HKEX Filings, Page 1

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Row Stock
Code
CategoryA CategoryB Title Size
MB
File
Type
Filing Time
1 3190 Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-09 21:55
2 3431
3443
3447
3469
Trading Information of Exchange Traded Funds 3443, 3447,3431,3469 NEWS 0.01 XLSX 2026-02-09 21:54
3 3076 Trading Information of Exchange Traded Funds Summary Information (3076) 0.01 XLSX 2026-02-09 21:54
4 3111
3189
83111
83189
Trading Information of Exchange Traded Funds 83111, 3111, 83189, 3189 Information 0.01 XLSX 2026-02-09 21:53
5 2822
3005
3033
3147
3153
3193
3432
Trading Information of Exchange Traded Funds 2822, 3147, 3005, 3033, 3193, 3153, 3432 NEWS 0.01 XLSX 2026-02-09 21:52
6 753 Announcements and Notices Connected Transaction,
Issue of Shares under a Specific Mandate,
Overseas Regulatory Announcement - Issue of Securities and Related Matters
OVERSEAS REGULATORY ANNOUNCEMENT REVIEW AND APPROVAL OF APPLICATION FOR THE ISSUANCE OF A SHARES TO SPECIFIC INVESTORS BY THE SHANGHAI STOCK EXCHANGE 0.07 PDF 2026-02-09 21:48
7 2802
3101
3133
Trading Information of Exchange Traded Funds 3133, 2802, 3101 NEWS 0.01 XLSX 2026-02-09 21:47
8 8280 Announcements and Notices Connected Transaction,
Delay in Dispatch of Circular or other Document,
Major Transaction
SUPPLEMENTAL ANNOUNCEMENT IN RELATION TO MAJOR AND CONNECTED TRANSACTION CAPITAL REDUCTION IN A JOINT VENTURE; DELAY IN DESPATCH OF CIRCULAR 0.08 PDF 2026-02-09 21:46
9 6809 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 21:39
10 3199 Trading Information of Exchange Traded Funds 3199 NEWS 0.01 XLSX 2026-02-09 21:31
11 6809 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 21:31
12 3122 Trading Information of Exchange Traded Funds 3122 NEWS 0.01 XLSX 2026-02-09 21:29
13 3096 Trading Information of Exchange Traded Funds 3096 NEWS 0.01 XLSX 2026-02-09 21:27
14 2670 Announcements and Notices Inside Information,
Profit Warning
INSIDE INFORMATION PROFIT WARNING 0.06 PDF 2026-02-09 21:27
15 3053 Trading Information of Exchange Traded Funds 3053 NEWS 0.01 XLSX 2026-02-09 21:25
16 486 Announcements and Notices Overseas Regulatory Announcement - Other OVERSEAS REGULATORY ANNOUNCEMENT 0.09 PDF 2026-02-09 21:24
17 8031 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Announcement by Offeror Company under the Takeovers Code,
Delay in Dispatch of Circular or other Document
JOINT ANNOUNCEMENT DELAY IN DESPATCH OF COMPOSITE DOCUMENT RELATING TO MANDATORY UNCONDITIONAL CASH OFFER BY DL SECURITIES (HK) LIMITED FOR AND ON BEHALF OF JUMBO GROWTH TRADING LIMITED TO ACQUIRE ALL THE ISSUED SHARES OF ETS GROUP LIMITED (OTHER THAN THOSE ALREADY OWNED AND/OR AGREED TO BE ACQUIRED BY JUMBO GROWTH TRADING LIMITED AND PARTIES ACTING IN CONCERT WITH IT) 0.60 PDF 2026-02-09 21:17
18 6998 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 21:17
19 1789 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - BUSINESS UPDATE 0.09 PDF 2026-02-09 21:16
20 3011
9011
Trading Information of Exchange Traded Funds Stock Code : 9011, 3011 Information 0.02 XLSX 2026-02-09 21:16
21 3071 Trading Information of Exchange Traded Funds Stock Code : 3071 Information 0.02 XLSX 2026-02-09 21:15
22 951 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.05 PDF 2026-02-09 21:14
23 2720 Announcements and Notices Allotment Results ANNOUNCEMENT OF FINAL OFFER PRICE AND ALLOTMENT RESULTS 0.10 PDF 2026-02-09 21:10
24 951 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities ANNOUNCEMENT - PASSING AWAY OF EXECUTIVE DIRECTOR 0.05 PDF 2026-02-09 21:07
25 7234 Trading Information of Leveraged and Inverse Products Stock Code: 7234 Information 0.02 XLSX 2026-02-09 21:03
26 1703 Circulars Other Notification Letter and Reply Form to Non-Registered Holder - Notice of publication of Corporate Communications 0.40 PDF 2026-02-09 21:00
27 1703 Circulars Other Notification Letter and Reply Form to Registered Shareholders - Notice of publication of Corporation Communications 0.39 PDF 2026-02-09 20:59
28 468 Announcements and Notices Change in Auditors subject to Shareholders' Approval,
Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
UPDATE ANNOUNCEMENT PROPOSED CHANGE OF AUDITOR 2.00 PDF 2026-02-09 20:59
29 3081
9081
83081
Trading Information of Exchange Traded Funds 03081, 83081, 9081 Information 0.01 XLSX 2026-02-09 20:58
30 2621 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-09 20:56
31 379 Announcements and Notices Major Transaction SUPPLEMENTARY ANNOUNCEMENT IN RELATION TO THE SUPPLEMENTAL AGREEMENT TO THE DISPOSAL AGREEMENT 0.08 PDF 2026-02-09 20:56
32 1723 Documents on Display Documents on Display 0.00 2026-02-09 20:55
33 2339 Next Day Disclosure Returns Others NEXT DAY DISCLOSURE RETURN 0.08 PDF 2026-02-09 20:55
34 8448 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Announcement by Offeror Company under the Takeovers Code,
Change in Shareholding
JOINT ANNOUNCEMENT - (1) ACQUISITION OF SALE SHARES IN UNIVERSE PRINTSHOP HOLDINGS LIMITED; (2) UNCONDITIONAL MANDATORY CASH OFFER BY GEO SECURITIES LIMITED FOR AND ON BEHALF OF THE OFFEROR FOR ALL THE ISSUED SHARES IN UNIVERSE PRINTSHOP HOLDINGS LIMITED (OTHER THAN THOSE SHARES ALREADY OWNED AND/OR AGREED TO BE ACQUIRED BY THE OFFEROR, MR. CHEN AND PARTIES ACTING IN CONCERT WITH ANY OF THEM); AND (3) APPOINTMENT OF INDEPENDENT FINANCIAL ADVISER 0.13 PDF 2026-02-09 20:54
35 1723 Circulars Other Notification Letter to Non-Registered Shareholders and Request Form 0.19 PDF 2026-02-09 20:49
36 1723 Circulars Other Notification Letter to Registered Shareholders and Reply Form 0.19 PDF 2026-02-09 20:47
37 2431 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT ANNOUNCEMENT IN RELATION TO THE COMPANY'S DESIGN WIN FOR A NEW INTELLIGENT DRIVING AND INTELLIGENT CABIN PROJECT 0.43 PDF 2026-02-09 20:46
38 6667 Financial Statements/ESG Information Interim/Half-Year Report 2025 INTERIM REPORT 0.73 PDF 2026-02-09 20:45
39 1723 Circulars Connected Transaction DISCLOSEABLE AND CONNECTED TRANSACTION IN RELATION TO THE PURCHASE OF TENDER OFFER SECURITIES THROUGH THE LAUNCH OF TENDER OFFER IN THAILAND 0.59 PDF 2026-02-09 20:45
40 1372 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-09 20:45
41 2339 Announcements and Notices Connected Transaction,
Issue of Convertible Securities,
Issue of Shares under a Specific Mandate
COMPLETION OF THE ISSUE OF (1) CONNECTED SUBSCRIPTION SHARES; (2) SUBSCRIPTION SHARES; AND (3) CONVERTIBLE BONDS 0.41 PDF 2026-02-09 20:43
42 1773 Announcements and Notices Other - Miscellaneous VOLUNTARY ANNOUNCEMENT INCREASE IN SHAREHOLDING IN THE COMPANY BY A DIRECTOR 0.04 PDF 2026-02-09 20:36
43 2228 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT LEADING AUTOMATION CAPABILITIES OF XTALPI RECOGNIZED BY GLOBAL CHEMICAL GIANT- SUCCESSFUL LAUNCH OF ADVANCED AUTOMATED WORKSTATION AT BASF 0.07 PDF 2026-02-09 20:33
44 8521 Announcements and Notices Inside Information,
Other - Business Update
UPDATE ON FINANCIAL INFORMATION 0.45 PDF 2026-02-09 20:32
45 8622 Company Information Sheet COMPANY INFORMATION SHEET 0.29 PDF 2026-02-09 20:31
46 3134 Trading Information of Exchange Traded Funds 3134 NEWS 0.01 XLSX 2026-02-09 20:31
47 7233 Trading Information of Leveraged and Inverse Products 7233 NEWS 0.01 XLSX 2026-02-09 20:31
48 3003 Trading Information of Exchange Traded Funds 3003 NEWS 0.01 XLSX 2026-02-09 20:29
49 3174 Trading Information of Exchange Traded Funds 3174 NEWS 0.01 XLSX 2026-02-09 20:29
50 3109 Trading Information of Exchange Traded Funds 3109 NEWS 0.01 XLSX 2026-02-09 20:29
51 3004 Trading Information of Exchange Traded Funds 3004 NEWS 0.01 XLSX 2026-02-09 20:28
52 767 Announcements and Notices Connected Transaction,
Issue of Convertible Securities,
Issue of Shares under a Specific Mandate,
Major Transaction
FURTHER DELAY IN DESPATCH OF CIRCULAR MAJOR AND CONNECTED TRANSACTION IN RELATION TO ACQUISITION OF 25% ISSUED SHARE CAPITAL OF ASIAN INTEGRATED CELL LABORATORY LIMITED INVOLVING ISSUE OF CONVERTIBLE NOTES UNDER SPECIFIC MANDATE 0.09 PDF 2026-02-09 20:25
53 2357 Announcements and Notices Results of a Subsidiary PRELIMINARY FINANCIAL DATA OF JONHON FOR THE YEAR OF 2025 0.16 PDF 2026-02-09 20:21
54 NA Debt and Structured Products Daily Trading Report - CBBC HK and Shanghai Bank-Daily Trading Summary of Callable Bull/Bear Contracts 09/Feb/26 0.07 XLSX 2026-02-09 20:18
55 98 Announcements and Notices Issue of Debt Securities VOLUNTARY ANNOUNCEMENT COMPLETION OF THE ISSUANCE OF 2026 MEDIUM TERM NOTES TRANCE 1 0.13 PDF 2026-02-09 20:18
56 NA Debt and Structured Products Daily Trading Report - CBBC BNP Paribas Daily Trading Summary of Callable Bull/Bear Contract 0.05 XLSX 2026-02-09 20:17
57 NA Debt and Structured Products Daily Trading Report - DW BNP Paribas Daily Trading Summary of Derivative Warrants 0.04 XLSX 2026-02-09 20:17
58 NA Debt and Structured Products Daily Trading Report - DW HK and Shanghai Bank-Daily Trading Summary of Derivative Warrants 09/Feb/26 0.05 XLSX 2026-02-09 20:15
59 6831 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 20:06
60 432 Announcements and Notices Closure of Books or Change of Book Closure Period,
Final Results
Announcement of Annual Results for the year ended December 31, 2025 0.54 PDF 2026-02-09 20:06
61 2265 Announcements and Notices Discloseable Transaction SUPPLEMENTAL ANNOUNCEMENT DISCLOSEABLE TRANSACTION ACQUISITION OF THE TARGET COMPANY 0.10 PDF 2026-02-09 20:03
62 2520 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 20:00
63 817 Announcements and Notices Other - Business Update ANNOUNCEMENT UNAUDITED SALES DATA FOR JANUARY 2026 0.12 PDF 2026-02-09 20:00
64 9678 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-09 20:00
65 8247 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT HEFEI SUBSIDIARY AWARDED "2025 INNOVATIVE TECHNOLOGY RISING STAR ENTERPRISE" TITLE 0.09 PDF 2026-02-09 19:58
66 2520 Announcements and Notices Issue of Debt Securities RESULTS OF THE PUBLIC OFFERING OF CORPORATE BONDS 0.43 PDF 2026-02-09 19:57
67 9678 Constitutional Documents Articles of Association 0.58 PDF 2026-02-09 19:56
68 8247 Constitutional Documents Rules of Procedure of the Board of Directors 0.05 PDF 2026-02-09 19:56
69 8247 Constitutional Documents Articles of Association (Revised) 0.27 PDF 2026-02-09 19:55
70 8247 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION 0.08 PDF 2026-02-09 19:53
71 8247 Announcements and Notices Change in Chief Executive,
Change in Directors or of Important Executive Functions or Responsibilities,
Change of Audit Committee Member,
Change of Nomination Committee Member,
Change of Remuneration Committee Member,
Results of EGM/SGM
(1) POLL RESULTS OF THE EXTRAORDINARY GENERAL MEETING HELD ON 9 FEBRUARY 2026; (2) CHANGE OF DIRECTORS AND COMPOSITION OF BOARD COMMITTEES; AND (3) CHANGE OF CHAIRMAN OF THE BOARD 0.14 PDF 2026-02-09 19:52
72 6031 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 19:49
73 9678 Announcements and Notices Amendment of Constitutional Documents,
Issue of Shares under a General Mandate,
Placing
COMPLETION OF PLACING OF NEW H SHARES UNDER GENERAL MANDATE AND AMENDMENTS TO THE ARTICLES OF ASSOCIATION 0.51 PDF 2026-02-09 19:48
74 1062 Announcements and Notices Inside Information,
Profit Warning
PROFIT ALERT - REDUCTION IN LOSS 0.07 PDF 2026-02-09 19:45
75 2566 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-09 19:45
76 3320 Announcements and Notices Inside Information INSIDE INFORMATION POTENTIAL DISPOSAL OF TIANMAI BIOTECHNOLOGY 0.09 PDF 2026-02-09 19:44
77 1062 Announcements and Notices Net Asset Value NET ASSET VALUE 0.07 PDF 2026-02-09 19:39
78 738 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 19:37
79 8403 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION 0.10 PDF 2026-02-09 19:36
80 8403 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities,
Change of Audit Committee Member,
Change of Nomination Committee Member
(1) RESIGNATION OF DIRECTORS; (2) CHANGE OF THE CHAIRMAN OF THE BOARD; (3) CHANGE IN COMPOSITION OF AUDIT COMMITTEE; AND (4) CHANGE IN COMPOSITION OF NOMINATION COMMITTEE 0.11 PDF 2026-02-09 19:35
81 NA Debt and Structured Products Daily Trading Report - DW Societe Generale Daily Trading Summary of Derivative Warrants 0.04 XLSX 2026-02-09 19:29
82 NA Debt and Structured Products Daily Trading Report - CBBC Societe Generale Daily Trading Summary of Callable Bull/Bear Contract 0.07 XLSX 2026-02-09 19:29
83 6886 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 19:28
84 2598 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 19:27
85 527 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - LATEST BUSINESS DEVELOPMENT - XUANHUA ARTIFICIAL INTELLIGENCE COMPUTING POWER CENTRE PROJECT 0.78 PDF 2026-02-09 19:27
86 2803
3151
3173
3453
9151
9159
9173
9803
83151
Trading Information of Exchange Traded Funds 2803, 9803, 3173, 9173, 3453, 9159, 3151, 9151, 83151 NEWS 0.01 XLSX 2026-02-09 19:23
87 2392 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.09 PDF 2026-02-09 19:22
88 1798 Announcements and Notices Inside Information,
Issue of Debt Securities,
Overseas Regulatory Announcement - Issue of Securities and Related Matters
ANNOUNCEMENT - PUBLIC ISSUANCE OF RENEWABLE CORPORATE BONDS 0.14 PDF 2026-02-09 19:21
89 65 Announcements and Notices Change in Registered Address or Office, Registered Place of Business in HK or Agent for Service of Process in HK CHANGE OF ADDRESS OF HEAD OFFICE AND PRINCIPAL PLACE OF BUSINESS IN HONG KONG 0.12 PDF 2026-02-09 19:21
90 2392 Announcements and Notices Change in Chief Executive,
Change in Directors or of Important Executive Functions or Responsibilities,
Change of Audit Committee Member,
Change of Nomination Committee Member,
Change of Remuneration Committee Member
1. CHANGE OF CHAIRMAN OF THE BOARD, CHIEF EXECUTIVE OFFICER AUTHORISED REPRESENTATIVE; AND EXECUTIVE DIRECTORS; 2. CHANGE OF INDEPENDENT NON-EXECUTIVE DIRECTORS; AND 3. CHANGE OF COMPOSITION OF BOARD COMMITTEES 0.24 PDF 2026-02-09 19:20
91 3437
9437
83437
Trading Information of Exchange Traded Funds 03437 & 09437 & 83437 news 0.01 XLSX 2026-02-09 19:18
92 182 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION DISPOSAL OF PROJECT COMPANIES 0.09 PDF 2026-02-09 19:18
93 1373 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-09 19:17
94 2158 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 19:17
95 3039 Trading Information of Exchange Traded Funds 3039 Information 0.01 XLSX 2026-02-09 19:15
96 3118
83118
Trading Information of Exchange Traded Funds HARVEST MSCI CHINA A INDEX ETF <83118> <3118> INFORMATION 0.01 XLSX 2026-02-09 19:12
97 632 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT EXTENSION OF MEMORANDUM OF UNDERSTANDING ON COOPERATION 0.44 PDF 2026-02-09 19:12
98 1897 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 19:10
99 2832
82832
Trading Information of Exchange Traded Funds Stock Code : 82832,2832 Information 0.01 XLSX 2026-02-09 19:10
100 1026 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.04 PDF 2026-02-09 19:09
101 1961 Announcements and Notices List of Directors and their Role and Function List of Directors and their Roles and Functions 0.05 PDF 2026-02-09 19:09
102 3347 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 19:06
103 1961 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities APPOINTMENT OF INDEPENDENT NON-EXECUTIVE DIRECTOR AND COMPLIANCE WITH RULES 3.10(1) AND 3.10A OF THE LISTING RULES 0.06 PDF 2026-02-09 19:06
104 3347 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 19:04
105 1053 Announcements and Notices Amendment of Constitutional Documents,
Announcement by Offeree Company under the Takeovers Code,
Connected Transaction,
Issue of Shares under a Specific Mandate
MONTHLY UPDATE ON (1) CONNECTED TRANSACTION INVOLVING SUBSTANTIAL SHAREHOLDER SUBSCRIBING FOR NEW A SHARES; AND (2) APPLICATION FOR WHITEWASH WAIVER 0.06 PDF 2026-02-09 19:04
106 1396 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-09 19:03
107 6030 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 19:03
108 960 Announcements and Notices Other - Business Update UNAUDITED OPERATING STATISTICS AND LAND PLOTS ACQUIRED IN JANUARY 2026 0.04 PDF 2026-02-09 19:02
109 1643 Announcements and Notices Delay in Dispatch of Circular or other Document,
Major Transaction
DELAY IN DESPATCH OF CIRCULAR 0.08 PDF 2026-02-09 19:02
110 1496 Monthly Returns Monthly Return for Equity Issuer and Hong Kong Depositary Receipts listed under Chapter 19B of the Exchange Listing Rules on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-09 19:01
111 1396 Announcements and Notices Issue of Shares under a General Mandate COMPLETION OF SUBSCRIPTION OF NEW SHARES UNDER GENERAL MANDATE 0.26 PDF 2026-02-09 19:00
112 3070
9070
Trading Information of Exchange Traded Funds 3070, 9070 NEWS 0.01 XLSX 2026-02-09 18:58
113 3329 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITION OF NOTES 0.08 PDF 2026-02-09 18:58
114 3009
9009
Trading Information of Exchange Traded Funds 9009 & 3009 News 0.02 XLSX 2026-02-09 18:57
115 3008
9008
Trading Information of Exchange Traded Funds 9008 & 3008 News 0.02 XLSX 2026-02-09 18:57
116 3196
9196
83196
Trading Information of Exchange Traded Funds 9196 & 3196 & 83196 News 0.02 XLSX 2026-02-09 18:56
117 587 Announcements and Notices Delay in Dispatch of Circular or other Document CONTINUING CONNECTED TRANSACTIONS FURTHER DELAY IN DESPATCH OF CIRCULAR 0.05 PDF 2026-02-09 18:55
118 3156
9107
9156
Trading Information of Exchange Traded Funds 9156 & 3156 & 9107 News 0.02 XLSX 2026-02-09 18:55
119 59177
59180
59188
59195
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by BOCI Asia Limited 0.11 PDF 2026-02-09 18:54
120 16314
16332
20184
21983
50109
50238
51575
51854
52023
55484
64247
67788
67947
68931
69956
Debt and Structured Products Suspension - CBBC,
Suspension - DW,
Withdrawal of Listing - CBBC,
Withdrawal of Listing - DW,
Withdrawal of Listing (Announcement Form) - CBBC,
Withdrawal of Listing (Announcement Form) - DW
Suspension and Withdrawal of Listing Announcement of Derivative Warrants and Callable Bull/ Bear Contracts issued by UBS AG 0.04 PDF 2026-02-09 18:51
121 59161
59162
59165
59170
59172
59173
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by BOCI Asia Limited 0.12 PDF 2026-02-09 18:49
122 230 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Announcement by Offeror Company under the Takeovers Code,
Closure of Books or Change of Book Closure Period,
Group Restructuring or Scheme of Arrangement,
Privatisation/Withdrawal or Cancellation of Listing of Securities,
Results of EGM/SGM
JOINT ANNOUNCEMENT (1) PROPOSAL FOR THE PRIVATISATION OF MINMETALS LAND LIMITED BY JUNE GLORY INTERNATIONAL LIMITED BY WAY OF A SCHEME OF ARRANGEMENT UNDER SECTION 99 OF THE COMPANIES ACT AND (2) PROPOSED WITHDRAWAL OF LISTING OF MINMETALS LAND LIMITED RESULTS OF COURT MEETING AND SGM AND CLOSURE OF REGISTER OF MEMBERS 0.16 PDF 2026-02-09 18:48
123 138 Documents on Display Documents on Display 0.00 2026-02-09 18:47
124 25908
25909
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by BOCI Asia Limited 0.10 PDF 2026-02-09 18:43
125 411 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.12 PDF 2026-02-09 18:42
126 59290
59291
59292
59293
59344
59351
59354
59357
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.23 PDF 2026-02-09 18:42
127 59297
59298
59299
59301
59311
59312
59326
59328
59331
59332
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.24 PDF 2026-02-09 18:42
128 59334
59335
59337
59343
59347
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.23 PDF 2026-02-09 18:42
129 49973
49974
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.25 PDF 2026-02-09 18:42
130 25897
25898
25948
25949
25950
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by SG Issuer 0.22 PDF 2026-02-09 18:42
131 1347 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 18:40
132 3888 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:38
