Quote | Super Quote
Date   Code Name No. of Shares Issued Issue Price Total Fund Raised Type % of issued shs Raising Method
(Reason)
28/04/2025 08472LAPCO HOLDINGS19.200MHKD 0.270HKD 5.180MShares20.000Placing/Issue
(Enlarging the capital base)
28/04/2025 01011NT PHARMA274.752MHKD 0.450HKD 123.638MShares40.749Consideration Issue
(Acquisition Acquisition of business in AI medical image in the PRC; Consideration equal to RMB 116 mil)
28/04/2025 08163NOIZ GROUP30.860MHKD 0.100HKD 3.086MShares5.106Placing/Issue
(Business Development)
28/04/2025 08163NOIZ GROUP90.000MHKD 0.100HKD 9.000MShares14.891Consideration Issue
(Acquisition Acquisition of business in AI-driven technology platform)
28/04/2025 01468KINGKEY FIN INT705.479MHKD 0.146HKD 103.000MShares40.620Consideration Issue
(Acquisition Acquisition of business in investment & advisory service in Zurich)
28/04/2025 02012SUNSHINE OIL162.310MHKD 0.450HKD 73.040MShares55.553Consideration Issue
(Debt Repayment Consideration equal to CAD 13.05 mil)
25/04/2025 02522RIMAG GROUP9.750MHKD 20.000HKD 195.000MH2.736Placing/Issue
(Enlarging the capital base;Acquisition;Business Development)
25/04/2025 00200MELCO INT'L DEV758.342MHKD 1.029HKD 780.030MShares50.000Rights Issue/Open Offer
(Debt Repayment Rts 1 for 2 (on non-underwritten basis))
25/04/2025 01396GD-HKGBA HLDGS----USD 241.504MConvertible Bonds0.000Consideration Issue
(Debt Repayment Principal amount equivalent to approx HKD1.88 bn)
24/04/2025 08532POLYFAIR HLDGS----HKD 7.500MConvertible Bonds0.000Consideration Issue
(Acquisition Acquisition of works contractor in Hong Kong)
24/04/2025 00435SUNLIGHT REIT6.088MHKD 1.834HKD 11.166MShares0.353Consideration Issue
(Fee Payment)
24/04/2025 00435SUNLIGHT REIT5.641MHKD 1.992HKD 11.237MShares0.327Consideration Issue
(Fee Payment)
23/04/2025 01723HK ASIA HLDGS----HKD 52.378MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Business Development)
23/04/2025 01723HK ASIA HLDGS3.272MHKD 4.010HKD 13.121MShares0.818Placing/Issue
(Enlarging the capital base;Business Development)
22/04/2025 02330CHINA UPTOWN61.064MHKD 0.105HKD 6.400MShares19.305Placing/Issue
(Enlarging the capital base)
21/04/2025 00544DAIDO GROUP----HKD 45.000MConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Debt Repayment)
21/04/2025 00544DAIDO GROUP58.022MHKD 0.048HKD 2.790MShares20.000Placing/Issue
(Enlarging the capital base;Debt Repayment)
17/04/2025 02367GIANT BIOGENE35.000MHKD 66.650HKD 2.333BShares3.379Top Up Placing
(Enlarging the capital base;Business Development)
17/04/2025 00476EV DYNAMICS27.000MHKD 0.300HKD 8.100MShares13.501Placing/Issue
(Enlarging the capital base)
17/04/2025 00931CHINA HK POWER717.949MHKD 0.195HKD 140.000MShares10.757Consideration Issue
(Debt Repayment Loan capitalization)
17/04/2025 03896KINGSOFT CLOUD18.000MHKD 5.830HKD 104.940MShares0.473Placing/Issue
(Enlarging the capital base;Business Development Net proceeds equivalent to USD12.99 mil)
17/04/2025 03896KINGSOFT CLOUD259.500MUSD 0.751USD 194.971MShares6.819Placing/Issue
(Enlarging the capital base;Business Development Offer price equal to USD 11.27 per ADS; Each unit of ADS is equivalent to 15 shs)
17/04/2025 08128CHYY GP22.416MHKD 0.060HKD 1.345MShares0.498Placing/Issue
(Enlarging the capital base Disposal of treasury shares)
17/04/2025 03896KINGSOFT CLOUD69.375MHKD 5.830HKD 404.456MShares1.823Placing/Issue
(Enlarging the capital base;Business Development Net proceeds equivalent to USD 52.14 mil)
17/04/2025 02012SUNSHINE OIL48.696MHKD 0.350HKD 17.044MShares16.667Consideration Issue
(Debt Repayment Consideration equal to CAD 3.05 mil)
17/04/2025 01188HYBRID KINETIC----HKD 51.000MConvertible Bonds0.000Consideration Issue
(Acquisition Acquisition of business in film & television media in the PRC)
16/04/2025 00343CULTURECOM HOLD200.000MHKD 0.031HKD 6.200MWarrants11.986Placing/Issue
(Enlarging the capital base)
16/04/2025 00653BONJOUR HOLD1.343BHKD 0.080HKD 107.450MShares300.000Rights Issue/Open Offer
(Enlarging the capital base;Business Development Rts 3 for 1 (on non-underwritten basis); Net proceeds of HK$56.39 mil will be set off against the shareholder's loans)
16/04/2025 08246ZHONGHUA GAS230.000MHKD 0.119HKD 27.370MShares5.702Consideration Issue
(Debt Repayment Loan capitalization)
16/04/2025 00769CHINA RAREEARTH48.750MHKD 0.320HKD 15.600MShares2.082Placing/Issue
(Enlarging the capital base)
16/04/2025 02425AUSTASIA GROUP280.185MHKD 1.120HKD 313.810MShares40.000Rights Issue/Open Offer
(Enlarging the capital base;Debt Repayment Rts 2 for 5 (on non-underwritten basis))
15/04/2025 00136CHINA RUYI----HKD 2.341BConvertible Bonds0.000Placing/Issue
(Enlarging the capital base;Business Development)
15/04/2025 00970NEW SPARKLEROLL93.800MHKD 0.402HKD 37.700MShares20.000Placing/Issue
(Enlarging the capital base)
14/04/2025 00464CHINA IN-TECH46.000MHKD 0.220HKD 10.100MShares7.755Placing/Issue
(Enlarging the capital base;Debt Repayment)
14/04/2025 00660WAI CHUN BIOTEC----HKD 15.000MConvertible Bonds0.000Consideration Issue
(Debt Repayment)
11/04/2025 01091SOUTH MANGANESE685.692MHKD 0.210HKD 144.000MShares20.000Placing/Issue
(Enlarging the capital base;Debt Repayment)
11/04/2025 02309ZO FUTURE GROUP37.634MHKD 1.860HKD 70.000MShares4.616Placing/Issue
(Enlarging the capital base;Debt Repayment)
11/04/2025 08196FUTIAN HOLDINGS6.000MHKD 0.260HKD 1.560MShares18.787Placing/Issue
(Enlarging the capital base)
11/04/2025 00995ANHUIEXPRESSWAY49.982MHKD 10.450HKD 522.311MH3.013Placing/Issue
(Enlarging the capital base;Business Development)
11/04/2025 03395JX ENERGY----USD 1.515MConvertible Bonds0.000Consideration Issue
(Debt Repayment Principal amount equivalent to approx. HKD 11.79 mil)
 
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