
06/12/2024 06880TEMPUS HOLD392.918MHKD 0.127HKD 50.000MShares900.000Placing/Issue
(Enlarging the capital base;Debt Repayment After share consolidation; Consideration of HK$11.25 mil will be set off against the outstanding amounts under the Transaction Loan)
06/12/2024 08406CHINA ORAL IND228.000MHKD 0.140HKD 31.920MShares20.000Placing/Issue
(Enlarging the capital base;Business Development)
06/12/2024 00860APOLLO FMG----HKD 300.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Business Development)
04/12/2024 01372C CARBONNEUTRAL107.160MHKD 0.220HKD 23.575MShares20.000Placing/Issue
(Enlarging the capital base;Business Development;Debt Repayment)
03/12/2024 06128GRAPHEX GROUP704.284MHKD 0.170HKD 119.700MShares300.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development;Debt Repayment Rts 3 for 1 consolidated sh (on non-underwritten basis))
03/12/2024 02252MEDBOT-B34.700MHKD 7.850HKD 272.400MH3.572Placing/Issue
(Enlarging the capital base;Business Development)
03/12/2024 00755DEVGREAT29.759MHKD 1.300HKD 38.700MShares20.000Placing/Issue
(Enlarging the capital base;Debt Repayment After share consolidation)
03/12/2024 06918KIDZTECH----HKD 20.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Debt Repayment)
02/12/2024 01327LUXXU GROUP107.827MHKD 0.150HKD 16.200MShares100.000Rights Issue/Open Offer
(Enlarging the capital base;Debt Repayment Rts 1 for 1 consolidated sh (on non-underwritten basis))
02/12/2024 00711ASIA ALLIED INF95.008MHKD 0.500HKD 47.504MShares5.370Consideration Issue
(Acquisition Acquisition of business in supply chain management & sales of cement)
02/12/2024 01142E&P GLOBAL----USD 400.390MConvertible Bonds0.000Consideration Issue
(Bonds/Notes Replacement Principal amount equivalent to approx HKD 3123 mil.)
29/11/2024 01638KAISA GROUP----USD 1.000BConvertible Bonds0.000Consideration Issue
(Debt Repayment Issue mandatory convertible bonds)
29/11/2024 01638KAISA GROUP----USD 2.092BConvertible Bonds0.000Consideration Issue
(Debt Repayment Issue mandatory convertible bonds)
 
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