133 3996 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 18:38
134 3024 Trading Information of Exchange Traded Funds WISE SSE50 ETF <03024> INFORMATION 0.02 XLSX 2026-02-09 18:38
135 1810
81810
Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:37
136 884 Announcements and Notices Other - Trading Update UNAUDITED OPERATING STATISTICS FOR JANUARY 2026 0.08 PDF 2026-02-09 18:37
137 3129
83129
Trading Information of Exchange Traded Funds BOCHK GBA Climate Transition ETF <03129, 83129> Information 0.02 XLSX 2026-02-09 18:37
138 138 Circulars Other NOTIFICATION LETTER TO NON-REGISTERED SHAREHOLDERS AND REQUEST FORM 0.81 PDF 2026-02-09 18:37
139 2827 Trading Information of Exchange Traded Funds WISE CSI300 ETF <02827> INFORMATION 0.02 XLSX 2026-02-09 18:35
140 138 Circulars Other NOTIFICATION LETTER TO REGISTERED SHAREHOLDERS AND REQUEST FORM 0.81 PDF 2026-02-09 18:35
141 3108
83108
Trading Information of Exchange Traded Funds ETF_HKEX_Price_09022026_EN 0.01 XLSX 2026-02-09 18:34
142 9666 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:34
143 213 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:33
144 3182 Trading Information of Exchange Traded Funds WISE NEWECONESG ETF <03182> INFORMATION 0.01 XLSX 2026-02-09 18:33
145 2818 Trading Information of Exchange Traded Funds 2818 News 0.01 XLSX 2026-02-09 18:32
146 2825 Trading Information of Exchange Traded Funds WISE CSIHK100 ETF <02825> INFORMATION 0.02 XLSX 2026-02-09 18:32
147 58950
58951
58952
58957
58962
58963
58964
58971
58976
58977
58980
58989
58995
58996
58999
59001
59002
59003
59010
59011
59023
59028
59034
59035
59039
59041
59046
Debt and Structured Products Pre-Listing Trading Report - CBBC J.P. Morgan Structured Products B.V. - Pre Listing Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-09 18:31
148 25802
25803
25804
25805
25888
25889
25891
25892
Debt and Structured Products Pre-Listing Trading Report - DW J.P. Morgan Structured Products B.V. - Pre Listing Trading Summary of Derivative Warrants (Including Inline Warrants) 0.01 XLSX 2026-02-09 18:31
149 NA Debt and Structured Products Daily Trading Report - CBBC J.P. Morgan Structured Products B.V. - Daily Trading Summary of Callable Bull/Bear Contracts 0.06 XLSX 2026-02-09 18:31
150 NA Debt and Structured Products Daily Trading Report - DW J.P. Morgan Structured Products B.V. - Daily Trading Summary of Derivative Warrants (Including Inline Warrants) 0.08 XLSX 2026-02-09 18:31
151 3423 Trading Information of Exchange Traded Funds 3423 NEWS 0.01 XLSX 2026-02-09 18:30
152 3179
9179
Trading Information of Exchange Traded Funds 9179 & 3179 News 0.01 XLSX 2026-02-09 18:30
153 3439
9439
Trading Information of Exchange Traded Funds 9439 & 3439 News 0.01 XLSX 2026-02-09 18:30
154 1568 Announcements and Notices Sufficiency of Public Float ANNOUNCEMENT IN RELATION TO PUBLIC FLOAT 0.08 PDF 2026-02-09 18:30
155 138 Proxy Forms FORM OF PROXY 0.08 PDF 2026-02-09 18:29
156 3047
9047
Trading Information of Exchange Traded Funds 9047, 3047 NEWS 0.01 XLSX 2026-02-09 18:27
157 138 Announcements and Notices Notice of EGM/SGM NOTICE OF SPECIAL GENERAL MEETING 0.09 PDF 2026-02-09 18:27
158 2005 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - UPDATE ON PRODUCT DEVELOPMENT 0.14 PDF 2026-02-09 18:27
159 NA Debt and Structured Products Daily Trading Report - CBBC Huatai Financial Holdings (Hong Kong) Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-09 18:26
160 2586 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:26
161 9890 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:25
162 NA Debt and Structured Products Daily Trading Report - DW Huatai Financial Holdings (Hong Kong) Limited - Daily Trading Summary of Derivative Warrants 0.08 XLSX 2026-02-09 18:25
163 138 Circulars Change in Terms of Securities or Rights attaching to Securities,
Connected Transaction,
Exchange or Substitution of Securities
(1) PROPOSED CAPITAL REORGANISATION; (2) PROPOSED CHANGE IN BOARD LOT SIZE; (3) CONNECTED TRANSACTION IN RELATION TO THE AMENDMENTS TO THE 2025 CONVERTIBLE BONDS DUE 2025; AND (4) NOTICE OF SPECIAL GENERAL MEETING 0.53 PDF 2026-02-09 18:24
164 3069
9069
83069
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-09 18:24
165 2419 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:24
166 3161
83161
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-09 18:23
167 59532
59552
59554
59555
59556
59558
59559
59561
59563
59565
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by The Hongkong and Shanghai Banking Corporation Limited - 59532, 59552, 59554, 59555, 59556, 59558, 59559, 59561, 59563, 59565 0.14 PDF 2026-02-09 18:23
168 NA Debt and Structured Products Daily Trading Report - CBBC UBS - DAILY TRADING REPORT ON CBBC 0.09 XLSX 2026-02-09 18:23
169 NA Debt and Structured Products Daily Trading Report - DW UBS - DAILY TRADING REPORT ON DERIVATIVE WARRANT 0.06 XLSX 2026-02-09 18:23
170 2630 Announcements and Notices Share Scheme PROPOSED ADOPTION OF THE H SHARE AWARD SCHEME 0.06 PDF 2026-02-09 18:23
171 2839
3403
9403
9839
82839
83403
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-09 18:22
172 9922 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:21
173 59531
59567
59569
59570
59571
59574
59577
59578
59579
59580
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by The Hongkong and Shanghai Banking Corporation Limited - 59531, 59567, 59569, 59570, 59571, 59574, 59577, 59578, 59579, 59580 0.14 PDF 2026-02-09 18:21
174 3088
9088
83088
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-09 18:21
175 NA Debt and Structured Products Daily Trading Report - DW Guotai Junan Securities (Hong Kong) Limited - Daily Trading Summary of Derivative Warrants 0.03 XLSX 2026-02-09 18:20
176 6058 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITIONS OF TRUST CERTIFICATES 0.35 PDF 2026-02-09 18:20
177 NA Debt and Structured Products Daily Trading Report - CBBC Guotai Junan Securities (Hong Kong) Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.02 XLSX 2026-02-09 18:20
178 1729 Next Day Disclosure Returns Others NEXT DAY DISCLOSURE RETURN 0.08 PDF 2026-02-09 18:18
179 267 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 18:18
180 3329 Documents on Display Administrative and Non-Administrative Functions Support Services Sharing Framework Agreement 0.31 PDF 2026-02-09 18:18
181 25962
25963
25964
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by The Hongkong and Shanghai Banking Corporation Limited - 25962, 25963, 25964 0.13 PDF 2026-02-09 18:18
182 267 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 18:15
183 2675 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-09 18:15
184 NA Debt and Structured Products Daily Trading Report - DW The Bank of East Asia, Limited - Daily Trading Summary of Derivative Warrants 0.02 XLSX 2026-02-09 18:14
185 3112 Trading Information of Exchange Traded Funds 3112 News 0.01 XLSX 2026-02-09 18:14
186 NA Debt and Structured Products Daily Trading Report - DW Macquarie Bank Limited - Daily Trading Summary of Derivative Warrants 09/02/2026 0.11 XLSX 2026-02-09 18:13
187 3085 Trading Information of Exchange Traded Funds 3085 News 0.01 XLSX 2026-02-09 18:13
188 9676 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.08 PDF 2026-02-09 18:13
189 3056 Trading Information of Exchange Traded Funds 3056 News 0.01 XLSX 2026-02-09 18:13
190 3042
9042
83042
Trading Information of Exchange Traded Funds 9042 & 3042 & 83042 News 0.07 XLSX 2026-02-09 18:12
191 3046
9046
83046
Trading Information of Exchange Traded Funds 9046 & 3046 & 83046 News 0.03 XLSX 2026-02-09 18:12
192 2652 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-09 18:11
193 3012
83012
Trading Information of Exchange Traded Funds 3012 & 83012 News 0.02 XLSX 2026-02-09 18:11
194 3460
9460
83460
Trading Information of Exchange Traded Funds 9460 & 3460 & 83460 News 0.03 XLSX 2026-02-09 18:11
195 64 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION - PROVISION OF LOAN FACILITY 0.08 PDF 2026-02-09 18:10
196 2843
82843
Trading Information of Exchange Traded Funds 2843 & 82843 News 0.01 XLSX 2026-02-09 18:10
197 3037 Trading Information of Exchange Traded Funds 3037 news 0.01 XLSX 2026-02-09 18:08
198 6690 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 18:08
199 3933 Announcements and Notices Other - Business Update THE GROUP'S PRODUCT ROXITHROMYCIN CAPSULES PASSED THE CONSISTENCY EVALUATION 0.19 PDF 2026-02-09 18:07
200 58141 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 58141 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 DOCX 2026-02-09 18:07
201 59367 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-09 18:07
202 59380
59381
59382
59389
59498
59499
59517
59518
59520
59522
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-09 18:07
203 59523
59524
59527
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-09 18:07
204 6608 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-09 18:06
205 2419 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT OPERATION BRIEFINGS FOR JANUARY 2026 0.12 PDF 2026-02-09 18:05
206 2233
40756
Debt and Structured Products Redemption or Repurchase - Debt Securities RESULTS OF THE TENDER OFFER 0.06 PDF 2026-02-09 18:04
207 25905
25906
25907
25910
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Macquarie Bank Limited in relation to stock codes 25905 25906 25907 25910 0.11 PDF 2026-02-09 18:04
208 3329 Circulars Other Notification Letter to Registered Shareholders - Online Attendance at the EGM 0.32 PDF 2026-02-09 18:03
209 9961 Announcements and Notices Date of Board Meeting DATE OF AUDIT COMMITTEE MEETING AND ANNOUNCEMENT DATE OF FOURTH QUARTER AND FULL YEAR OF 2025 RESULTS 0.51 PDF 2026-02-09 18:03
210 8018 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION - PROVISION OF LOAN 0.05 PDF 2026-02-09 18:02
211 459 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION - PROVISION OF MORTGAGE LOAN 0.32 PDF 2026-02-09 18:01
212 1023 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.10 PDF 2026-02-09 18:00
213 3329 Circulars Other Notification Letter and Reply Form to Non-registered Shareholders 1.00 PDF 2026-02-09 17:58
214 8250 Announcements and Notices Inside Information,
Profit Warning
PROFIT WARNING 0.33 PDF 2026-02-09 17:57
215 NA Debt and Structured Products Daily Trading Report - CBBC BOCI Asia Limited Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-09 17:55
216 NA Debt and Structured Products Daily Trading Report - DW BOCI Asia Limited Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-09 17:55
217 3329 Circulars Other Notification Letter and Reply Form to Registered Shareholders 1.00 PDF 2026-02-09 17:54
218 1124 Announcements and Notices Announcement by Offeree Company under the Takeovers Code MONTHLY UPDATE ANNOUNCEMENT PURSUANT TO RULE 3.7 OF THE TAKEOVERS CODE 0.10 PDF 2026-02-09 17:54
219 697 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-09 17:53
220 59226 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.28 PDF 2026-02-09 17:52
221 59359 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-09 17:52
222 59390
59391
59395
59396
59398
59401
59402
59403
59404
59406
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-09 17:52
223 59362
59407
59410
59411
59412
59416
59417
59488
59493
59528
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-09 17:52
224 59419
59420
59422
59425
59426
59428
59429
59431
59434
59492
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-09 17:52
225 59435
59436
59443
59449
59450
59451
59453
59457
59458
59459
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-09 17:52
226 59460
59461
59462
59464
59469
59472
59473
59474
59475
59477
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-09 17:52
227 59366
59478
59479
59480
59483
59485
59496
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-09 17:52
228 25940 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.18 PDF 2026-02-09 17:52
229 25941
25942
25943
25944
25945
25946
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.18 PDF 2026-02-09 17:52
230 25947 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.37 PDF 2026-02-09 17:52
231 1072 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 17:52
232 1273 Announcements and Notices Change in Shareholding VOLUNTARY ANNOUNCEMENT TRANSFER OF SHARES BY CONTROLLING SHAREHOLDER 0.18 PDF 2026-02-09 17:51
233 59217
59218
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.32 PDF 2026-02-09 17:51
234 8250 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.33 PDF 2026-02-09 17:51
235 2392 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 17:51
236 2235 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 17:51
237 59201
59202
59203
59221
59223
59224
59225
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.32 PDF 2026-02-09 17:50
238 25893
25911
25912
25917
25918
25919
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Morgan Stanley Asia Products Limited 0.29 PDF 2026-02-09 17:49
239 470 Announcements and Notices Other - Miscellaneous ANNOUNCEMENT OF OFFER PRICE 0.04 PDF 2026-02-09 17:49
240 1919 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 17:48
241 1816 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 17:45
242 956 Announcements and Notices Other - Business Update KEY OPERATING DATA OF JANUARY 2026 0.07 PDF 2026-02-09 17:45
243 NA Debt and Structured Products Daily Trading Report - CBBC DBS Bank Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-09 17:44
244 NA Debt and Structured Products Daily Trading Report - DW DBS Bank Limited - Daily Trading Summary of Derivative Warrants 0.02 XLSX 2026-02-09 17:44
245 3461
3471
3472
9472
83461
Trading Information of Exchange Traded Funds E_SCB_summ_CAMCDMMFETF_20260209.xlsx 0.01 XLSX 2026-02-09 17:44
246 25902
25903
25904
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25902, 25903, 25904 issued by Citigroup Global Markets Europe AG 0.19 PDF 2026-02-09 17:43
247 2400 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-09 17:43
248 1841 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-09 17:43
249 1825 Circulars Other Notification Letter and Request Form to Non-Registered Shareholders - Notification of Publication of Circular and Notice of Extraordinary General Meeting 0.55 PDF 2026-02-09 17:43
250 956 Announcements and Notices Change in Company Secretary CHANGE OF BOARD SECRETARY AND JOINT COMPANY SECRETARY AND WAIVER FROM STRICT COMPLIANCE WITH RULES 3.28 AND 8.17 OF THE LISTING RULES 0.08 PDF 2026-02-09 17:43
251 3329 Proxy Forms FORM OF PROXY FOR EXTRAORDINARY GENERAL MEETING TO BE HELD ON WEDNESDAY, 4 MARCH 2026 AND AT ANY ADJOURNMENT THEREOF 0.07 PDF 2026-02-09 17:43
252 59100
59103
59110
59117
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 59100, 59103, 59110, 59117 issued by Citigroup Global Markets Europe AG 0.19 PDF 2026-02-09 17:42
253 NA Debt and Structured Products Daily Trading Report - CBBC Citigroup Global Markets Europe AG - Daily Trading Summary of CBBC 0.02 XLSX 2026-02-09 17:42
254 3329 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF EXTRAORDINARY GENERAL MEETING 0.06 PDF 2026-02-09 17:39
255 8066 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns - Share Buyback 0.09 PDF 2026-02-09 17:39
256 1825 Circulars Other Notification Letter and Reply Form to Registered Shareholders - Notification of publication of Publication of Circular, Notice of Extraordinary General Meeting and Proxy Form 0.67 PDF 2026-02-09 17:38
257 3425
9425
Trading Information of Exchange Traded Funds 3425&9425 News 0.02 XLSX 2026-02-09 17:38
258 6963 Announcements and Notices Connected Transaction CONNECTED TRANSACTION CAPITAL INCREASE IN SUNSHINE AMC (HK) 0.10 PDF 2026-02-09 17:37
259 3430
9430
Trading Information of Exchange Traded Funds 3430&9430 News 0.02 XLSX 2026-02-09 17:37
260 3329 Circulars Continuing Connected Transaction CONTINUING CONNECTED TRANSACTIONS IN RELATION TO THE ADMINISTRATIVE AND NON-ADMINISTRATIVE FUNCTIONS SUPPORT SERVICES SHARING FRAMEWORK AGREEMENT AND NOTICE OF EXTRAORDINARY GENERAL MEETING 0.32 PDF 2026-02-09 17:34
261 8431 Company Information Sheet COMPANY INFORMATION SHEET 0.27 PDF 2026-02-09 17:33
262 2778
40253
Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.37 PDF 2026-02-09 17:33
263 1825 Proxy Forms FORM OF PROXY FOR USE AT THE EXTRAORDINARY GENERAL MEETING TO BE HELD ON 2 MARCH 2026 (OR AT ANY ADJOURNMENT THEREOF) 0.04 PDF 2026-02-09 17:32
264 331 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.17 PDF 2026-02-09 17:32
265 NA Debt and Structured Products Daily Trading Report - DW Citigroup Global Markets Europe AG - Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-09 17:31
266 8431 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-09 17:30
267 3421 Trading Information of Exchange Traded Funds Stock Code: 3421 Information 0.02 XLSX 2026-02-09 17:29
268 3420
83420
Trading Information of Exchange Traded Funds Stock Code: 3420 Information 0.02 XLSX 2026-02-09 17:29
269 1825 Announcements and Notices Notice of EGM/SGM NOTICE OF THE EXTRAORDINARY GENERAL MEETING 0.05 PDF 2026-02-09 17:28
270 3480
9480
Trading Information of Exchange Traded Funds Stock Code: 3480 Information 0.02 XLSX 2026-02-09 17:28
271 9896 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-09 17:28
272 3176
9176
Trading Information of Exchange Traded Funds Stock Code: 3176 9176 Information 0.01 XLSX 2026-02-09 17:27
273 659 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.15 PDF 2026-02-09 17:27
274 3457 Trading Information of Exchange Traded Funds Stock Code: 3457 Information 0.01 XLSX 2026-02-09 17:27
275 2691 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 17:26
276 49975
49977
49979
49980
49982
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.21 PDF 2026-02-09 17:26
277 49976 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.21 PDF 2026-02-09 17:26
278 49978
49981
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.21 PDF 2026-02-09 17:26
279 1623 Announcements and Notices Inside Information,
Winding Up and Liquidation of Issuer, its Holding Company or Major Subsidiary
DISMISSAL OF WINDING-UP PETITION 0.08 PDF 2026-02-09 17:25
280 2691 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 17:24
281 3192
83192
Trading Information of Exchange Traded Funds Stock Code: 3192 Information 0.02 XLSX 2026-02-09 17:24
282 3152 Trading Information of Exchange Traded Funds Stock Code: 3152 Information 0.01 XLSX 2026-02-09 17:23
283 1825 Circulars Exchange or Substitution of Securities (1) PROPOSED CAPITAL REORGANISATION; (2) CHANGE IN BOARD LOT SIZE; AND (3) NOTICE OF EXTRAORDINARY GENERAL MEETING 0.08 PDF 2026-02-09 17:22
284 1066 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN - SHARE BUYBACK 0.09 PDF 2026-02-09 17:20
285 1044 Announcements and Notices Issue of Debt Securities VOLUNTARY ANNOUNCEMENT ISSUE OF THE SECOND TRANCHE SUPER SHORT-TERM COMMERCIAL PAPERS 0.09 PDF 2026-02-09 17:19
286 103 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-09 17:17
287 8168 Next Day Disclosure Returns Others Next Day Disclosure Returns 0.08 PDF 2026-02-09 17:14
288 55061
56685
56707
58081
58090
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 56685, 56707, 58081, 55061, 58090 issued by BNP PARIBAS ISSUANCE B.V. 0.04 PDF 2026-02-09 17:12
289 66235 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 66235 issued by BNP PARIBAS ISSUANCE B.V. 0.04 PDF 2026-02-09 17:12
290 6881 Announcements and Notices Issue of Debt Securities ANNOUNCEMENT COMPLETION OF ISSUANCE OF 2026 FOURTH TRANCHE OF SHORT-TERM COMMERCIAL PAPER 0.07 PDF 2026-02-09 17:12
291 724 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.13 PDF 2026-02-09 17:10
292 55703
60887
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry issued by UBS AG 0.02 PDF 2026-02-09 17:08
293 11065
11066
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.17 PDF 2026-02-09 17:07
294 732 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-09 17:06
295 25894
25895
25896
25955
25956
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-09 17:06
296 25957
25958
25959
25960
25961
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-09 17:06
297 25965 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-09 17:06
298 59581
59582
59583
59585
59586
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-09 17:06
299 59587
59588
59598
59601
59602
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.21 PDF 2026-02-09 17:06
300 59590
59591
59593
59594
59595
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-09 17:06
301 59596 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-09 17:06
302 59604
59609
59610
59613
59615
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.21 PDF 2026-02-09 17:06
303 59616
59617
59618
59627
59631
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.21 PDF 2026-02-09 17:06
304 59633 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.20 PDF 2026-02-09 17:06
305 55021
56529
56545
57851
57852
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55021, 56545, 57852, 56529, 57851 issued by BOCI Asia Limited 0.04 PDF 2026-02-09 17:05
306 55093 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of European Style Cash Settled Category R Callable Bull/ Bear Contracts ("CBBCs") issued by Guotai Junan Securities (Hong Kong) Limited 0.04 PDF 2026-02-09 17:05
307 2007 Next Day Disclosure Returns Others NEXT DAY DISCLOSURE RETURN 0.08 PDF 2026-02-09 17:05
308 57836 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 57836 issued by BOCI Asia Limited 0.04 PDF 2026-02-09 17:04
309 27 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.11 PDF 2026-02-09 17:04
310 1274 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-09 17:04
311 2302 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.10 PDF 2026-02-09 17:03
312 336 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-09 17:02
313 55267
55270
56990
56991
58238
58241
58247
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-09 17:01
314 57233
58221
58223
58224
66659
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-09 17:01
315 855 Announcements and Notices Continuing Connected Transaction RENEWAL OF CONTINUING CONNECTED TRANSACTIONS 0.13 PDF 2026-02-09 17:01
316 667 Announcements and Notices Inside Information,
Profit Warning
ANNOUNCEMENT - POSITIVE PROFIT ALERT 0.04 PDF 2026-02-09 17:00
317 57427
57429
57433
57501
58050
58051
58052
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-09 17:00
318 58026
58027
66388
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-09 17:00
319 NA Debt and Structured Products Daily Trading Report - CBBC Morgan Stanley Asia Products Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.02 XLSX 2026-02-09 16:59
320 NA Debt and Structured Products Daily Trading Report - DW Morgan Stanley Asia Products Limited - Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-09 16:59
321 8232 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.20 PDF 2026-02-09 16:58
322 3958 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 16:58
323 1611 Circulars Other Notification Letter with Request Form to Non-Registered Shareholders 0.18 PDF 2026-02-09 16:58
324 2167 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-09 16:58
325 1611 Circulars Other Notification Letter with Reply Form to Registered Shareholders 0.18 PDF 2026-02-09 16:57
326 3427 Announcements and Notices Dividend or Distribution (Announcement Form) Further Distribution Announcement 0.04 PDF 2026-02-09 16:57
327 55162
56833
56880
57978
57979
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Morgan Stanley Asia Products Limited - Notice of Valuation of Residual Value of Callable Bull/Bear Contracts 0.04 PDF 2026-02-09 16:56
328 57939 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Morgan Stanley Asia Products Limited - Notice of Valuation of Residual Value of Callable Bull/Bear Contracts 0.04 PDF 2026-02-09 16:56
329 1611 Proxy Forms Form of appointment of proxy for the Extraordinary General Meeting ("Meeting") of the Company to be held on 27 February 2026 (or any adjournment thereof) 0.08 PDF 2026-02-09 16:55
330 59128
59153
59155
59159
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 59155, 59128, 59153, 59159 issued by DBS BANK LTD. 0.33 PDF 2026-02-09 16:53
331 59120
59140
59151
59154
59157
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 59140, 59154, 59120, 59157, 59151 issued by DBS BANK LTD. 0.33 PDF 2026-02-09 16:53
332 59152
59160
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 59152, 59160 issued by DBS BANK LTD. 0.34 PDF 2026-02-09 16:52
333 8 Announcements and Notices Other - Miscellaneous OFFER RECEIVED FOR FURTHER INVESTMENT IN OUR SUBSIDIARY 0.25 PDF 2026-02-09 16:51
334 1611 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF EXTRAORDINARY GENERAL MEETING 0.09 PDF 2026-02-09 16:51
335 2566 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - JY54 INJECTION IND APPLICATION FORMALLY ACCEPTED BY CDE 0.10 PDF 2026-02-09 16:51
336 59281
59282
59283
59284
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Guotai Junan Securities (Hong Kong) Limited 0.47 PDF 2026-02-09 16:50
337 1703 Announcements and Notices Inside Information,
Winding Up and Liquidation of Issuer, its Holding Company or Major Subsidiary
UPDATE OF WINDING-UP PETITION HEARING 0.07 PDF 2026-02-09 16:50
338 56011
59954
Debt and Structured Products Expiry Announcement - CBBC Announcement on Mandatory Call Event and Early Termination of CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.15 PDF 2026-02-09 16:50
339 58387
66862
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Announcement on Valuation of Residual Value in relation to CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.04 PDF 2026-02-09 16:50
340 55957
57577
57580
57584
58206
58254
58344
58353
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Announcement on Valuation of Residual Value in relation to CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.04 PDF 2026-02-09 16:50
341 3427 Announcements and Notices Dividend or Distribution (Announcement Form) FINAL DISTRIBUTION ANNOUNCEMENT 0.04 PDF 2026-02-09 16:50
342 58118
58119
61290
66757
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 61290,66757,58118,58119 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 PDF 2026-02-09 16:50
343 56410
56433
57879
57882
57885
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 56410, 57882, 57879, 56433, 57885 issued by DBS BANK LTD. 0.04 PDF 2026-02-09 16:50
344 3347 Announcements and Notices Amendment of Constitutional Documents,
Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF THE 2026 FIRST EXTRAORDINARY GENERAL MEETING 0.42 PDF 2026-02-09 16:49
345 3347 Proxy Forms Form of Proxy for the 2026 First Extraordinary General Meeting to be held on Thursday, March 5, 2026 0.42 PDF 2026-02-09 16:49
346 56213
60769
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 60769, 56213 issued by DBS BANK LTD. 0.11 PDF 2026-02-09 16:49
347 25951
25952
25954
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Guotai Junan Securities (Hong Kong) Limited 0.94 PDF 2026-02-09 16:49
348 2378 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-09 16:49
349 3347 Circulars Amendment of Constitutional Documents (1) CHANGE OF REGISTERED ADDRESS OF THE COMPANY AND PROPOSED AMENDMENTS TO THE ARTICLES OF ASSOCIATION; AND (2) NOTICE OF 2026 FIRST EXTRAORDINARY GENERAL MEETING 0.48 PDF 2026-02-09 16:48
350 532 Announcements and Notices Overseas Regulatory Announcement - Trading Update Overseas Regulatory Announcement 0.17 PDF 2026-02-09 16:48
351 8 Announcements and Notices Inside Information ANNOUNCEMENT OF ANNUAL RESULTS OF HKT TRUST AND HKT LIMITED FOR THE YEAR ENDED 31 DECEMBER 2025 0.24 PDF 2026-02-09 16:48
352 55403
56807
57742
58133
58138
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55403,57742,58133,56807,58138 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 PDF 2026-02-09 16:48
353 57808 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event and Early Expiry of European Style Cash Settled Category R Callable Bull/ Bear Contracts ("CBBCs") issued by Guotai Junan Securities (Hong Kong) Limited 0.28 PDF 2026-02-09 16:47
354 527 Circulars Other Notification Letter to Non-registered Shareholders and Request Form 1.00 PDF 2026-02-09 16:47
355 1046 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.40 PDF 2026-02-09 16:46
356 1611 Circulars Amendment of Constitutional Documents,
Other
(1) PROPOSED CHANGE OF COMPANY NAME; (2) PROPOSED AMENDMENTS TO THE ARTICLES; AND (3) NOTICE OF EGM 0.21 PDF 2026-02-09 16:45
357 6049 Documents on Display Renewed Parking Space Agency Framework Agreement (Phase II) 0.36 PDF 2026-02-09 16:45
358 6823 Announcements and Notices Other - Miscellaneous Offer Received for Further Investment in our Subsidiary 0.25 PDF 2026-02-09 16:44
359 527 Circulars Other Notification Letter to Registered Shareholders and Reply Form 1.00 PDF 2026-02-09 16:44
360 527 Proxy Forms Form of proxy for use by shareholders at the Extraordinary General Meeting of the Company ("EGM") to be held on 11:00 a.m., Friday, 6 March 2026 and any adjournment thereof 0.46 PDF 2026-02-09 16:43
361 2361 Announcements and Notices Sufficiency of Public Float SUPPLEMENTAL ANNOUNCEMENT ON THE STATUS OF THE PUBLIC FLOAT 0.03 PDF 2026-02-09 16:41
362 NA Debt and Structured Products Daily Trading Report - CBBC CITIC Securities Brokerage (HK) Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.02 XLSX 2026-02-09 16:41
363 6823 Announcements and Notices Dividend or Distribution (Announcement Form) Final Dividend/Distribution for the year ended 31 December 2025 0.04 PDF 2026-02-09 16:41
364 1053 Announcements and Notices Amendment of Constitutional Documents,
Announcement by Offeree Company under the Takeovers Code,
Connected Transaction,
Delay in Dispatch of Circular or other Document,
Issue of Shares under a Specific Mandate
DELAY IN DESPATCH OF CIRCULAR IN RELATION TO (1) CONNECTED TRANSACTION INVOLVING SUBSTANTIAL SHAREHOLDER SUBSCRIBING FOR NEW A SHARES; AND (2) APPLICATION FOR WHITEWASH WAIVER 0.06 PDF 2026-02-09 16:41
365 6049 Proxy Forms PROXY FORM FOR THE FIRST EXTRAORDINARY GENERAL MEETING OF 2026 0.05 PDF 2026-02-09 16:40
366 6823 Announcements and Notices Closure of Books or Change of Book Closure Period,
Dividend or Distribution,
Final Results
Annual Results Announcement for the year ended 31 December 2025 0.57 PDF 2026-02-09 16:40
367 NA Debt and Structured Products Daily Trading Report - DW CITIC Securities Brokerage (HK) Limited - Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-09 16:40
368 943 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.08 PDF 2026-02-09 16:40
369 527 Announcements and Notices Notice of EGM/SGM NOTICE OF EXTRAORDINARY GENERAL MEETING 0.46 PDF 2026-02-09 16:39
370 25928
25929
25931
25936
25938
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Huatai Financial Holdings (Hong Kong) Limited 0.33 PDF 2026-02-09 16:38
371 616 Announcements and Notices Change of Company Name,
Results of EGM/SGM
POLL RESULTS OF THE SPECIAL GENERAL MEETING HELD ON 9 FEBRUARY 2026 0.16 PDF 2026-02-09 16:38
372 9666 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-09 16:37
373 25925
25934
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Huatai Financial Holdings (Hong Kong) Limited 0.32 PDF 2026-02-09 16:37
374 56331
56334
58174
58179
58187
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by CITIC Securities Brokerage (HK) Limited 0.04 PDF 2026-02-09 16:37
375 9903 Circulars Other Notification Letter and Reply Form to Non-registered Shareholders - Arrangement of Electronic Dissemination of Corporate Communications 0.74 PDF 2026-02-09 16:36
376 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-09 16:36
377 768 Announcements and Notices Net Asset Value Net Asset Value 0.07 PDF 2026-02-09 16:36
378 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-09 16:36
379 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-09 16:36
380 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-09 16:36
381 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-09 16:36
382 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-09 16:36
383 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.09 PDF 2026-02-09 16:36
384 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-09 16:36
385 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-09 16:36
386 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-09 16:36
387 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-09 16:36
388 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-09 16:36
389 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-09 16:36
390 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-09 16:36
391 59273
59277
59278
59280
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Huatai Financial Holdings (Hong Kong) Limited 0.28 PDF 2026-02-09 16:36
392 56314 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56314 issued by Citigroup Global Markets Europe AG / Notice of Valuation of Mandatory Call Payoff in relation to stock code 56314 issued by Citigroup Global Markets Europe AG 0.12 PDF 2026-02-09 16:36
393 1428 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-09 16:35
394 1428 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-09 16:35
395 1428 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-09 16:35
396 1349 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-09 16:35
397 6049 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF THE FIRST EXTRAORDINARY GENERAL MEETING OF 2026 0.05 PDF 2026-02-09 16:35
398 333 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.06 PDF 2026-02-09 16:35
399 1703 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of AGM
NOTICE OF ANNUAL GENERAL MEETING 0.09 PDF 2026-02-09 16:34
400 57159
61211
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.02 PDF 2026-02-09 16:34
401 175
80175
Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-09 16:33
402 2549 Announcements and Notices Inside Information,
Profit Warning
PROFIT WARNING 0.44 PDF 2026-02-09 16:33
403 527 Circulars Issue of Convertible Securities,
Issue of Shares
(1) PROPOSED SUBSCRIPTION OF NEW SHARES UNDER SPECIFIC MANDATE; (2) PROPOSED SUBSCRIPTION OF CONVERTIBLE BONDS UNDER SPECIFIC MANDATE; AND (3) NOTICE OF EGM 1.00 PDF 2026-02-09 16:33
404 9903 Circulars Other Notification Letter and Reply Form to Registered Shareholders - Arrangement of Electronic Dissemination of Corporate Communications 0.85 PDF 2026-02-09 16:33
405 8611 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.14 PDF 2026-02-09 16:33
406 719 Announcements and Notices Overseas Regulatory Announcement - Other Overseas Regulatory Announcement-Announcement on Glucosamine Sulfate Capsules for Suspension having obtained the Drug Registration Certificate 0.18 PDF 2026-02-09 16:32
407 1703 Circulars Change in Auditors subject to Shareholders' Approval,
Explanatory Statement for Repurchase of Shares,
General Mandate,
Other,
Re-election or Appointment of Director subject to Shareholders' Approval
(I) PROPOSALS FOR GENERAL MANDATES TO ISSUE NEW SHARES AND REPURCHASE SHARES; (II) PROPOSED CHANGE OF COMPANY NAME; (III) PROPOSED CHANGE OF AUDITOR; (IV) RE-ELECTION OF DIRECTORS AND (V) NOTICE OF ANNUAL GENERAL MEETING 0.31 PDF 2026-02-09 16:32
408 56450 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by Huatai Financial Holdings (Hong Kong) Limited 0.04 PDF 2026-02-09 16:32
409 2000 Announcements and Notices Inside Information ANNOUNCEMENT 0.15 PDF 2026-02-09 16:32
410 1703 Proxy Forms FORM OF PROXY FOR ANNUAL GENERAL MEETING 0.08 PDF 2026-02-09 16:32
411 3668 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.18 PDF 2026-02-09 16:31
412 NA Debt and Structured Products Base Listing Document - CBBC,
Base Listing Document - DW,
Financial Disclosure or Report - Structured Products Issuer
Eighth Addendum to the Base Listing Document issued by Goldman Sachs Structured Products (Asia) Limited 0.92 PDF 2026-02-09 16:31
413 274 Announcements and Notices Delay in Results Announcement,
Inside Information,
Other - Business Update,
Suspension
QUARTER UPDATE ON RESUMPTION AND CONTINUED SUSPENSION OF TRADING 0.08 PDF 2026-02-09 16:31
414 40081 Debt and Structured Products Offering Circular and Pricing Supplement - Debt Securities PUBLICATION OF OFFERING CIRCULAR ON THE STOCK EXCHANGE OF HONG KONG LIMITED - U.S.$300,000,000 FLOATING RATE GUARANTEED BONDS DUE 2029 ISSUED BY CMBC INTERNATIONAL FUNDING (HK) LIMITED AND UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY CMBC INTERNATIONAL HOLDINGS LIMITED 9.00 PDF 2026-02-09 16:31
415 59230
59236
59237
59240
59241
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 59230, 59236, 59237, 59240, 59241 issued by BNP PARIBAS ISSUANCE B.V. 0.55 PDF 2026-02-09 16:31
416 59242
59243
59244
59251
59252
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 59242, 59243, 59244, 59251, 59252 issued by BNP PARIBAS ISSUANCE B.V. 0.55 PDF 2026-02-09 16:31
417 25922
25924
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25924, 25922 issued by BNP PARIBAS ISSUANCE B.V. 0.51 PDF 2026-02-09 16:31
418 59254 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 59254 issued by BNP PARIBAS ISSUANCE B.V. 0.55 PDF 2026-02-09 16:31
419 25920 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25920 issued by BNP PARIBAS ISSUANCE B.V. 0.51 PDF 2026-02-09 16:31
420 59260 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 59260 issued by BNP PARIBAS ISSUANCE B.V. 0.55 PDF 2026-02-09 16:31
421 289 Announcements and Notices Inside Information,
Profit Warning
PROFIT ALERT - REDUCTION IN LOSS 0.16 PDF 2026-02-09 16:31
422 25899
25901
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by CITIC Securities Brokerage (HK) Limited 0.68 PDF 2026-02-09 16:31
423 25900 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by CITIC Securities Brokerage (HK) Limited 0.55 PDF 2026-02-09 16:31
424 59047
59048
59058
59067
59081
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by CITIC Securities Brokerage (HK) Limited 0.65 PDF 2026-02-09 16:31
425 59093
59094
59097
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by CITIC Securities Brokerage (HK) Limited 0.65 PDF 2026-02-09 16:31
426 2436 Announcements and Notices Concentration of Shareholdings SFC ANNOUNCEMENT - HIGH CONCENTRATION OF SHAREHOLDING 0.15 PDF 2026-02-09 16:31
427 1419 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.19 PDF 2026-02-09 16:31
428 6049 Circulars Continuing Connected Transaction,
Re-election or Appointment of Director subject to Shareholders' Approval
(1) DISCLOSEABLE AND CONTINUING CONNECTED TRANSACTIONS (2) ELECTION OF DIRECTOR AND NOTICE OF THE FIRST EXTRAORDINARY GENERAL MEETING OF 2026 6.00 PDF 2026-02-09 16:30
429 2033 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.06 PDF 2026-02-09 16:30
430 909 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.04 PDF 2026-02-09 16:30
431 8176 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-09 16:30
432 55441 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event and Early Expiry of Callable Bull/Bear Contracts issued by Huatai Financial Holdings (Hong Kong) Limited 0.12 PDF 2026-02-09 16:30
433 54987 Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiry of Callable Bull/Bear Contracts issued by CITIC Securities Brokerage (HK) Limited 0.78 PDF 2026-02-09 16:28
434 3097 Trading Information of Exchange Traded Funds 3097 NEWS 0.01 XLSX 2026-02-09 16:27
435 56715
61002
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 61002, 56715 issued by BNP PARIBAS ISSUANCE B.V. 0.21 PDF 2026-02-09 16:27
436 2513 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-09 16:27
437 NA Debt and Structured Products Daily Trading Report - DW Korea Investment & Securities Asia Limited - Daily Trading Summary of Derivative Warrants 0.04 XLSX 2026-02-09 16:18
438 2378 Announcements and Notices Overseas Regulatory Announcement - Other Transaction in own shares 0.28 PDF 2026-02-09 15:17
439 3476 Trading Information of Exchange Traded Funds HANG SENG JPMORGAN US EQUITY PREMIUM INCOME ACTIVE ETF<03476> INFORMATION 0.00 XLSX 2026-02-09 12:47
440 3135 Trading Information of Exchange Traded Funds 3135 NEWS 0.01 XLSX 2026-02-09 12:42
441 3415
3451
9415
9451
Trading Information of Exchange Traded Funds Summary Information 0.02 XLSX 2026-02-09 12:40
442 3175 Trading Information of Exchange Traded Funds 3175 NEWS 0.01 XLSX 2026-02-09 12:40
443 2815
2841
3064
3075
3084
3104
3150
3158
3184
3401
3402
3416
3417
3419
3422
3440
3448
3450
3470
9064
9075
9084
9104
9440
9450
Trading Information of Exchange Traded Funds Summary Information 0.03 XLSX 2026-02-09 12:39
444 2806
2807
2809
2820
2826
2837
2845
3006
3029
3040
3050
3110
3119
3137
3139
3185
3191
9040
9191
9806
9807
9809
9820
9826
9845
Trading Information of Exchange Traded Funds Summary Information 0.03 XLSX 2026-02-09 12:38
445 55267
55270
57233
58223
58238
66659
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.02 PDF 2026-02-09 12:33
446 56990
56991
58221
58224
58241
58247
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.02 PDF 2026-02-09 12:33
447 55061
56685
56707
58081
58090
66235
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56685, 56707, 58081, 55061, 66235, 58090 issued by BNP PARIBAS ISSUANCE B.V. 0.21 PDF 2026-02-09 12:32
448 55403
56807
57742
58118
58119
58133
58138
61290
66757
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 61290,55403,66757,57742,58133,56807,58138,58118,58119 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 DOCX 2026-02-09 12:30
449 57427
57429
57433
57501
58026
58027
58050
58051
58052
66388
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry issued by UBS AG 0.02 PDF 2026-02-09 12:25
450 55162
56833
56880
57939
57978
57979
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.19 PDF 2026-02-09 12:21
451 8365 Announcements and Notices Results of AGM POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 9 FEBRUARY 2026 0.18 PDF 2026-02-09 12:15
452 56331
56334
58174
58179
58187
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiry of Callable Bull/Bear Contracts issued by CITIC Securities Brokerage (HK) Limited 0.78 PDF 2026-02-09 12:14
453 1371 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.22 PDF 2026-02-09 12:13
454 2863 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-09 12:10
455 3413 Trading Information of Exchange Traded Funds 3413 news 0.01 XLSX 2026-02-09 12:04
456 55957
57577
57580
57584
58206
58254
58344
58353
58387
66862
Debt and Structured Products Expiry Announcement - CBBC Announcement on Mandatory Call Event and Early Termination of CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.16 PDF 2026-02-09 12:04
457 56450 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event and Early Expiry of Callable Bull/Bear Contracts issued by Huatai Financial Holdings (Hong Kong) Limited 0.12 PDF 2026-02-09 12:04
458 3412 Trading Information of Exchange Traded Funds 3412 news 0.01 XLSX 2026-02-09 12:03
459 81
85109
Debt and Structured Products Offering Circular and Pricing Supplement - Debt Securities PUBLICATION OF OFFERING CIRCULAR - CNY1,300,000,000 3.20 PER CENT. GUARANTEED NOTES DUE 2029 ISSUED BY CHINA OVERSEAS GRAND OCEANS FINANCE V (CAYMAN) LIMITED 19.00 PDF 2026-02-09 12:03
460 3426 Trading Information of Exchange Traded Funds 3426 news 0.01 XLSX 2026-02-09 12:03
461 189 Monthly Returns Monthly Return of Equity Issuers on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-09 12:02
462 123
85108
Debt and Structured Products Offering Circular and Pricing Supplement - Debt Securities PUBLICATION OF THE OFFERING CIRCULAR - CNY1,735,000,000 3.40 PER CENT. GUARANTEED GREEN NOTES DUE 2029 ISSUED BY JOY DELIGHT INTERNATIONAL LIMITED, AND UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY YUEXIU PROPERTY COMPANY LIMITED 5.00 PDF 2026-02-09 12:00
463 55093 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event and Early Expiry of European Style Cash Settled Category R Callable Bull/ Bear Contracts ("CBBCs") issued by Guotai Junan Securities (Hong Kong) Limited 0.28 PDF 2026-02-09 11:57
464 56410
56433
57879
57882
57885
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56410, 57882, 57879, 56433, 57885 issued by DBS BANK LTD. 0.11 PDF 2026-02-09 11:56
465 56529
57836
57851
57852
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 57836, 56529, 57851, 57852 issued by BOCI Asia Limited 0.28 PDF 2026-02-09 11:53
466 55021
56545
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56545, 55021 issued by BOCI Asia Limited 0.28 PDF 2026-02-09 11:53
467 3171 Trading Information of Exchange Traded Funds 3171 NEWS 0.01 XLSX 2026-02-09 11:41
468 3132 Trading Information of Exchange Traded Funds 3132 NEWS 0.01 XLSX 2026-02-09 11:40
469 2814
9814
Trading Information of Exchange Traded Funds 2814, 9814 NEWS 0.01 XLSX 2026-02-09 11:38
470 3478
9478
Trading Information of Exchange Traded Funds 9478 , 3478 NEWS 0.02 XLSX 2026-02-09 11:19
471 2817
3001
3411
9001
9177
9411
9817
82817
83001
Trading Information of Exchange Traded Funds 2817, 9817, 82817, 9177, 3001, 9001, 83001, 3411, 9411 NEWS 0.01 XLSX 2026-02-09 11:14
472 3059
83059
Trading Information of Exchange Traded Funds 3059, 83059 NEWS 0.01 XLSX 2026-02-09 11:08
473 2804
2817
3077
9077
9078
9177
9804
9817
82817
Trading Information of Exchange Traded Funds 9810, 2810, 9181, 3181, 9804, 2804, 9077, 3077,9078 NEWS 0.01 XLSX 2026-02-09 11:05
474 2824
3434
9434
9824
82824
83434
Trading Information of Exchange Traded Funds 2824 9824 82824 3434 9434 83434 Information 0.02 XLSX 2026-02-09 10:48
475 3187
9187
Trading Information of Exchange Traded Funds 3187 information 0.01 XLSX 2026-02-09 10:44
476 2848
3007
3015
3020
3036
3087
Trading Information of Exchange Traded Funds 03020, 03036, 03015, 02848, 03007 & 03087 Summary Information, 05/02/2026 0.02 XLSX 2026-02-09 10:43
477 3116 Trading Information of Exchange Traded Funds 3116 NEWS 0.01 XLSX 2026-02-09 10:43
478 2812
9812
Trading Information of Exchange Traded Funds 2812 information 0.01 XLSX 2026-02-09 10:43
479 3041 Trading Information of Exchange Traded Funds 3041 NEWS 0.01 XLSX 2026-02-09 10:40
480 2839
3069
3088
3146
3161
3403
3404
9069
9088
9146
9403
9404
9446
9839
82839
83069
83088
83146
83161
83403
83404
Monthly Returns 3088, 9088, 83088, 3069, 9069, 83069, 2839, 9839, 82839, 3403, 9403, 83403, 3161, 83161, 3146, 83146, 9146, 9446, 9404, 3404, 83404 Monthly Returns 0.07 PDF 2026-02-09 10:38
481 3461
3471
3472
9472
83461
Monthly Returns 3471, 3472, 9472, 3461, 83461 Monthly Returns 0.07 PDF 2026-02-09 10:36
482 3042
3046
3460
9042
9046
9460
83042
83046
83460
Monthly Returns 9042, 3042, 83042, 9046, 3046, 83046, 9460, 3460, 83460 Monthly Returns 0.07 PDF 2026-02-09 10:34
483 3188
9188
83188
Monthly Returns 3188, 83188, 9188 Monthly Returns 0.06 PDF 2026-02-09 10:32
484 3086
3141
3145
3160
3165
9086
9141
Monthly Returns 3145, 3141, 9141, 3165, 3160, 9086, 3086 Monthly Returns 0.07 PDF 2026-02-09 10:30
485 7261
7522
Monthly Returns 7261, 7522 Monthly Returns 0.06 PDF 2026-02-09 10:28
486 49944 Debt and Structured Products Expiry Announcement - CBBC Announcement on Mandatory Call Event and Early Termination of CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.15 PDF 2026-02-09 10:23
487 49938 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Announcement on Valuation of Residual Value in relation to CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.04 PDF 2026-02-09 10:23
488 2835 Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-09 10:20
489 3427 Trading Information of Exchange Traded Funds Summary Information (3427) 0.01 XLSX 2026-02-09 10:08
490 49909 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry issued by UBS AG 0.02 PDF 2026-02-09 10:06
491 49797 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 49797 issued by The Hongkong and Shanghai Banking Corporation Limited 0.05 DOCX 2026-02-09 09:53
492 3483
3489
9483
9489
83483
83489
Trading Information of Exchange Traded Funds 3483 9483 83483 3489 9489 83489 Information 0.01 XLSX 2026-02-09 09:52
493 3086
3141
3145
3160
3165
9086
9141
Trading Information of Exchange Traded Funds Summary Information (3086,3141,3145,3160,3165,9086,9141) 0.02 XLSX 2026-02-09 09:48
494 3404
9404
83404
Trading Information of Exchange Traded Funds Summary Information (3404,9404,83404) 0.01 XLSX 2026-02-09 09:46
495 3146
9146
9446
83146
Trading Information of Exchange Traded Funds Summary Information (9146,3146,83146,9446) 0.01 XLSX 2026-02-09 09:43
496 49963 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Morgan Stanley Asia Products Limited - Notice of Valuation of Residual Value of Callable Bull/Bear Contracts 0.04 PDF 2026-02-09 09:42
497 49843 Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.19 PDF 2026-02-09 09:42
498 7261
7522
Trading Information of Leveraged and Inverse Products Summary Information (7261,7522) 0.01 XLSX 2026-02-09 09:40
499 7266 Trading Information of Leveraged and Inverse Products 7266 NEWS 0.01 XLSX 2026-02-09 09:38
500 3034 Trading Information of Exchange Traded Funds 3034 NEWS 0.01 XLSX 2026-02-09 09:38
501 7299 Trading Information of Leveraged and Inverse Products 7299 NEWS 0.01 XLSX 2026-02-09 09:37
502 49932 Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.02 PDF 2026-02-09 09:34
503 1433 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-09 09:32
504 3406
3477
9406
9477
Trading Information of Exchange Traded Funds 3477, 9477, 3406, 9406 NEWS 0.01 XLSX 2026-02-09 09:20
505 NA Debt and Structured Products Daily Trading Report - CBBC Citigroup Global Markets Europe AG - Daily Trading Summary of CBBC 0.02 XLSX 2026-02-09 09:19
506 NA Debt and Structured Products Daily Trading Report - DW Citigroup Global Markets Europe AG - Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-09 09:18
507 974 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-09 09:14
508 3188
9188
83188
Trading Information of Exchange Traded Funds Summary Information (3188, 83188, 9188) 0.01 XLSX 2026-02-09 09:12
509 6616 Announcements and Notices Inside Information,
Trading Halt
ANNOUNCEMENT PURSUANT TO RULE 13.09 OF THE LISTING RULES AND THE INSIDE INFORMATION PROVISIONS AND TRADING HALT 0.09 PDF 2026-02-09 08:58
510 6616 Announcements and Notices Trading Halt EXCHANGE NOTICE - TRADING HALT 0.00 HTM 2026-02-09 08:58
511 2805
9805
82805
Trading Information of Exchange Traded Funds 2805 & 9805 & 82805 News 0.02 XLSX 2026-02-09 08:45
512 3433 Trading Information of Exchange Traded Funds 3433 NEWS 0.01 XLSX 2026-02-09 08:45
513 2830
3066
3068
3167
3441
3442
3454
Trading Information of Exchange Traded Funds 3167, 3066, 3068, 3454,2830, 3442, 3441 NEWS 0.02 XLSX 2026-02-09 08:44
514 7311
7399
7711
7777
7799
Trading Information of Leveraged and Inverse Products 7777, 7799, 7399, 7711, 7311 NEWS 0.01 XLSX 2026-02-09 08:43
515 1831 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-09 08:43
516 7366
7376
7388
7568
7766
7788
Trading Information of Leveraged and Inverse Products 7568, 7376, 7788, 7388, 7766, 7366 NEWS 0.01 XLSX 2026-02-09 08:40
517 2819 Trading Information of Exchange Traded Funds ABF HONG KONG BOND INDEX FUND (STOCK CODE : 2819) INFORMATION 0.05 XLSX 2026-02-09 08:34
518 3195
9195
Trading Information of Exchange Traded Funds HANG SENG S&P 500 INDEX ETF<09195> INFORMATION 0.01 XLSX 2026-02-09 08:33
519 3436 Trading Information of Exchange Traded Funds Hang Seng CMS Bloomberg US Treasury 1-3 Year Index ETF< 03436> INFORMATION 0.00 XLSX 2026-02-09 08:32
520 3435 Trading Information of Exchange Traded Funds Hang Seng CMS Bloomberg US Treasury 7-10 Year Index ETF<03435> INFORMATION 0.00 XLSX 2026-02-09 08:30
521 6998 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - COMPLETION OF THE FIRST SUBJECT DOSING IN PHASE II CLINICAL TRIAL OF EDP167 0.08 PDF 2026-02-09 08:25
522 2076 Announcements and Notices Other - Miscellaneous VOLUNTARY ANNOUNCEMENT PURCHASE OF SHARES ON MARKET PURSUANT TO POST-IPO SHARE SCHEME 0.03 PDF 2026-02-09 08:25
523 2829
9829
82829
Trading Information of Exchange Traded Funds 82829, 9829, 2829 NEWS 0.01 XLSX 2026-02-09 08:24
524 2899 Announcements and Notices Other - Business Update Announcement in relation to the Three-Year (2026-2028) Major Mineral Products Production Volume Plan and Outline of Long-range Objective Through 2035 0.25 PDF 2026-02-09 08:18
525 2801
3067
9067
9801
Trading Information of Exchange Traded Funds 3067, 9067, 2801, 9801 NEWS 0.01 XLSX 2026-02-09 08:14
526 2834
2836
3074
9074
9834
9836
Trading Information of Exchange Traded Funds 9074, 3074, 9834, 2834, 2836, 9836 NEWS 0.01 XLSX 2026-02-09 08:12
527 9996 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - SUBMISSION OF EU MDR CE MARK REGISTRATION FOR THE GeminiOne TRANSCATHETER EDGE-TO-EDGE REPAIR SYSTEM 0.41 PDF 2026-02-09 08:09
528 3010
9010
83010
Trading Information of Exchange Traded Funds 3010, 9010, 83010 NEWS 0.01 XLSX 2026-02-09 08:09
529 6090 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-09 08:01
530 6090 Announcements and Notices Other - Miscellaneous VOLUNTARY ANNOUNCEMENT PURCHASE OF SHARES BY THE TRUSTEE FOR THE PURPOSE OF THE SHARE AWARD SCHEME 0.06 PDF 2026-02-09 08:00
531 2823
82823
Trading Information of Exchange Traded Funds 2823, 82823 NEWS 0.01 XLSX 2026-02-09 07:59
532 2846
3115
9115
9846
82846
83115
Trading Information of Exchange Traded Funds 2846, 9846, 82846, 3115, 9115, 83115 NEWS 0.01 XLSX 2026-02-09 07:55
533 2821 Trading Information of Exchange Traded Funds ABF PAN ASIA BOND INDEX FUND (STOCK CODE : 2821) INFORMATION 0.01 XLSX 2026-02-09 07:47
534 3072
9072
Trading Information of Exchange Traded Funds ETF_HKEX_Price_06022026_EN 0.01 XLSX 2026-02-09 07:46
535 425 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT FRAMEWORK AGREEMENT ON AI ROBOTICS 0.09 PDF 2026-02-09 07:41
536 1009 Documents on Display Documents on Display 0.00 2026-02-09 07:40
537 2025 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-09 07:40
538 1009 Proxy Forms FORM OF PROXY FOR USE AT EXTRAORDINARY GENERAL MEETING (OR AT ANY ADJOURNMENT THEREOF) 0.11 PDF 2026-02-09 07:36
539 1009 Announcements and Notices Notice of EGM/SGM NOTICE OF EXTRAORDINARY GENERAL MEETING 0.07 PDF 2026-02-09 07:35
540 1009 Circulars Document issued by Offeree Company under the Takeovers Code,
Issue of Convertible Securities,
Issue of Shares
(1) ISSUE OF CONVERTIBLE NOTES UNDER SPECIFIC MANDATE (2) APPLICATION FOR WHITEWASH WAIVER (3) SPECIAL DEAL IN RELATION TO EARLY REPAYMENT OF PROMISSORY NOTES AND (4) NOTICE OF EXTRAORDINARY GENERAL MEETING 0.82 PDF 2026-02-09 07:34
541 2390 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-09 07:30
542 1928
5142
5413
5414
5415
5733
40247
40585
40852
40853
40854
Announcements and Notices Inside Information Inside Information - Results of our Controlling Shareholder, Las Vegas Sands Corp., Form 10-K Annual Report for the Full Year Ended December 31, 2025 0.47 PDF 2026-02-09 07:30
543 600 Announcements and Notices Terms of Reference of the Nomination Committee TERMS OF REFERENCE OF THE NOMINATION COMMITTEE 0.48 PDF 2026-02-09 06:47
544 600 Announcements and Notices Terms of Reference of the Remuneration Committee TERMS OF REFERENCE OF THE REMUNERATION COMMITTEE 0.48 PDF 2026-02-09 06:41
545 600 Announcements and Notices Terms of Reference of the Audit Committee TERMS OF REFERENCE OF THE AUDIT COMMITTEE 0.49 PDF 2026-02-09 06:36
546 600 Constitutional Documents Articles of Association 0.75 PDF 2026-02-09 06:31
547 600 Announcements and Notices List of Directors and their Role and Function List of Directors and their Roles and Functions 0.47 PDF 2026-02-09 06:25
548 2720 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.02 PDF 2026-02-09 06:24
549 2720 Announcements and Notices Terms of Reference of the Nomination Committee TERMS OF REFERENCE OF THE NOMINATION COMMITTEE 0.03 PDF 2026-02-09 06:21
550 2720 Announcements and Notices Terms of Reference of the Remuneration Committee TERMS OF REFERENCE OF THE REMUNERATION COMMITTEE 0.03 PDF 2026-02-09 06:17
551 2720 Announcements and Notices Terms of Reference of the Audit Committee TERMS OF REFERENCE OF THE AUDIT COMMITTEE 0.04 PDF 2026-02-09 06:13
552 1177 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - COMPLETION OF SUBJECT ENROLLMENT IN PHASE III CLINICAL TRIAL OF TECOTABART VEDOTIN "CLDN18.2 ADC" 0.07 PDF 2026-02-09 06:10
553 2720 Constitutional Documents FIRST AMENDED AND RESTATED MEMORANDUM AND ARTICLES OF ASSOCIATION 0.20 PDF 2026-02-09 06:08
554 9638 Announcements and Notices Announcement by Offeror Company under the Takeovers Code VOLUNTARY CONDITIONAL PARTIAL PUBLIC TENDER OFFER LAUNCHED BY KKCG MARITIME TO ACQUIRE UP TO 52,132,861 SHARES OF FERRETTI S.P.A. - DELAY IN DESPATCH OF OFFER DOCUMENT 0.19 PDF 2026-02-09 06:03
555 1569 Announcements and Notices Inside Information,
Other - Litigation
INSIDE INFORMATION ANNOUNCEMENT ARBITRATION AWARD 1.00 PDF 2026-02-08 19:47
556 8039 Announcements and Notices Inside Information,
Other - Business Update,
Suspension
QUARTERLY UPDATE ON STATUS OF RESUMPTION 0.64 PDF 2026-02-08 19:40
557 6681 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - ENTERING INTO BRAIN HEALTH DIGITAL AI TECHNOLOGY SERVICE COOPERATION AGREEMENT WITH KIANG WU HOSPITAL IN MACAU 0.13 PDF 2026-02-08 19:29
558 315 Announcements and Notices Date of Board Meeting Notification of Board Meeting 0.14 PDF 2026-02-08 18:35
559 576 Announcements and Notices List of Directors and their Role and Function List of Directors and their Roles and Functions 0.09 PDF 2026-02-08 18:33
560 223 Proxy Forms FORM OF PROXY FOR EXTRAORDINARY GENERAL MEETING TO BE HELD ON 6 MARCH 2026 0.10 PDF 2026-02-08 18:24
561 1456 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-08 18:23
562 1456 Announcements and Notices Overseas Regulatory Announcement - Corporate Governance Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-08 18:22
563 1456 Announcements and Notices Amendment of Constitutional Documents ANNOUNCEMENT ON THE AMENDMENTS TO THE ARTICLES OF ASSOCIATION 0.06 PDF 2026-02-08 18:21
564 9927 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-08 18:21
565 223 Announcements and Notices Notice of EGM/SGM NOTICE OF EXTRAORDINARY GENERAL MEETING 0.09 PDF 2026-02-08 18:21
566 3102
9102
83102
Trading Information of Exchange Traded Funds Stock Code : 9102, 3102, 83102 Information 0.02 XLSX 2026-02-08 18:19
567 9896 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-08 18:17
568 6686 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-08 18:16
569 1357 Announcements and Notices Other - Business Update Voluntary Announcement - Financial Performance Update 0.19 PDF 2026-02-08 18:08
570 556 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT ACQUISITION OF 51% OF THE EQUITY INTERESTS IN THE TARGET COMPANY 0.52 PDF 2026-02-08 18:08
571 9987 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-08 18:07
572 1801 Announcements and Notices Inside Information INSIDE INFORMATION ANNOUNCEMENT - ENTERING INTO STRATEGIC COLLABORATION WITH LILLY TO DEVELOP NEW MEDICINES GLOBALLY IN ONCOLOGY AND IMMUNOLOGY 0.14 PDF 2026-02-08 18:06
573 1330 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-08 18:05
574 3986 Announcements and Notices Other - Miscellaneous FULL EXERCISE OF THE OVER-ALLOTMENT OPTION, STABILIZING ACTIONS AND END OF STABILIZATION PERIOD 0.05 PDF 2026-02-08 18:05
575 3378 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.12 PDF 2026-02-08 18:04
576 2488 Announcements and Notices Inside Information INSIDE INFORMATION-ISSUANCE OF FILING NOTICE BY THE CSRC FOR THE H SHARE FULL CIRCULATION APPLICATION OF THE COMPANY 0.04 PDF 2026-02-08 18:02
577 223 Circulars Issue of Shares PLACING OF NEW SHARES UNDER SPECIFIC MANDATE AND NOTICE OF EXTRAORDINARY GENERAL MEETING 0.29 PDF 2026-02-06 22:58
578 576 Announcements and Notices Change in Chief Executive,
Change in Directors or of Important Executive Functions or Responsibilities
Resignation of Executive Director and General Manager and Authorized Representative 0.09 PDF 2026-02-06 22:58
579 2597 Proxy Forms FORM OF PROXY FOR THE 2026 EXTRAORDINARY GENERAL MEETING TO BE HELD ON FRIDAY, 20 MARCH 2026 0.04 PDF 2026-02-06 22:57
580 8021 Announcements and Notices Capital Reorganisation,
Closure of Books or Change of Book Closure Period,
Placing,
Rights Issue,
Trading Arrangements (other than Change in Board Lot Size)
(1) PROPOSED CAPITAL REORGANISATION; AND (2) PROPOSED RIGHTS ISSUE ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY ONE (1) ADJUSTED SHARE HELD AT THE CLOSE OF BUSINESS ON THE RECORD DATE ON A NON-UNDERWRITTEN BASIS 0.26 PDF 2026-02-06 22:57
581 945 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 22:57
582 2002 Announcements and Notices Other - Business Update,
Termination of Transaction,
Variation to Terms
SUPPLEMENTAL ANNOUNCEMENT TO TERMINATION AGREEMENT AND UPDATE ON PROFIT GUARANTEE 0.13 PDF 2026-02-06 22:56
583 1931 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION 0.12 PDF 2026-02-06 22:56
584 2597 Announcements and Notices Amendment of Constitutional Documents,
Closure of Books or Change of Book Closure Period,
Listing on Overseas Exchange or Securities Market,
Notice of EGM/SGM,
Other - Miscellaneous,
Privatisation/Withdrawal or Cancellation of Listing of Securities
NOTICE OF THE 2026 EXTRAORDINARY GENERAL MEETING 0.04 PDF 2026-02-06 22:55
585 1931 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities CHANGE IN COMPOSITION OF THE BOARD OF DIRECTORS 0.14 PDF 2026-02-06 22:55
586 653 Announcements and Notices Issue of Shares under a General Mandate PROPOSED ISSUE OF NEW SHARES UNDER GENERAL MANDATE 0.13 PDF 2026-02-06 22:54
587 2597 Circulars Amendment of Constitutional Documents,
Other,
Privatisation/Withdrawal of Listing of Securities
(1) PROPOSED AMENDMENT TO THE ARTICLES OF ASSOCIATION; (2) APPLICATION FOR THE DELISTING OF DOMESTIC SHARES FROM THE NEEQ; (3) AUTHORIZATION TO THE BOARD TO EXERCISE FULL POWER TO HANDLE MATTERS PERTAINING TO THE APPLICATION FOR THE NEEQ DELISTING; (4) PROTECTIVE MEASURES IN RELATION TO THE NEEQ DELISTING FOR THE INTERESTS OF THE DISSENTING DOMESTIC SHAREHOLDERS; (5) TERMINATION OF APPLICATION FOR THE PROPOSED A SHARE OFFERING; AND (6) NOTICE OF THE 2026 EXTRAORDINARY GENERAL MEETING 0.09 PDF 2026-02-06 22:53
588 223 Announcements and Notices Closure of Books or Change of Book Closure Period,
Material Information after Issue of Circular,
Notice of AGM
POSTPONEMENT OF THE ANNUAL GENERAL MEETING AND CHANGE OF BOOK CLOSURE PERIOD AND UPDATE OF CERTAIN INFORMATION CONTAINED IN THE AGM CIRCULAR DATED 9 JANUARY 2026 AND POSTPONEMENT OF THE EXTRAORDINARY GENERAL MEETING SINE DIE AND CONVENING OF THE NEW EXTRAORDINARY GENERAL MEETING 0.11 PDF 2026-02-06 22:49
589 1777 Announcements and Notices Connected Transaction,
Delay in Dispatch of Circular or other Document,
Major Transaction
SUPPLEMENTAL ANNOUNCEMENT CONNECTED AND MAJOR TRANSACTION RESTRUCTURING AGREEMENT IN RELATION TO DISPUTE INVOLVING SHARES IN A SUBSIDIARY DELAY IN DESPATCH OF CIRCULAR 0.09 PDF 2026-02-06 22:48
590 2597 Announcements and Notices Listing on Overseas Exchange or Securities Market,
Other - Miscellaneous,
Privatisation/Withdrawal or Cancellation of Listing of Securities
TERMINATION OF APPLICATION FOR THE PROPOSED A SHARE OFFERING; APPLICATION FOR THE DELISTING OF DOMESTIC SHARES FROM THE NEEQ; AUTHORIZATION TO THE BOARD TO EXERCISE FULL POWER TO HANDLE MATTERS PERTAINING TO THE APPLICATION FOR THE NEEQ DELISTING; AND PROTECTIVE MEASURES IN RELATION TO THE NEEQ DELISTING FOR THE INTERESTS OF THE DISSENTING DOMESTIC SHAREHOLDERS 0.05 PDF 2026-02-06 22:46
591 2597 Announcements and Notices Amendment of Constitutional Documents PROPOSED AMENDMENT TO THE ARTICLES OF ASSOCIATION 0.04 PDF 2026-02-06 22:44
592 2563 Announcements and Notices Inside Information INSIDE INFORMATION - ISSUANCE OF FILING NOTICE BY THE CSRC FOR THE FULL CIRCULATION OF SHARES BY THE COMPANY 0.11 PDF 2026-02-06 22:44
593 2597 Announcements and Notices Change in Company Secretary,
Change in Directors or of Important Executive Functions or Responsibilities
CHANGE OF CHIEF FINANCIAL OFFICER AND RESIGNATION OF JOINT COMPANY SECRETARY 0.06 PDF 2026-02-06 22:42
594 6805 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION - ENTERING INTO OF THE CONSTRUCTION CONTRACTS 0.15 PDF 2026-02-06 22:41
595 2415 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.11 PDF 2026-02-06 22:41
596 2415 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities RESIGNATION OF A NON-EXECUTIVE DIRECTOR 0.11 PDF 2026-02-06 22:38
597 3320 Constitutional Documents ARTICLES OF ASSOCIATION 2.00 PDF 2026-02-06 22:35
598 1250 Announcements and Notices Other - Business Update SUMMARY OF POWER GENERATION FOR NOVEMBER 2025 0.13 PDF 2026-02-06 22:34
599 3170 Trading Information of Exchange Traded Funds HANG SENG GOLD ETF < 03170> INFORMATION 0.01 XLSX 2026-02-06 22:33
600 770 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities SUPPLEMENTAL ANNOUNCEMENT - IN RELATION TO CHANGE OF INDEPENDENT NON-EXECUTIVE DIRECTORS 0.02 PDF 2026-02-06 22:32
601 1250 Announcements and Notices Other - Business Update SUMMARY OF POWER GENERATION FOR OCTOBER 2025 0.13 PDF 2026-02-06 22:32
602 3466 Trading Information of Exchange Traded Funds HANG SENG HIGH DIVIDEND 30 INDEX ETF <03466> INFORMATION 0.00 XLSX 2026-02-06 22:31
603 3321 Announcements and Notices Change in Auditors,
Change of Company Name,
Results of AGM
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 6 FEBRUARY 2026 0.05 PDF 2026-02-06 22:30
604 6809 Announcements and Notices Allotment Results ANNOUNCEMENT OF FINAL OFFER PRICE AND ALLOTMENT RESULTS 0.71 PDF 2026-02-06 22:30
605 8052 Announcements and Notices Delay in Dispatch of Circular or other Document,
Major Transaction
FURTHER DELAY IN DESPATCH OF CIRCULAR FOR MAJOR TRANSACTION 0.15 PDF 2026-02-06 22:30
606 384 Announcements and Notices Connected Transaction,
Continuing Connected Transaction
(1) Connected Transaction in relation to the Equity Transfer and (2) Continuing Connected Transaction in relation to Gas Metering and Water Metering Products Procurement Framework Agreement 0.13 PDF 2026-02-06 22:30
607 3410 Trading Information of Exchange Traded Funds HANG SENG JAPAN TOPIX 100 INDEX ETF < 03410> INFORMATION 0.00 XLSX 2026-02-06 22:29
608 3038
83038
Trading Information of Exchange Traded Funds HANG SENG STOCK CONNECT CHINA A LOW CARBON INDEX ETF<83038> INFORMATION 0.01 XLSX 2026-02-06 22:27
609 1025 Announcements and Notices Rights Issue (1) RESULTS OF THE VALID ACCEPTANCES AND APPLICATIONS FOR THE RIGHTS SHARES AND (2) NUMBER OF UNSUBSCRIBED SHARES SUBJECT TO THE COMPENSATORY ARRANGEMENTS 0.21 PDF 2026-02-06 22:26
610 3136 Trading Information of Exchange Traded Funds HSI ESG ENHANCED SELECT INDEX ETF<03136> INFORMATION 0.01 XLSX 2026-02-06 22:26
611 3032 Trading Information of Exchange Traded Funds HANG SENG TECH INDEX ETF < 03032> INFORMATION 0.01 XLSX 2026-02-06 22:25
612 83168 Trading Information of Exchange Traded Funds HANG SENG RMB GOLD ETF <83168> INFORMATION 0.01 XLSX 2026-02-06 22:23
613 486 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions OVERSEAS REGULATORY ANNOUNCEMENT 0.09 PDF 2026-02-06 22:22
614 3128
83128
Trading Information of Exchange Traded Funds HANG SENG CHINA A INDUSTRY TOP INDEX ETF <83128> INFORMATION 0.01 XLSX 2026-02-06 22:22
615 2597 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 22:21
616 2838 Trading Information of Exchange Traded Funds HS FCI50 ETF <02838> INFORMATION 0.01 XLSX 2026-02-06 22:20
617 3320 Announcements and Notices Results of EGM/SGM POLL RESULTS OF THE 2026 FIRST EXTRAORDINARY GENERAL MEETING HELD ON 6 FEBRUARY 2026 0.06 PDF 2026-02-06 22:19
618 2828
82828
Trading Information of Exchange Traded Funds HANG SENG CHINA ENTERPRISES INDEX ETF <02828> INFORMATION 0.01 XLSX 2026-02-06 22:19
619 2597 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 22:17
620 2597 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 22:14
621 390 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION 0.07 PDF 2026-02-06 22:13
622 2800
82800
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-06 22:12
623 390 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities,
Results of EGM/SGM
POLL RESULTS OF 2026 FIRST EXTRAORDINARY GENERAL MEETING HELD ON 6 FEBRUARY 2026 AND APPOINTMENT OF EXECUTIVE DIRECTOR 0.08 PDF 2026-02-06 22:11
624 2597 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 22:10
625 2465 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 22:08
626 2597 Announcements and Notices Overseas Regulatory Announcement - Trading Update An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 22:05
627 1075 Announcements and Notices Connected Transaction,
Delay in Dispatch of Circular or other Document,
Discloseable Transaction
DELAY IN DESPATCH OF CIRCULAR IN RELATION TO DISCLOSEABLE AND CONNECTED TRANSACTION REGARDING DISPOSAL OF 4% PROPERTY INTEREST IN THE TARGET COMPANY 0.07 PDF 2026-02-06 22:03
628 8431 Announcements and Notices Allotment Results,
Matters relating to Options,
Rights Issue,
Share Scheme
(I) RESULTS OF THE RIGHTS ISSUE ON THE BASIS OF FOUR (4) RIGHTS SHARES FOR EVERY ONE (1) SHARE HELD ON THE RECORD DATE ON A NON-UNDERWRITTEN BASIS; AND (II) ADJUSTMENTS TO THE OUTSTANDING SHARE OPTIONS 0.45 PDF 2026-02-06 22:02
629 3798 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-06 22:00
630 1776 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:59
631 2465 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:57
632 2597 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:57
633 1991 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION 0.44 PDF 2026-02-06 21:56
634 1991 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities CHANGE OF NON-EXECUTIVE DIRECTORS 0.45 PDF 2026-02-06 21:55
635 679 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities (amended) 0.07 PDF 2026-02-06 21:55
636 6839 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities PROPOSED RE-ELECTION OF DIRECTORS 0.14 PDF 2026-02-06 21:54
637 9877 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT FDA APPROVAL FOR PIVOTAL TRIAL OF LUX-VALVE PLUS 0.11 PDF 2026-02-06 21:54
638 2597 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:53
639 2392 Announcements and Notices Change in Shareholding,
Inside Information
INSIDE INFORMATION - COMPLETION OF DISPOSAL OF SHARES BY CONTROLLING SHAREHOLDERS UNDER THE SALE AND PURCHASE AGREEMENT AND CHANGE IN CONTROLLING SHAREHOLDERS 0.07 PDF 2026-02-06 21:50
640 3678 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:50
641 2597 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:49
642 8295 Announcements and Notices Inside Information INSIDE INFORMATION UPDATE ON SUBSTANTIVE CONSOLIDATION INSOLVENCY LIQUIDATION APPLICATION IN RELATION TO TIBET SHANGTIAN AND SHENZHEN QIANHAI 0.08 PDF 2026-02-06 21:45
643 2597 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:45
644 1623 Announcements and Notices Inside Information ANNOUNCEMENT OF CONSENT SOLICITATION SETTLEMENT AND OCCURRENCE OF THE RESTRUCTURING EFFECTIVE DATE RELATING TO ITS: 9.75% Senior Secured Notes Due 2024 (Regulation S Notes: ISIN XS2344083139/Common Code 234408313 Rule 144A Notes: ISIN XS2344082917/Common Code 234408291 IAI Notes: ISIN XS2344083303/Common Code 234408330) 0.09 PDF 2026-02-06 21:42
645 1638 Announcements and Notices Other - Miscellaneous FURTHER EXTENSION OF THE EXPIRATION DEADLINE OF THE CONSENT SOLICITATION 0.06 PDF 2026-02-06 21:40
646 1776 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:40
647 3011
9011
Trading Information of Exchange Traded Funds Stock Code : 9011, 3011 Information 0.02 XLSX 2026-02-06 21:40
648 3071 Trading Information of Exchange Traded Funds Stock Code : 3071 Information 0.02 XLSX 2026-02-06 21:39
649 123 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:37
650 2012 Announcements and Notices Closure of Books or Change of Book Closure Period RECORD DATE FOR THE SPECIAL MEETING TO BE HELD ON MARCH 26, 2026 (CALGARY TIME) / MARCH 27,2026 (HONG KONG TIME) 0.18 PDF 2026-02-06 21:37
651 1776 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:35
652 9698 Proxy Forms UPDATED PROXY FORM FOR EXTRAORDINARY GENERAL MEETING OF SHAREHOLDERS 0.06 PDF 2026-02-06 21:33
653 9698 Circulars Amendment of Constitutional Documents,
Other
UPDATED PROXY STATEMENT/CIRCULAR FOR EXTRAORDINARY GENERAL MEETING OF SHAREHOLDERS 0.06 PDF 2026-02-06 21:32
654 6610 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION - DISPOSAL OF LISTED SECURITIES 0.50 PDF 2026-02-06 21:30
655 2597 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:30
656 2598 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 21:29
657 9698 Announcements and Notices Amendment of Constitutional Documents,
Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
UPDATED NOTICE OF EXTRAORDINARY GENERAL MEETING OF SHAREHOLDERS 0.07 PDF 2026-02-06 21:29
658 8020 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-06 21:29
659 9698 Proxy Forms PROXY FORM FOR GENERAL MEETING OF HOLDERS OF THE SERIES B PREFERRED SHARES OF THE COMPANY 0.05 PDF 2026-02-06 21:28
660 2571 Announcements and Notices Inside Information INSIDE INFORMATION UPDATE ANNOUNCEMENT IN RELATION TO THE PROPOSED IMPLEMENTATION OF H-SHARE FULL CIRCULATION SCHEME BY THE COMPANY 0.45 PDF 2026-02-06 21:26
661 2520 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:26
662 1196 Announcements and Notices Inside Information INSIDE INFORMATION - MEMORANDUM OF UNDERSTANDING ON STRATEGIC COOPERATION 0.07 PDF 2026-02-06 21:26
663 8168 Company Information Sheet Company Information Sheet 0.23 PDF 2026-02-06 21:25
664 1560 Announcements and Notices Delay in Dispatch of Circular or other Document,
Major Transaction
APPLICATION FOR WAIVER FROM STRICT COMPLIANCE WITH RULE 14.41(a) OF THE LISTING RULES 0.13 PDF 2026-02-06 21:24
665 8168 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.07 PDF 2026-02-06 21:24
666 9698 Announcements and Notices Amendment of Constitutional Documents,
Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF GENERAL MEETING OF HOLDERS OF THE SERIES B PREFERRED SHARES OF THE COMPANY AND PROPOSED AMENDMENTS TO THE ARTICLES OF ASSOCIATION AND RECORD DATE FOR GENERAL MEETING OF HOLDERS OF THE SERIES B PREFERRED SHARES OF THE COMPANY 0.06 PDF 2026-02-06 21:24
667 9698 Circulars Amendment of Constitutional Documents,
Other
PROXY STATEMENT/CIRCULAR FOR GENERAL MEETING OF HOLDERS OF THE SERIES B PREFERRED SHARES OF THE COMPANY 0.06 PDF 2026-02-06 21:24
668 8168 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities (1) RESIGNATION OF DIRECTORS; (2) APPOINTMENT OF DIRECTORS; (3) CHANGE OF AUTHORISED REPRESENTATIVE; AND (4) CHANGE OF COMPOSITION OF COMMITTEES OF THE BOARD 0.13 PDF 2026-02-06 21:23
669 3004 Trading Information of Exchange Traded Funds 3004 NEWS 0.01 XLSX 2026-02-06 21:22
670 3003 Trading Information of Exchange Traded Funds 3003 NEWS 0.01 XLSX 2026-02-06 21:21
671 2108 Announcements and Notices Discloseable Transaction,
Major Transaction
MAJOR TRANSACTION IN RELATION TO DISPOSAL OF PROPERTY AND DISCLOSEABLE TRANSACTION IN RELATION TO LEASEBACK ARRANGEMENT 0.09 PDF 2026-02-06 21:21
672 482 Announcements and Notices Capital Reorganisation,
Closure of Books or Change of Book Closure Period,
Delay in Dispatch of Circular or other Document,
Rights Issue,
Trading Arrangements (other than Change in Board Lot Size)
FURTHER DELAY IN DESPATCH OF CIRCULAR IN RELATION TO (1) PROPOSED CAPITAL REORGANISATION; AND (2) PROPOSED RIGHTS ISSUE ON THE BASIS OF ONE RIGHTS SHARE FOR EVERY ONE ADJUSTED SHARE HELD ON RECORD DATE ON A NON-UNDERWRITTEN BASIS 0.10 PDF 2026-02-06 21:19
673 3174 Trading Information of Exchange Traded Funds 3174 NEWS 0.01 XLSX 2026-02-06 21:19
674 7347
7709
7747
Trading Information of Leveraged and Inverse Products 7747, 7347,7709 NEWS 0.01 XLSX 2026-02-06 21:18
675 6686 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 21:18
676 3109 Trading Information of Exchange Traded Funds 3109 NEWS 0.01 XLSX 2026-02-06 21:17
677 3431
3443
3447
3469
Trading Information of Exchange Traded Funds 3443, 3447,3431,3469 NEWS 0.01 XLSX 2026-02-06 21:15
678 3134 Trading Information of Exchange Traded Funds 3134 NEWS 0.01 XLSX 2026-02-06 21:15
679 7200
7226
7262
7288
7300
7500
7515
7552
7588
Trading Information of Leveraged and Inverse Products 7200, 7300, 7288, 7588, 7500, 7226, 7552, 7262, 7515 NEWS 0.01 XLSX 2026-02-06 21:13
680 2772 Announcements and Notices Other - Trading Update UNAUDITED OPERATING STATISTICS FOR JANUARY 2026 0.06 PDF 2026-02-06 21:12
681 9698 Announcements and Notices Overseas Regulatory Announcement - Other OVERSEAS REGULATORY ANNOUNCEMENT 0.46 PDF 2026-02-06 21:11
682 2822
3005
3033
3147
3153
3193
3432
Trading Information of Exchange Traded Funds 2822, 3147, 3005, 3033, 3193, 3153, 3432 NEWS 0.01 XLSX 2026-02-06 21:11
683 995 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions,
Overseas Regulatory Announcement - Business Update
An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 21:10
684 7233 Trading Information of Leveraged and Inverse Products 7233 NEWS 0.01 XLSX 2026-02-06 21:10
685 2621 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-06 21:09
686 1004 Announcements and Notices Capital Reorganisation,
Change in Board Lot Size,
Results of EGM/SGM,
Trading Arrangements (other than Change in Board Lot Size)
(1) POLL RESULTS OF THE SPECIAL GENERAL MEETING HELD ON 6 FEBRUARY 2026; AND (2) SHARE CONSOLIDATION AND CHANGE IN BOARD LOT SIZE 0.08 PDF 2026-02-06 21:09
687 2802
3101
3133
Trading Information of Exchange Traded Funds 3133, 2802, 3101 NEWS 0.01 XLSX 2026-02-06 21:09
688 3199 Trading Information of Exchange Traded Funds 3199 NEWS 0.01 XLSX 2026-02-06 21:07
689 995 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - INVESTMENT IN THE RECONSTRUCTION AND EXPANSION OF THE ANHUI SECTION OF THE G30 LIANHUO EXPRESSWAY 0.05 PDF 2026-02-06 21:06
690 2772 Announcements and Notices List of Directors and their Role and Function List of Directors and their Roles and Functions 0.06 PDF 2026-02-06 21:05
691 9666 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Announcement by Offeror Company under the Takeovers Code
JOINT ANNOUNCEMENT REVISED MANDATORY CASH OFFER BY CHINA INTERNATIONAL CAPITAL CORPORATION HONG KONG SECURITIES LIMITED FOR AND ON BEHALF OF THE OFFEROR TO ACQUIRE ALL OF THE OFFER SHARES IN THE COMPANY LAST DAY OF TRADING AND SUSPENSION OF TRADING 5.00 PDF 2026-02-06 21:04
692 3096 Trading Information of Exchange Traded Funds 3096 NEWS 0.01 XLSX 2026-02-06 21:02
693 604 Announcements and Notices Connected Transaction CONNECTED TRANSACTION IN RELATION TO DISPOSAL OF 70% EQUITY INTEREST IN JINGHUA ELECTRONICS 0.37 PDF 2026-02-06 21:02
694 3122 Trading Information of Exchange Traded Funds 3122 NEWS 0.01 XLSX 2026-02-06 21:00
695 2772 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities CHANGE OF EXECUTIVE DIRECTOR 0.07 PDF 2026-02-06 21:00
696 3053 Trading Information of Exchange Traded Funds 3053 NEWS 0.01 XLSX 2026-02-06 20:59
697 3190 Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-06 20:58
698 9666 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 20:58
699 3111
3189
83111
83189
Trading Information of Exchange Traded Funds 83111, 3111, 83189, 3189 Information 0.01 XLSX 2026-02-06 20:57
700 3076 Trading Information of Exchange Traded Funds Summary Information (3076) 0.01 XLSX 2026-02-06 20:57
701 9698 Announcements and Notices Inside Information INSIDE INFORMATION - CLOSING OF PRIVATE PLACEMENT OF US$300 MILLION CONVERTIBLE PREFERRED SHARES TO A CHINESE INSTITUTIONAL INVESTOR 0.04 PDF 2026-02-06 20:54
702 501 Announcements and Notices Other - Miscellaneous PARTIAL EXERCISE OF THE OVER-ALLOTMENT OPTION, STABILIZING ACTIONS AND END OF STABILIZATION PERIOD 0.53 PDF 2026-02-06 20:53
703 1865 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.08 PDF 2026-02-06 20:50
704 1865 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities CHANGE OF EXECUTIVE DIRECTOR 0.11 PDF 2026-02-06 20:48
705 2465 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 20:41
706 3858 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.04 PDF 2026-02-06 20:40
707 3320 Announcements and Notices Profit Warning,
Results of a Subsidiary
ANNOUNCEMENT PRELIMINARY FINANCIAL INFORMATION OF CR SANJIU FOR THE YEAR ENDED 31 DECEMBER 2025 0.08 PDF 2026-02-06 20:37
708 2465 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 20:37
709 3320 Announcements and Notices Profit Warning,
Results of a Subsidiary
ANNOUNCEMENT PRINCIPAL OPERATING RESULTS ESTIMATE OF TASLY PHARMACEUTICAL FOR THE YEAR ENDED 31 DECEMBER 2025 0.08 PDF 2026-02-06 20:34
710 2158 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 20:34
711 848 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 (REVISED) 0.07 PDF 2026-02-06 20:29
712 6998 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 20:22
713 1842 Announcements and Notices Change in Company Secretary APPOINTMENT OF JOINT COMPANY SECRETARY AND WAIVER FROM STRICT COMPLIANCE WITH RULES 3.28 AND 8.17 OF THE LISTING RULES 0.06 PDF 2026-02-06 20:11
714 2221 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-06 20:11
715 984 Announcements and Notices Delay in Dispatch of Circular or other Document,
Major Transaction
GRANT OF WAIVER FROM STRICT COMPLIANCE WITH RULE 14.41(a) OF THE LISTING RULES 0.07 PDF 2026-02-06 20:09
716 2221 Announcements and Notices Issue of Shares under a General Mandate COMPLETION OF SUBSCRIPTIONS OF NEW SHARES UNDER GENERAL MANDATE 0.09 PDF 2026-02-06 20:07
717 9858 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Connected Transaction,
Delay in Dispatch of Circular or other Document,
Issue of Shares under a Specific Mandate
DELAY IN DESPATCH OF CIRCULAR (1) CONNECTED TRANSACTION IN RELATION TO THE SUBSCRIPTION OF NEW SHARES UNDER SPECIFIC MANDATE; AND (2) APPLICATION FOR WHITEWASH WAIVER 0.21 PDF 2026-02-06 20:05
718 3081
9081
83081
Trading Information of Exchange Traded Funds 03081, 83081, 9081 Information 0.01 XLSX 2026-02-06 20:05
719 3848 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION IN RESPECT OF PROVISION OF LOAN FACILITY 0.45 PDF 2026-02-06 20:03
720 3680 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-06 20:01
721 3320 Announcements and Notices Profit Warning,
Results of a Subsidiary
ANNOUNCEMENT PRELIMINARY FINANCIAL INFORMATION OF KPC FOR THE YEAR ENDED 31 DECEMBER 2025 0.10 PDF 2026-02-06 20:00
722 6666 Announcements and Notices Announcement by Offeree Company under the Takeovers Code ANNOUNCEMENT - MONTHLY PROGRESS UPDATE PURSUANT TO RULE 3.7 OF THE TAKEOVERS CODE 0.08 PDF 2026-02-06 20:00
723 6831 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 20:00
724 8547 Announcements and Notices Closure of Books or Change of Book Closure Period,
Delay in Dispatch of Circular or other Document,
Rights Issue,
Trading Arrangements (other than Change in Board Lot Size)
DELAY IN DESPATCH OF CIRCULAR IN RELATION TO PROPOSED RIGHTS ISSUE ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY TWO (2) SHARES HELD ON THE RECORD DATE ON A NON-UNDERWRITTEN BASIS 0.06 PDF 2026-02-06 19:55
725 NA Debt and Structured Products Daily Trading Report - CBBC HK and Shanghai Bank-Daily Trading Summary of Callable Bull/Bear Contracts 06/Feb/26 0.06 XLSX 2026-02-06 19:55
726 NA Debt and Structured Products Daily Trading Report - DW HK and Shanghai Bank-Daily Trading Summary of Derivative Warrants 06/Feb/26 0.05 XLSX 2026-02-06 19:54
727 1097 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION 0.04 PDF 2026-02-06 19:53
728 1097 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities,
Change of Nomination Committee Member
(1) RESIGNATION OF NON-EXECUTIVE DIRECTOR; AND (2) CHANGE IN COMPOSITION OF THE NOMINATION COMMITTEE 0.05 PDF 2026-02-06 19:51
729 119 Announcements and Notices Inside Information UNAUDITED SALES DATA FOR JANUARY 2026 0.17 PDF 2026-02-06 19:49
730 3009
9009
Trading Information of Exchange Traded Funds 9009 & 3009 News 0.02 XLSX 2026-02-06 19:42
731 3008
9008
Trading Information of Exchange Traded Funds 9008 & 3008 News 0.02 XLSX 2026-02-06 19:42
732 3156
9107
9156
Trading Information of Exchange Traded Funds 9156 & 3156 & 9107 News 0.02 XLSX 2026-02-06 19:41
733 3196
9196
83196
Trading Information of Exchange Traded Funds 9196 & 3196 & 83196 News 0.02 XLSX 2026-02-06 19:41
734 2803
3151
3173
3453
9151
9159
9173
9803
83151
Trading Information of Exchange Traded Funds 2803, 9803, 3173, 9173, 3453, 9159, 3151, 9151, 83151 NEWS 0.01 XLSX 2026-02-06 19:39
735 8451 Constitutional Documents AMENDED AND RESTATED MEMORANDUM AND ARTICLES OF ASSOCIATION 2.00 PDF 2026-02-06 19:36
736 3680 Announcements and Notices Issue of Shares under a General Mandate,
Placing
COMPLETION OF PLACING OF NEW SHARES UNDER GENERAL MANDATE 0.42 PDF 2026-02-06 19:34
737 8451 Announcements and Notices Results of AGM POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 6 FEBRUARY 2026 0.06 PDF 2026-02-06 19:34
738 2179 Announcements and Notices Inside Information INSIDE INFORMATION ANNOUNCEMENT GRANT OF LISTING APPROVAL BY THE STOCK EXCHANGE FOR THE H SHARE FULL CIRCULATION PLAN OF THE COMPANY 0.04 PDF 2026-02-06 19:30
739 1980 Announcements and Notices Sufficiency of Public Float UPDATE ON THE STATUS OF THE PUBLIC FLOAT 0.05 PDF 2026-02-06 19:30
740 670 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 19:30
741 314 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return - share buybacks 0.09 PDF 2026-02-06 19:26
742 2509 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-06 19:23
743 2556 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 19:20
744 1368 Announcements and Notices Issue of Convertible Securities,
Issue of Shares under a General Mandate,
Other - Miscellaneous
(1) COMPLETION OF CONCURRENT REPURCHASE OF HK$500,000,000 1.5% CONVERTIBLE BONDS DUE 2026; AND (2) COMPLETION OF ISSUE OF HK$500,000,000 ZERO COUPON CONVERTIBLE BONDS DUE 2029 0.09 PDF 2026-02-06 19:20
745 2566 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-06 19:20
746 2714 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 19:17
747 2695 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 19:17
748 2832
82832
Trading Information of Exchange Traded Funds Stock Code : 82832,2832 Information 0.01 XLSX 2026-02-06 19:16
749 NA Debt and Structured Products Daily Trading Report - CBBC BNP Paribas Daily Trading Summary of Callable Bull/Bear Contract 0.05 XLSX 2026-02-06 19:16
750 NA Debt and Structured Products Daily Trading Report - DW BNP Paribas Daily Trading Summary of Derivative Warrants 0.04 XLSX 2026-02-06 19:16
751 2695 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 19:16
752 3888 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 19:16
753 2400 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 19:15
754 2695 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 19:15
755 1862 Announcements and Notices Inside Information,
Suspension,
Winding Up and Liquidation of Issuer, its Holding Company or Major Subsidiary
RESUMPTION GUIDANCE AND CONTINUED SUSPENSION OF TRADING 0.56 PDF 2026-02-06 19:14
756 7234 Trading Information of Leveraged and Inverse Products Stock Code: 7234 Information 0.02 XLSX 2026-02-06 19:14
757 2390 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-06 19:12
758 1757 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT COMMENCEMENT OF NEW BUSINESS 0.42 PDF 2026-02-06 19:12
759 2431 Announcements and Notices Inside Information INSIDE INFORMATION ANNOUNCEMENT LISTING APPROVAL GRANTED BY THE STOCK EXCHANGE FOR THE COMPANY'S H SHARE FULL CIRCULATION 0.47 PDF 2026-02-06 19:10
760 3437
9437
83437
Trading Information of Exchange Traded Funds 03437 & 09437 & 83437 news 0.01 XLSX 2026-02-06 19:10
761 3108
83108
Trading Information of Exchange Traded Funds ETF_HKEX_Price_06022026_EN 0.01 XLSX 2026-02-06 19:10
762 NA Debt and Structured Products Daily Trading Report - DW Societe Generale Daily Trading Summary of Derivative Warrants 0.04 XLSX 2026-02-06 19:09
763 NA Debt and Structured Products Daily Trading Report - CBBC Societe Generale Daily Trading Summary of Callable Bull/Bear Contract 0.07 XLSX 2026-02-06 19:09
764 3039 Trading Information of Exchange Traded Funds 3039 Information 0.01 XLSX 2026-02-06 19:09
765 2714 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 19:08
766 1815 Next Day Disclosure Returns Others Next Day Disclosure Returns 0.08 PDF 2026-02-06 19:07
767 2799 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities ELECTION OF EMPLOYEE DIRECTOR 0.08 PDF 2026-02-06 19:06
768 8275 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION SECOND SUPPLEMENTAL LOAN AGREEMENT IN RELATION TO THE GRANT OF REVOLVING LOAN FACILITY 0.67 PDF 2026-02-06 19:06
769 199 Announcements and Notices Other - Miscellaneous VOLUNTARY ANNOUNCEMENT - FRAMEWORK AGREEMENT WITH ZHONGMIAO HOLDINGS (QINGDAO) CO., LTD. AND ACQUISITION OF SHARES IN ZHONGMIAO HOLDINGS (QINGDAO) CO., LTD. 0.23 PDF 2026-02-06 19:06
770 6690 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 19:06
771 337 Announcements and Notices Other - Business Update UNAUDITED OPERATING STATISTICS FOR JANUARY 2026 0.04 PDF 2026-02-06 19:06
772 1815 Announcements and Notices Issue of Shares under a General Mandate COMPLETION OF CERTAIN SUBSCRIPTIONS OF NEW SHARES UNDER GENERAL MANDATE 0.08 PDF 2026-02-06 19:05
773 2586 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 19:05
774 3998 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-06 19:04
775 2408 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 19:02
776 2619 Announcements and Notices Change of Company Name CHANGE OF COMPANY NAME 0.43 PDF 2026-02-06 19:00
777 2695 Announcements and Notices Change of Audit Committee Member CHANGE IN COMPOSITION OF AUDIT COMMITTEE 0.08 PDF 2026-02-06 18:59
778 2695 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION 0.05 PDF 2026-02-06 18:59
779 3161
83161
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-06 18:58
780 3069
9069
83069
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-06 18:58
781 602 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 (REVISED) 0.07 PDF 2026-02-06 18:57
782 2839
3403
9403
9839
82839
83403
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-06 18:57
783 1140 Announcements and Notices Change in Company Website,
Change of Company Name,
Trading Arrangements (other than Change in Board Lot Size)
CHANGE OF COMPANY NAME, STOCK SHORT NAME, COMPANY LOGO AND COMPANY WEBSITE 0.07 PDF 2026-02-06 18:57
784 2695 Announcements and Notices Other - Corporate Governance Related Matters UNIFORM ADOPTION OF CHINA ACCOUNTING STANDARDS FOR BUSINESS ENTERPRISES FOR FINANCIAL REPORT PREPARATION AND DISCONTINUATION OF SEPARATE ENGAGEMENT OF OVERSEAS FINANCIAL REPORTING AUDITORS 0.09 PDF 2026-02-06 18:57
785 3088
9088
83088
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-06 18:56
786 2695 Announcements and Notices Inside Information INSIDE INFORMATION - POTENTIAL ACQUISITION OF FIXED ASSETS 0.10 PDF 2026-02-06 18:56
787 1732 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Announcement by Offeror Company under the Takeovers Code
JOINT ANNOUNCMENT CONDITIONAL VOLUNTARY CASH PARTIAL OFFER BY LEGO SECURITIES LIMITED FOR AND ON BEHALF OF WESTWELL HOLDINGS (HONG KONG) LIMITED TO ACQUIRE 371,200,000 SHARES IN XIANGXING INTERNATIONAL HOLDING LIMITED (OTHER THAN THOSE ALREADY OWNED OR AGREED TO BE ACQUIRED BY THE OFFEROR AND PARTIES ACTING IN CONCERT WITH IT) (1) PARTIAL OFFER BECOMING UNCONDITIONAL IN ALL RESPECTS; AND (2) PARTIAL OFFER REMAINING OPEN FOR ACCEPTANCE 0.26 PDF 2026-02-06 18:56
788 3070
9070
Trading Information of Exchange Traded Funds 3070, 9070 NEWS 0.01 XLSX 2026-02-06 18:54
789 1816 Announcements and Notices Overseas Regulatory Announcement - Corporate Governance Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 18:51
790 2378 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-06 18:48
791 3200 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 18:48
792 1233 Announcements and Notices Other - Trading Update UNAUDITED OPERATING STATISTICS FOR THE ONE MONTH ENDED 31 JANUARY 2026 0.17 PDF 2026-02-06 18:45
793 3118
83118
Trading Information of Exchange Traded Funds HARVEST MSCI CHINA A INDEX ETF <83118> <3118> INFORMATION 0.01 XLSX 2026-02-06 18:42
794 1141 Announcements and Notices Continuing Connected Transaction CONTINUING CONNECTED TRANSACTION IN RELATION TO THE OFFICE SHARING AGREEMENT 0.13 PDF 2026-02-06 18:42
795 8417 Announcements and Notices Discloseable Transaction DISCLOSABLE TRANSACTION ACQUISITION OF THE ENTIRE ISSUED SHARES IN THE TARGET COMPANY 0.13 PDF 2026-02-06 18:41
796 1927 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.04 PDF 2026-02-06 18:41
797 486 Announcements and Notices Overseas Regulatory Announcement - Other OVERSEAS REGULATORY ANNOUNCEMENT 0.09 PDF 2026-02-06 18:39
798 489 Announcements and Notices Other - Business Update Flash Report on Production and Sales Volume of Dongfeng Motor Group for January 2026 0.37 PDF 2026-02-06 18:39
799 1810
81810
Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 18:39
800 3329 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITION OF NOTES 0.08 PDF 2026-02-06 18:38
801 3368 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.21 PDF 2026-02-06 18:38
802 3337 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-06 18:36
803 NA Debt and Structured Products Daily Trading Report - CBBC J.P. Morgan Structured Products B.V. - Daily Trading Summary of Callable Bull/Bear Contracts 0.06 XLSX 2026-02-06 18:36
804 NA Debt and Structured Products Daily Trading Report - DW J.P. Morgan Structured Products B.V. - Daily Trading Summary of Derivative Warrants (Including Inline Warrants) 0.08 XLSX 2026-02-06 18:36
805 1773 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-06 18:35
806 3112 Trading Information of Exchange Traded Funds 3112 News 0.01 XLSX 2026-02-06 18:34
807 6657 Announcements and Notices Connected Transaction SUPPLEMENTAL ANNOUNCEMENT OF CONNECTED TRANSACTION IN RELATION TO THE CONVERTIBLE LOAN AGREEMENT 0.46 PDF 2026-02-06 18:34
808 3046
9046
83046
Trading Information of Exchange Traded Funds 9046 & 3046 & 83046 News 0.03 XLSX 2026-02-06 18:33
809 3056 Trading Information of Exchange Traded Funds 3056 News 0.01 XLSX 2026-02-06 18:33
810 2843
82843
Trading Information of Exchange Traded Funds 2843 & 82843 News 0.01 XLSX 2026-02-06 18:32
811 3460
9460
83460
Trading Information of Exchange Traded Funds 9460 & 3460 & 83460 News 0.03 XLSX 2026-02-06 18:32
812 3042
9042
83042
Trading Information of Exchange Traded Funds 9042 & 3042 & 83042 News 0.07 XLSX 2026-02-06 18:32
813 1789 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 18:31
814 3012
83012
Trading Information of Exchange Traded Funds 3012 & 83012 News 0.02 XLSX 2026-02-06 18:31
815 1204 Monthly Returns Monthly Return for Equity Issuer and Hong Kong Depositary Receipts listed under Chapter 19B of the Exchange Listing Rules on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 18:31
816 2818 Trading Information of Exchange Traded Funds 2818 News 0.01 XLSX 2026-02-06 18:30
817 8282 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - WHOLLY-OWNED SUBSIDIARY RECOGNISED AS A HIGH-TECH ENTERPRISE 0.06 PDF 2026-02-06 18:30
818 3179
9179
Trading Information of Exchange Traded Funds 9179 & 3179 News 0.01 XLSX 2026-02-06 18:30
819 1847 Announcements and Notices Continuing Connected Transaction,
Results of EGM/SGM
POLL RESULTS OF THE EXTRAORDINARY GENERAL MEETING HELD ON FEBRUARY 6, 2026 0.08 PDF 2026-02-06 18:30
820 3439
9439
Trading Information of Exchange Traded Funds 9439 & 3439 News 0.01 XLSX 2026-02-06 18:30
821 1773 Announcements and Notices Other - Miscellaneous VOLUNTARY ANNOUNCEMENT (1) INCREASE IN SHAREHOLDING IN THE COMPANY BY A DIRECTOR; AND (2) ON-MARKET SHARE REPURCHASE 0.04 PDF 2026-02-06 18:29
822 6998 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 December 2025 0.07 PDF 2026-02-06 18:29
823 3085 Trading Information of Exchange Traded Funds 3085 News 0.01 XLSX 2026-02-06 18:29
824 1276 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 18:29
825 25802
25803
25804
25805
25888
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-06 18:27
826 916 Announcements and Notices Inside Information ANNOUNCEMENT - POWER GENERATION FOR JANUARY 2026 0.22 PDF 2026-02-06 18:27
827 25889 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.46 PDF 2026-02-06 18:26
828 25891
25892
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-06 18:26
829 58950
58951
58952
59002
59003
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.20 PDF 2026-02-06 18:26
830 58957
58962
58963
58964
58971
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-06 18:26
831 58976
58977
58980
58989
58995
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-06 18:26
832 58996
58999
59001
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-06 18:26
833 59010
59011
59023
59028
59034
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.21 PDF 2026-02-06 18:26
834 59035
59039
59041
59046
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.20 PDF 2026-02-06 18:26
835 1358 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 18:25
836 694 Announcements and Notices Inside Information,
Profit Warning
INSIDE INFORMATION ESTIMATED DECREASE IN LOSS FOR THE YEAR ENDED 31 DECEMBER 2025 0.08 PDF 2026-02-06 18:25
837 25779
25780
25781
25782
25785
25786
25788
25790
25791
25794
Debt and Structured Products Pre-Listing Trading Report - DW J.P. Morgan Structured Products B.V. - Pre Listing Trading Summary of Derivative Warrants (Including Inline Warrants) 0.01 XLSX 2026-02-06 18:24
838 58213
58218
58221
58223
58224
58238
58241
58247
58248
58249
58251
58253
58289
58298
58305
58313
58325
58332
58340
58341
58342
58351
Debt and Structured Products Pre-Listing Trading Report - CBBC J.P. Morgan Structured Products B.V. - Pre Listing Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-06 18:24
839 NA Debt and Structured Products Daily Trading Report - DW Guotai Junan Securities (Hong Kong) Limited - Daily Trading Summary of Derivative Warrants 0.03 XLSX 2026-02-06 18:22
840 NA Debt and Structured Products Daily Trading Report - CBBC Guotai Junan Securities (Hong Kong) Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.02 XLSX 2026-02-06 18:22
841 3678 Circulars Other REPLY SLIP FOR THE 2026 FIRST EXTRAORDINARY SHAREHOLDERS' MEETING TO BE HELD ON TUESDAY, 3 MARCH 2026 OR AT ANY ADJOURNMENT THEREOF 0.06 PDF 2026-02-06 18:21
842 NA Debt and Structured Products Daily Trading Report - CBBC Morgan Stanley Asia Products Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.02 XLSX 2026-02-06 18:19
843 NA Debt and Structured Products Daily Trading Report - DW Morgan Stanley Asia Products Limited - Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-06 18:19
844 6816 Announcements and Notices Delay in Dispatch of Circular or other Document,
Major Transaction
FURTHER DELAY IN DESPATCH OF CIRCULAR 0.21 PDF 2026-02-06 18:19
845 2419 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 18:18
846 NA Debt and Structured Products Daily Trading Report - DW The Bank of East Asia, Limited - Daily Trading Summary of Derivative Warrants 0.02 XLSX 2026-02-06 18:18
847 3423 Trading Information of Exchange Traded Funds 3423 NEWS 0.01 XLSX 2026-02-06 18:18
848 123
85108
Debt and Structured Products Formal Notice - Debt Securities NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - CNY1,735,000,000 3.40 PER CENT. GUARANTEED GREEN NOTES DUE 2029 ISSUED BY JOY DELIGHT INTERNATIONAL LIMITED, AND UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY YUEXIU PROPERTY COMPANY LIMITED 0.09 PDF 2026-02-06 18:18
849 58794 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-06 18:17
850 58795
58796
58798
58819
58823
58827
58828
58830
58855
58860
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-06 18:17
851 58863
58866
58868
58874
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-06 18:17
852 58739 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-06 18:17
853 58740
58742
58750
58762
58771
58785
58799
58800
58805
58807
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-06 18:17
854 58811
58812
58816
58818
58831
58836
58837
58846
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-06 18:17
855 25827 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.18 PDF 2026-02-06 18:17
856 25831
25832
25834
25835
25836
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.18 PDF 2026-02-06 18:17
857 25828 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.40 PDF 2026-02-06 18:17
858 25829 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.37 PDF 2026-02-06 18:17
859 6608 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 18:17
860 3839 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.20 PDF 2026-02-06 18:16
861 3678 Proxy Forms FORM OF PROXY FOR USE AT THE 2026 FIRST EXTRAORDINARY SHAREHOLDERS' MEETING TO BE HELD ON TUESDAY, 3 MARCH 2026 OR AT ANY ADJOURNMENT THEREOF (for holders of H Shares) 0.07 PDF 2026-02-06 18:16
862 3461
3471
3472
9472
83461
Trading Information of Exchange Traded Funds E_SCB_summ_CAMCDMMFETF_20260206.xlsx 0.01 XLSX 2026-02-06 18:15
863 9922 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 18:14
864 2877 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 18:14
865 771 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 18:13
866 25811
25873
25886
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Macquarie Bank Limited in relation to stock codes 25811 25873 25886 0.12 PDF 2026-02-06 18:13
867 3129
83129
Trading Information of Exchange Traded Funds BOCHK GBA Climate Transition ETF <03129, 83129> Information 0.02 XLSX 2026-02-06 18:12
868 2167 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-06 18:11
869 NA Debt and Structured Products Daily Trading Report - CBBC BOCI Asia Limited Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-06 18:11
870 2603 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 18:11
871 NA Debt and Structured Products Daily Trading Report - DW BOCI Asia Limited Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-06 18:11
872 2616 Announcements and Notices Change in Company Secretary UPDATE ON THE QUALIFICATION OF JOINT COMPANY SECRETARY AND CHANGE OF COMPANY SECRETARY AND AUTHORIZED REPRESENTATIVE 0.04 PDF 2026-02-06 18:10
873 3678 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF THE EXTRAORDINARY SHAREHOLDERS' MEETING 0.07 PDF 2026-02-06 18:09
874 55385
56490
56511
57886
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55385, 56490, 56511, 57886 issued by BOCI Asia Limited 0.04 PDF 2026-02-06 18:09
875 55014
56550
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55014, 56550 issued by BOCI Asia Limited 0.04 PDF 2026-02-06 18:09
876 272 Announcements and Notices Connected Transaction CONNECTED TRANSACTION IN RELATION TO ENTERING INTO OF THE COOPERATION AGREEMENT 0.60 PDF 2026-02-06 18:07
877 9985 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.08 PDF 2026-02-06 18:07
878 NA Debt and Structured Products Daily Trading Report - DW Macquarie Bank Limited - Daily Trading Summary of Derivative Warrants 06/02/2026 0.11 XLSX 2026-02-06 18:07
879 3698 Announcements and Notices Other - Miscellaneous,
Sufficiency of Public Float
ANNOUNCEMENT IN RELATION TO THE RELIANCE ON THE ALTERNATIVE THRESHOLD FOR THE PUBLIC FLOAT 0.03 PDF 2026-02-06 18:07
880 3047
9047
Trading Information of Exchange Traded Funds 9047, 3047 NEWS 0.01 XLSX 2026-02-06 18:07
881 800 Proxy Forms FORM OF PROXY FOR CLASS B MEETING TO BE HELD ON FRIDAY, MARCH 13, 2026 (or any adjournment(s) or postponement(s) thereof) 0.08 PDF 2026-02-06 18:06
882 1618 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 18:06
883 9676 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.08 PDF 2026-02-06 18:05
884 800 Proxy Forms FORM OF PROXY FOR CLASS A MEETING TO BE HELD ON FRIDAY, MARCH 13, 2026 (or any adjournment(s) or postponement(s) thereof) 0.08 PDF 2026-02-06 18:05
885 9985 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities APPOINTMENT OF NON-EXECUTIVE DIRECTOR 0.08 PDF 2026-02-06 18:04
886 848 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 (REVISED) 0.07 PDF 2026-02-06 18:04
887 800 Proxy Forms FORM OF PROXY FOR EXTRAORDINARY GENERAL MEETING TO BE HELD ON FRIDAY, MARCH 13, 2026 (or any adjournment(s) or postponement(s) thereof) 0.08 PDF 2026-02-06 18:04
888 3037 Trading Information of Exchange Traded Funds 3037 news 0.01 XLSX 2026-02-06 18:03
889 2825 Trading Information of Exchange Traded Funds WISE CSIHK100 ETF <02825> INFORMATION 0.02 XLSX 2026-02-06 18:03
890 800 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF CLASS B MEETING to be held on March 13, 2026 (or any adjourned or postponed meeting thereof) 0.08 PDF 2026-02-06 18:03
891 3678 Circulars Re-election or Appointment of Director subject to Shareholders' Approval (1) PROPOSED APPOINTMENT OF INDEPENDENT NON-EXECUTIVE DIRECTOR AND (2) NOTICE OF THE EXTRAORDINARY SHAREHOLDERS' MEETING 0.15 PDF 2026-02-06 18:02
892 800 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF CLASS A MEETING to be held on March 13, 2026 (or any adjourned or postponed meeting thereof) 0.08 PDF 2026-02-06 18:02
893 268 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.08 PDF 2026-02-06 18:02
894 1172 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities,
Other - Miscellaneous
SUPPLEMENTAL ANNOUNCEMENT APPOINTMENT OF INDEPENDENT NON-EXECUTIVE DIRECTOR 0.05 PDF 2026-02-06 18:01
895 800 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF EXTRAORDINARY GENERAL MEETING to be held on March 13, 2026 (or any adjourned or postponed meeting thereof) 0.09 PDF 2026-02-06 18:01
896 800 Circulars Amendment of Constitutional Documents,
Explanatory Statement for Repurchase of Shares,
General Mandate,
Share Scheme
(1) PROPOSED AMENDMENT OF THE MEMORANDUM AND ARTICLES OF ASSOCIATION; (2) PROPOSED GRANT OF GENERAL MANDATE TO ISSUE SHARES AND/OR RESELL TREASURY SHARES; (3) PROPOSED GRANT OF GENERAL MANDATE TO REPURCHASE SHARES AND/OR ADSs; (4) PROPOSED ADOPTION OF THE 2026 SHARE PLAN; AND (5) NOTICES OF THE EGM AND CLASS MEETINGS 0.69 PDF 2026-02-06 18:00
897 8211 Announcements and Notices Change in Chief Executive,
Change in Directors or of Important Executive Functions or Responsibilities,
Suspension
RESIGNATION OF EXECUTIVE DIRECTORS, DEPUTY CHAIRMAN, CHIEF EXECUTIVE OFFICER AND AUTHORISED REPRESENTATIVE; AND CONTINUED SUSPENSION OF TRADING 0.37 PDF 2026-02-06 18:00
898 3182 Trading Information of Exchange Traded Funds WISE NEWECONESG ETF <03182> INFORMATION 0.01 XLSX 2026-02-06 18:00
899 NA Debt and Structured Products Daily Trading Report - CBBC UBS - DAILY TRADING REPORT ON CBBC 0.09 XLSX 2026-02-06 17:59
900 NA Debt and Structured Products Daily Trading Report - DW UBS - DAILY TRADING REPORT ON DERIVATIVE WARRANT 0.06 XLSX 2026-02-06 17:59
901 2827 Trading Information of Exchange Traded Funds WISE CSI300 ETF <02827> INFORMATION 0.02 XLSX 2026-02-06 17:59
902 2130 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 17:58
903 3024 Trading Information of Exchange Traded Funds WISE SSE50 ETF <03024> INFORMATION 0.02 XLSX 2026-02-06 17:57
904 6098 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.10 PDF 2026-02-06 17:56
905 9890 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 17:56
906 3430
9430
Trading Information of Exchange Traded Funds 3430&9430 News 0.02 XLSX 2026-02-06 17:55
907 874 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 17:55
908 3425
9425
Trading Information of Exchange Traded Funds 3425&9425 News 0.02 XLSX 2026-02-06 17:54
909 697 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-06 17:51
910 6881 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 17:51
911 1050 Announcements and Notices Issue of Shares under a General Mandate,
Placing
SUPPLEMENTAL ANNOUNCEMENT - PLACING OF EXISTING SHARES AND TOP-UP SUBSCRIPTION OF NEW SHARES UNDER GENERAL MANDATE 0.46 PDF 2026-02-06 17:47
912 1272 Announcements and Notices Inside Information,
Profit Warning
ANNOUNCEMENT POSITIVE PROFIT ALERT FOR 2025 ANNUAL RESULTS 0.05 PDF 2026-02-06 17:47
913 874 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 17:47
914 719 Announcements and Notices Inside Information The Termination of the Equity Acquisition Intention Agreement 0.16 PDF 2026-02-06 17:46
915 8455 Announcements and Notices Results of EGM/SGM POLL RESULTS OF EXTRAORDINARY GENERAL MEETING HELD ON 6 FEBRUARY 2026 0.04 PDF 2026-02-06 17:45
916 8017 Announcements and Notices Other - Trading Update VOLUNTARY ANNOUNCEMENT UNAUDITED OPERATING DATA AS OF JANUARY 2026 0.10 PDF 2026-02-06 17:42
917 56786
56789
56790
56791
56801
56802
66524
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 66524,56789,56801,56802,56786,56790,56791 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 PDF 2026-02-06 17:41
918 704 Announcements and Notices Change in Auditors SUPPLEMENTAL ANNOUNCEMENT IN RELATION TO APPOINTMENT OF AUDITOR 0.27 PDF 2026-02-06 17:40
919 356 Announcements and Notices Clarification of News or Reports - Standard or Super VOLUNTARY CLARIFICATION ANNOUNCEMENT 0.08 PDF 2026-02-06 17:40
920 1098 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters OVERSEAS REGULATORY ANNOUNCEMENT 0.55 PDF 2026-02-06 17:39
921 55409
55976
57294
57767
57772
57774
59928
60830
69451
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 69451,57294,55976,57767,57772,57774,55409,59928,60830 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 PDF 2026-02-06 17:39
922 3480
9480
Trading Information of Exchange Traded Funds Stock Code: 3480 Information 0.02 XLSX 2026-02-06 17:38
923 NA Debt and Structured Products Financial Disclosure or Report - Structured Products Issuer SG Issuer - Announcement regarding the Guarantor's Fourth Quarter 2025 And Year Ended 31 December 2025 Results 0.21 PDF 2026-02-06 17:38
924 3421 Trading Information of Exchange Traded Funds Stock Code: 3421 Information 0.02 XLSX 2026-02-06 17:37
925 3420
83420
Trading Information of Exchange Traded Funds Stock Code: 3420 Information 0.02 XLSX 2026-02-06 17:37
926 3457 Trading Information of Exchange Traded Funds Stock Code: 3457 Information 0.01 XLSX 2026-02-06 17:35
927 3192
83192
Trading Information of Exchange Traded Funds Stock Code: 3192 Information 0.02 XLSX 2026-02-06 17:34
928 NA Debt and Structured Products Daily Trading Report - DW DBS Bank Limited - Daily Trading Summary of Derivative Warrants 0.02 XLSX 2026-02-06 17:34
929 3176
9176
Trading Information of Exchange Traded Funds Stock Code: 3176 9176 Information 0.01 XLSX 2026-02-06 17:34
930 NA Debt and Structured Products Daily Trading Report - CBBC DBS Bank Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-06 17:34
931 9896 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-06 17:33
932 3152 Trading Information of Exchange Traded Funds Stock Code: 3152 Information 0.01 XLSX 2026-02-06 17:33
933 6818 Announcements and Notices List of Directors and their Role and Function List of Directors and their Roles and Functions 0.07 PDF 2026-02-06 17:33
934 2658 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT IN RELATION TO THE ENTERING INTO OF A STRATEGIC COOPERATION AGREEMENT 0.10 PDF 2026-02-06 17:31
935 2477 Announcements and Notices Change in Registered Address or Office, Registered Place of Business in HK or Agent for Service of Process in HK CHANGE OF ADDRESS OF THE REGISTERED OFFICE, PRINCIPAL SHARE REGISTRAR AND TRANSFER OFFICE IN THE CAYMAN ISLANDS 0.06 PDF 2026-02-06 17:30
936 6818 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities ANNOUNCEMENT ON THE APPROVAL OF APPOINTMENT QUALIFICATION OF DIRECTOR 0.07 PDF 2026-02-06 17:30
937 1339 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 17:30
938 813 Announcements and Notices Other - Trading Update Unaudited Operating Statistics for January 2026 0.20 PDF 2026-02-06 17:30
939 103 Announcements and Notices Continuing Connected Transaction,
Delay in Dispatch of Circular or other Document,
Discloseable Transaction
DELAY IN DESPATCH OF CIRCULAR 0.07 PDF 2026-02-06 17:29
940 123 Announcements and Notices Other - Trading Update ANNOUNCEMENT - UNAUDITED SALES STATISTICS AS AT 31 JANUARY 2026 AND NEW LAND ACQUISITION IN JANUARY 0.08 PDF 2026-02-06 17:29
941 2819 Listing Documents Authorised Collective Investment Scheme Prospectus 0.69 PDF 2026-02-06 17:28
942 159 Announcements and Notices Date of Board Meeting NOTIFICATION OF BOARD MEETING 5.00 PDF 2026-02-06 17:26
943 8282 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.06 PDF 2026-02-06 17:26
944 763 Announcements and Notices Overseas Regulatory Announcement - Business Update An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 17:25
945 2819 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities Announcement - Change of Directors 0.18 PDF 2026-02-06 17:24
946 9987 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 17:24
947 1274 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-06 17:23
948 763 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 17:22
949 1800 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-06 17:21
950 8168 Next Day Disclosure Returns Others Next Day Disclosure Returns 0.08 PDF 2026-02-06 17:20
951 58420
58430
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 58420, 58430 issued by DBS BANK LTD. 0.32 PDF 2026-02-06 17:17
952 25800
25807
25808
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25800, 25807, 25808 issued by DBS BANK LTD. 0.30 PDF 2026-02-06 17:17
953 58421
58422
58426
58447
58453
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 58426, 58422, 58453, 58421, 58447 issued by DBS BANK LTD. 0.33 PDF 2026-02-06 17:16
954 685 Announcements and Notices Date of Board Meeting NOTIFICATION OF BOARD MEETING 0.45 PDF 2026-02-06 17:15
955 684 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the Month Ended 31 Jan 2026 0.07 PDF 2026-02-06 17:15
956 6881 Announcements and Notices Issue of Debt Securities ANNOUNCEMENT COMPLETION OF PUBLIC ISSUANCE OF 2026 CORPORATE BONDS (SECOND TRANCHE) 0.07 PDF 2026-02-06 17:15
957 10061
10076
10077
10782
11039
11040
11057
11058
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
BNP PARIBAS ISSUANCE B.V. - Clarification Announcement 0.19 PDF 2026-02-06 17:13
958 58458
58464
58465
58466
58469
58474
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by BOCI Asia Limited 0.12 PDF 2026-02-06 17:11
959 684 Announcements and Notices Sufficiency of Public Float Announcement on update of the status of the public float 0.55 PDF 2026-02-06 17:11
960 2600 Circulars Other 2026 FIRST EXTRAORDINARY GENERAL MEETING REPLY SLIP 0.12 PDF 2026-02-06 17:11
961 2600 Proxy Forms FORM OF PROXY FOR THE 2026 FIRST EXTRAORDINARY GENERAL MEETING TO BE HELD ON FRIDAY, 27 MARCH 2026 0.13 PDF 2026-02-06 17:10
962 81
85109
Debt and Structured Products Formal Notice - Debt Securities NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - CNY1,300,000,000 3.20 PER CENT. GUARANTEED NOTES DUE 2029 ISSUED BY CHINA OVERSEAS GRAND OCEANS FINANCE V (CAYMAN) LIMITED 0.24 PDF 2026-02-06 17:10
963 338 Documents on Display Documents on Display - Connected Transaction and Discloseable Transaction in relation to the Proposed Consolidation of Baling New Materials 0.00 2026-02-06 17:09
964 2600 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF 2026 FIRST EXTRAORDINARY GENERAL MEETING 0.13 PDF 2026-02-06 17:08
965 54250
57630
57657
57661
57722
65144
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Announcement on Valuation of Residual Value in relation to CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.04 PDF 2026-02-06 17:08
966 54800
55794
57642
57662
57663
57677
57686
57687
59164
59376
61824
62023
69063
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Announcement on Valuation of Residual Value in relation to CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.04 PDF 2026-02-06 17:08
967 58888
58889
58894
58898
58911
58912
58918
58936
58937
58943
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.19 PDF 2026-02-06 17:08
968 58945
58946
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.18 PDF 2026-02-06 17:08
969 58883
58886
58887
58901
58902
58904
58921
58931
58932
58933
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.20 PDF 2026-02-06 17:08
970 58934 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.19 PDF 2026-02-06 17:08
971 25879
25881
25883
25884
25885
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by SG Issuer 0.17 PDF 2026-02-06 17:08
972 2327 Announcements and Notices Connected Transaction,
Delay in Dispatch of Circular or other Document,
Discloseable Transaction
DELAY IN DESPATCH OF CIRCULAR 0.17 PDF 2026-02-06 17:08
973 732 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-06 17:07
974 2223 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - UPDATE OF JOINT VENTURE COMPANY 0.56 PDF 2026-02-06 17:07
975 175
80175
Next Day Disclosure Returns Others,
Share Buyback
Next Day Disclosure Returns 0.09 PDF 2026-02-06 17:07
976 55059
55241
57110
57152
57164
57174
57191
58262
60055
61428
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-06 17:07
977 69262 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-06 17:07
978 53292
55164
56898
56900
56909
56975
56989
57234
57255
60058
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-06 17:07
979 103 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-06 17:06
980 2393 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTIONS IN RELATION TO ACQUISITIONS OF EQUIPMENT FOR THE PRODUCTION OF ADVANCED MATERIALS 0.10 PDF 2026-02-06 17:06
981 392 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 17:06
982 834 Announcements and Notices Final Results,
Modified Report by Auditors,
Other - Corporate Governance Related Matters
QUARTERLY UPDATE ON IMPLEMENTATION OF ACTION PLAN TO ADDRESS DISCLAIMER OF OPINION 0.07 PDF 2026-02-06 17:05
983 25812
25813
25814
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by BOCI Asia Limited 0.10 PDF 2026-02-06 17:05
984 336 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-06 17:04
985 58701
58707
58708
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by The Hongkong and Shanghai Banking Corporation Limited - 58701, 58707, 58708 0.13 PDF 2026-02-06 17:04
986 58623
58634
58638
58642
58644
58649
58654
58717
58731
58736
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by The Hongkong and Shanghai Banking Corporation Limited - 58623, 58634, 58638, 58642, 58644, 58649, 58654, 58717, 58731, 58736 0.14 PDF 2026-02-06 17:03
987 2600 Circulars Re-election or Appointment of Director subject to Shareholders' Approval 2026 FIRST EXTRAORDINARY GENERAL MEETING 0.39 PDF 2026-02-06 17:03
988 40081 Debt and Structured Products Formal Notice - Debt Securities NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - U.S.$300,000,000 FLOATING RATE GUARANTEED BONDS DUE 2029 ISSUED BY CMBC INTERNATIONAL FUNDING (HK) LIMITED AND UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY CMBC INTERNATIONAL HOLDINGS LIMITED 0.42 PDF 2026-02-06 17:03
989 25837
25839
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25837, 25839 issued by Citigroup Global Markets Europe AG 0.20 PDF 2026-02-06 17:02
990 58554
58571
58577
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 58554, 58571, 58577 issued by Citigroup Global Markets Europe AG 0.19 PDF 2026-02-06 17:02
991 56411
56412
56417
56418
57101
59271
68775
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 56417, 56411, 56412, 56418, 59271, 57101, 68775 issued by DBS BANK LTD. 0.04 PDF 2026-02-06 17:02
992 56882
56894
56896
57021
57954
59740
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Morgan Stanley Asia Products Limited - Notice of Valuation of Residual Value of Callable Bull/Bear Contracts 0.04 PDF 2026-02-06 17:00
993 58614
58615
58619
58658
58663
58669
58670
58676
58678
58683
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by The Hongkong and Shanghai Banking Corporation Limited - 58614, 58615, 58619, 58658, 58663, 58669, 58670, 58676, 58678, 58683 0.14 PDF 2026-02-06 17:00
994 2888 Announcements and Notices Date of Board Meeting Date of Board Committee Meeting 0.13 PDF 2026-02-06 17:00
995 54696
57312
57313
57339
57343
57349
57367
57377
57383
57396
57399
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-06 16:59
996 54156
56366
57401
57408
57468
57470
57472
57486
58416
59542
61328
61797
62082
69165
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-06 16:59
997 62231 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-06 16:59
998 338 Proxy Forms FORM OF PROXY FOR THE 2026 FIRST EXTRAORDINARY GENERAL MEETING 0.08 PDF 2026-02-06 16:59
999 2410 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT - ACCEPTANCE OF NEW DRUG APPLICATION FOR ASANDEUTERTINIB (TY-9591) BY THE NATIONAL MEDICAL PRODUCTS ADMINISTRATION 0.07 PDF 2026-02-06 16:59
1000 25840 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25840 issued by Citigroup Global Markets Europe AG 0.19 PDF 2026-02-06 16:58
1001 53764 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Morgan Stanley Asia Products Limited - Notice of Valuation of Residual Value of Callable Bull/Bear Contracts 0.04 PDF 2026-02-06 16:58
1002 32 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.23 PDF 2026-02-06 16:58
1003 764 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities,
Change of Audit Committee Member,
Change of Nomination Committee Member,
Change of Remuneration Committee Member,
Non-compliance with Nomination Committee Requirements
SUPPLEMENTAL ANNOUNCEMENT - RESIGNATION OF AN INDEPENDENT NON-EXECUTIVE DIRECTOR AND CHANGE IN COMPOSITION OF BOARD COMMITTEES 0.28 PDF 2026-02-06 16:57
1004 3893 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-06 16:57
1005 338 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF THE FIRST EXTRAORDINARY GENERAL MEETING FOR 2026 0.07 PDF 2026-02-06 16:56
1006 1066 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN - SHARE BUYBACK 0.09 PDF 2026-02-06 16:54
1007 54695
56530
56674
56771
56773
56780
56781
60199
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 56674, 56773, 56771, 56780, 56781, 60199, 54695, 56530 issued by BNP PARIBAS ISSUANCE B.V. 0.04 PDF 2026-02-06 16:54
1008 64896 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 64896 issued by BNP PARIBAS ISSUANCE B.V. 0.04 PDF 2026-02-06 16:54
1009 551 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.13 PDF 2026-02-06 16:54
1010 3893 Announcements and Notices Change in Shareholding,
Conversion of Securities
CONVERSION OF CONVERTIBLE BONDS 0.14 PDF 2026-02-06 16:54
1011 3898 Announcements and Notices Inside Information ANNOUNCEMENT ON PRELIMINARY FINANCIAL DATA FOR THE YEAR OF 2025 0.07 PDF 2026-02-06 16:52
1012 688 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 16:52
1013 635 Announcements and Notices Inside Information,
Profit Warning
Trading Update 0.13 PDF 2026-02-06 16:51
1014 338 Circulars Connected Transaction CONNECTED TRANSACTION AND DISCLOSEABLE TRANSACTION IN RELATION TO THE PROPOSED CONSOLIDATION OF BALING NEW MATERIALS AND NOTICE OF THE FIRST EXTRAORDINARY GENERAL MEETING FOR 2026 0.21 PDF 2026-02-06 16:50
1015 3877 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-06 16:50
1016 3172 Announcements and Notices Dividend or Distribution (Announcement Form) Distribution Announcement 0.04 PDF 2026-02-06 16:50
1017 1798 Announcements and Notices Inside Information ANNOUNCEMENT - POWER GENERATION FOR JANUARY 2026 0.15 PDF 2026-02-06 16:49
1018 1071 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 16:48
1019 NA Debt and Structured Products Daily Trading Report - CBBC Huatai Financial Holdings (Hong Kong) Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-06 16:48
1020 869 Announcements and Notices Inside Information,
Profit Warning
Profit Warning 0.24 PDF 2026-02-06 16:47
1021 1138 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 16:47
1022 7709 Announcements and Notices Matters relating to Collective Investment Schemes ANNOUNCEMENT - Increase in Initial Amount for Swap Acquisition 0.20 PDF 2026-02-06 16:47
1023 NA Debt and Structured Products Daily Trading Report - DW Huatai Financial Holdings (Hong Kong) Limited - Daily Trading Summary of Derivative Warrants 0.08 XLSX 2026-02-06 16:47
1024 25870
25872
25874
25876
25887
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Huatai Financial Holdings (Hong Kong) Limited 0.33 PDF 2026-02-06 16:46
1025 310 Announcements and Notices Change in Share Registrar/Transfer Agent CHANGE OF HONG KONG SHARE REGISTRAR AND TRANSFER OFFICE 0.07 PDF 2026-02-06 16:46
1026 76 Announcements and Notices Date of Board Meeting Date of Board Meeting Notice 0.14 PDF 2026-02-06 16:46
1027 3368 Announcements and Notices Change in a Director's or Supervisor's Biographical Details UPDATES ON DIRECTOR'S INFORMATION 0.07 PDF 2026-02-06 16:45
1028 25869 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Huatai Financial Holdings (Hong Kong) Limited 0.27 PDF 2026-02-06 16:45
1029 6866 Proxy Forms FORM OF PROXY FOR THE EXTRAORDINARY GENERAL MEETING TO BE HELD ON 4 MARCH 2026 0.32 PDF 2026-02-06 16:45
1030 58876
58880
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Huatai Financial Holdings (Hong Kong) Limited 0.28 PDF 2026-02-06 16:44
1031 25801
25865
25866
25867
25868
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by The Hongkong and Shanghai Banking Corporation Limited - 25801, 25865, 25866, 25867, 25868 0.13 PDF 2026-02-06 16:44
1032 25859
25862
25863
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Guotai Junan Securities (Hong Kong) Limited 0.94 PDF 2026-02-06 16:43
1033 8412 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 16:43
1034 58539
58541
58549
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Guotai Junan Securities (Hong Kong) Limited 0.47 PDF 2026-02-06 16:43
1035 1666 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.15 PDF 2026-02-06 16:42
1036 426 Announcements and Notices Date of Board Meeting NOTIFICATION OF BOARD MEETING 0.28 PDF 2026-02-06 16:42
1037 3813 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.08 PDF 2026-02-06 16:42
1038 6866 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF EXTRAORDINARY GENERAL MEETING 0.33 PDF 2026-02-06 16:42
1039 76 Announcements and Notices Other - Business Update Voluntary Announcement-Business Update 0.17 PDF 2026-02-06 16:42
1040 25854
25855
25856
25857
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Guotai Junan Securities (Hong Kong) Limited 0.95 PDF 2026-02-06 16:42
1041 1029 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-06 16:41
1042 1666 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities,
Change of Audit Committee Member,
Change of Remuneration Committee Member,
Re-election or Appointment of Director subject to Shareholders' Approval,
Results of EGM/SGM
POLL RESULTS OF EXTRAORDINARY GENERAL MEETING HELD ON FRIDAY, 6 FEBRUARY 2026;CHANGE OF DIRECTORS;AND CHANGE IN COMPOSITION OF BOARD COMMITTEES 0.29 PDF 2026-02-06 16:40
1043 123 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-06 16:40
1044 54974
55883
56350
56354
56362
58648
61066
61657
69007
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by CITIC Securities Brokerage (HK) Limited 0.04 PDF 2026-02-06 16:40
1045 53233
55088
56562
56598
57829
60991
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of European Style Cash Settled Category R Callable Bull/ Bear Contracts ("CBBCs") issued by Guotai Junan Securities (Hong Kong) Limited 0.04 PDF 2026-02-06 16:40
1046 2007 Next Day Disclosure Returns Others NEXT DAY DISCLOSURE RETURN 0.08 PDF 2026-02-06 16:40
1047 196 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.11 PDF 2026-02-06 16:39
1048 6866 Circulars Amendment of Constitutional Documents,
Other
(1) PROPOSED CHANGE OF COMPANY NAME AND BUSINESS SCOPE; (2) PROPOSED AMENDMENTS TO THE ARTICLES OF ASSOCIATION AND THE ADOPTION OF THE AMENDED AND RESTATED ARTICLES OF ASSOCIATION; AND (3) NOTICE OF EXTRAORDINARY GENERAL MEETING 0.39 PDF 2026-02-06 16:39
1049 2591 Announcements and Notices Change in Company Secretary CHANGE OF JOINT COMPANY SECRETARY AND WAIVER FROM STRICT COMPLIANCE WITH RULES 3.28 AND 8.17 OF THE LISTING RULES 0.08 PDF 2026-02-06 16:39
1050 56065
56663
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by Citigroup Global Markets Europe AG 0.04 PDF 2026-02-06 16:39
1051 701 Announcements and Notices Inside Information,
Profit Warning
Profit Alert - Reduction in Operating Loss 0.42 PDF 2026-02-06 16:38
1052 1416 Announcements and Notices Change in Company Secretary CHANGE OF COMPANY SECRETARY, AUTHORISED REPRESENTATIVE, PROCESS AGENT AND AUTHORISED REPRESENTATIVE FOR THE ACCEPTANCE OF SERVICE OF PROCESS AND NOTICES IN HONG KONG 0.22 PDF 2026-02-06 16:37
1053 1238 Announcements and Notices Other - Trading Update UNAUDITED OPERATING STATISTICS FOR JANUARY 2026 0.10 PDF 2026-02-06 16:36
1054 NA Debt and Structured Products Daily Trading Report - CBBC CITIC Securities Brokerage (HK) Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.02 XLSX 2026-02-06 16:36
1055 NA Debt and Structured Products Daily Trading Report - DW CITIC Securities Brokerage (HK) Limited - Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-06 16:35
1056 8140 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.05 PDF 2026-02-06 16:34
1057 1412 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.45 PDF 2026-02-06 16:34
1058 3369 Announcements and Notices Other - Litigation ANNOUNCEMENT ON LITIGATIONS - LATEST DEVELOPMENT 0.08 PDF 2026-02-06 16:34
1059 8176 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 16:33
1060 206 Announcements and Notices Inside Information,
Profit Warning
PROFIT WARNING - REDUCTION IN PROFIT 0.06 PDF 2026-02-06 16:33
1061 1884 Circulars Other NOTIFICATION LETTER AND REPLY FORM TO NON-REGISTERED HOLDERS - NOTICE OF PUBLICATION OF CORPORATE COMMUNICATIONS 0.91 PDF 2026-02-06 16:33
1062 1082 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.03 PDF 2026-02-06 16:33
1063 1546 Announcements and Notices Announcement by Offeree Company under the Takeovers Code APPOINTMENT OF JOINT INDEPENDENT FINANCIAL ADVISERS 0.07 PDF 2026-02-06 16:32
1064 1884 Announcements and Notices Notice of EGM/SGM NOTICE OF EXTRAORDINARY GENERAL MEETING 0.77 PDF 2026-02-06 16:32
1065 1884 Circulars Other NOTIFICATION LETTER AND REPLY FORM TO REGISTERED SHAREHOLDERS - NOTICE OF PUBLICATION OF CORPORATE COMMUNICATIONS 0.91 PDF 2026-02-06 16:32
1066 6990 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT CORE PRODUCT TROP2 ADC SACITUZUMAB TIRUMOTECAN (sac-TMT) APPROVED FOR MARKETING FOR FOURTH INDICATION BY THE NATIONAL MEDICAL PRODUCTS ADMINISTRATION IN 2L+ HR+/HER2- BC 0.46 PDF 2026-02-06 16:32
1067 3303 Documents on Display The report from Grant Thornton Hong Kong Limited on the unaudited pro forma financial information of the Group in respect of the Rights Issue 0.00 2026-02-06 16:31
1068 3303 Documents on Display RIGHTS ISSUE ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY SIX (6) EXISTING SHARES HELD ON THE RECORD DATE ON A NON-UNDERWRITTEN BASIS 0.00 2026-02-06 16:31
1069 25815
25817
25819
25821
25822
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by CITIC Securities Brokerage (HK) Limited 0.69 PDF 2026-02-06 16:31
1070 25823
25824
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by CITIC Securities Brokerage (HK) Limited 0.68 PDF 2026-02-06 16:31
1071 58477
58493
58497
58503
58507
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by CITIC Securities Brokerage (HK) Limited 0.65 PDF 2026-02-06 16:31
1072 58508
58510
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by CITIC Securities Brokerage (HK) Limited 0.64 PDF 2026-02-06 16:31
1073 58589
58593
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 58589, 58593 issued by BNP PARIBAS ISSUANCE B.V. 0.45 PDF 2026-02-06 16:31
1074 25847
25849
25851
25852
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25852, 25851, 25849, 25847 issued by BNP PARIBAS ISSUANCE B.V. 0.41 PDF 2026-02-06 16:31
1075 25842
25843
25845
25846
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25846, 25845, 25843, 25842 issued by BNP PARIBAS ISSUANCE B.V. 0.41 PDF 2026-02-06 16:31
1076 58595
58603
58604
58606
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 58595, 58603, 58604, 58606 issued by BNP PARIBAS ISSUANCE B.V. 0.45 PDF 2026-02-06 16:31
1077 58607
58613
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 58607, 58613 issued by BNP PARIBAS ISSUANCE B.V. 0.45 PDF 2026-02-06 16:31
1078 58513
58516
58522
58524
58530
58534
58537
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.32 PDF 2026-02-06 16:31
1079 25825
25826
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Morgan Stanley Asia Products Limited 0.26 PDF 2026-02-06 16:31
1080 3427 Announcements and Notices Matters relating to Collective Investment Schemes ANNOUNCEMENT AND NOTICE OF THE PROPOSED CESSATION OF TRADING, TERMINATION, VOLUNTARY DEAUTHORISATION, DELISTING AND NON-APPLICABILITY OF CERTAIN PROVISIONS OF THE CODE ON UNIT TRUSTS AND MUTUAL FUNDS 0.27 PDF 2026-02-06 16:31
1081 2357 Announcements and Notices Connected Transaction ACQUISITION OF EQUITY INTERESTS IN AVIC JIERUI 0.24 PDF 2026-02-06 16:31
1082 1428 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1083 1428 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-06 16:31
1084 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-06 16:31
1085 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-06 16:31
1086 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1087 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-06 16:31
1088 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-06 16:31
1089 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-06 16:31
1090 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.09 PDF 2026-02-06 16:31
1091 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-06 16:31
1092 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-06 16:31
1093 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1094 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1095 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1096 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1097 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1098 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1099 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-06 16:31
1100 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-06 16:31
1101 8271 Announcements and Notices Results of EGM/SGM POLL RESULTS OF THE SPECIAL GENERAL MEETING HELD ON 6 FEBRUARY 2026 0.30 PDF 2026-02-06 16:31
1102 9666 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-06 16:31
1103 6058 Announcements and Notices Loan Agreement with Specific Performance Covenant DISCLOSURE PURSUANT TO RULE 13.18 OF THE LISTING RULES 0.44 PDF 2026-02-06 16:31
1104 3081
9081
83081
Announcements and Notices Matters relating to Collective Investment Schemes Announcement 0.21 PDF 2026-02-06 16:31
1105 1884 Circulars Change in Auditors subject to Shareholders' Approval CHANGE OF AUDITOR AND NOTICE OF EXTRAORDINARY GENERAL MEETING 2.00 PDF 2026-02-06 16:31
1106 6118 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.19 PDF 2026-02-06 16:31
1107 2 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.18 PDF 2026-02-06 16:31
1108 2442 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.07 PDF 2026-02-06 16:31
1109 2293 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.43 PDF 2026-02-06 16:31
1110 1884 Proxy Forms FORM OF PROXY FOR THE EXTRAORDINARY GENERAL MEETING OF THE COMPANY TO BE HELD ON MONDAY, 23 FEBRUARY 2026 (OR ANY ADJOURNMENT THEREOF) 0.78 PDF 2026-02-06 16:31
1111 257 Announcements and Notices Issue of Debt Securities VOLUNTARY ANNOUNCEMENT IN RESPECT OF THE COMPLETION OF ISSUANCE OF THE 2026 MEDIUM-TERM NOTES (SERIES 1) AND THE UNDERWRITING AGREEMENT 0.08 PDF 2026-02-06 16:30
1112 295 Announcements and Notices Other - Business Update SUMMARY OF ELECTRICITY GENERATION VOLUME OF SOLAR POWER PLANTS IN JANUARY 2026 0.18 PDF 2026-02-06 16:30
1113 2076 Announcements and Notices Other - Miscellaneous VOLUNTARY ANNOUNCEMENT PURCHASE OF SHARES ON MARKET PURSUANT TO POST-IPO SHARE SCHEME 0.03 PDF 2026-02-06 16:30
1114 13 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING AND ANNOUNCEMENT OF 2025 FINAL RESULTS 0.04 PDF 2026-02-06 16:30
1115 55228
55458
56479
56483
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by Huatai Financial Holdings (Hong Kong) Limited 0.04 PDF 2026-02-06 16:27
1116 NA Debt and Structured Products Daily Trading Report - DW Korea Investment & Securities Asia Limited - Daily Trading Summary of Derivative Warrants 0.04 XLSX 2026-02-06 16:21
1117 2378 Announcements and Notices Overseas Regulatory Announcement - Other Transaction in own shares 0.28 PDF 2026-02-06 15:55
1118 8612 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 15:49
1119 3097 Trading Information of Exchange Traded Funds 3097 NEWS 0.01 XLSX 2026-02-06 15:07
1120 2824
3111
3189
3434
3483
3489
9434
9483
9489
9824
82824
83111
83189
83434
83483
83489
Listing Documents Authorised Collective Investment Scheme PROSPECTUS 3.00 PDF 2026-02-06 14:38
1121 3489
9489
83489
Listing Documents Authorised Collective Investment Scheme PRODUCT KEY FACTS 1.00 PDF 2026-02-06 14:35
1122 3483
9483
83483
Listing Documents Authorised Collective Investment Scheme PRODUCT KEY FACTS 1.00 PDF 2026-02-06 14:33
1123 2805
9805
82805
Trading Information of Exchange Traded Funds 2805 & 9805 & 82805 News 0.02 XLSX 2026-02-06 13:28
1124 53233
55088
56562
56598
57829
60991
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event and Early Expiry of European Style Cash Settled Category R Callable Bull/ Bear Contracts ("CBBCs") issued by Guotai Junan Securities (Hong Kong) Limited 0.28 PDF 2026-02-06 13:15
1125 55388
55404
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55404,55388 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 PDF 2026-02-06 13:12
1126 55058
55060
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55058, 55060 issued by BNP PARIBAS ISSUANCE B.V. 0.04 PDF 2026-02-06 12:59
1127 55233
55246
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-06 12:58
1128 591 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 12:50
1129 54696
57312
57313
57339
57343
57349
57367
57377
57383
57396
57399
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry issued by UBS AG 0.02 PDF 2026-02-06 12:48
1130 54156
56366
57401
57408
57468
57470
57472
57486
58416
59542
61328
61797
62082
62231
69165
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry issued by UBS AG 0.02 PDF 2026-02-06 12:48
1131 55684
55702
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-06 12:48
1132 3476 Trading Information of Exchange Traded Funds HANG SENG JPMORGAN US EQUITY PREMIUM INCOME ACTIVE ETF<03476> INFORMATION 0.00 XLSX 2026-02-06 12:46
1133 54957
54985
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by CITIC Securities Brokerage (HK) Limited 0.04 PDF 2026-02-06 12:43
1134 56265
56286
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by Citigroup Global Markets Europe AG 0.04 PDF 2026-02-06 12:42
1135 53292
56898
56900
56909
56975
56989
57110
57152
57164
57174
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.03 PDF 2026-02-06 12:40
1136 55059
55164
55241
57234
61428
69262
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.02 PDF 2026-02-06 12:40
1137 57191
57255
58262
60055
60058
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.03 PDF 2026-02-06 12:40
1138 8529 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 12:39
1139 56065
56663
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56065, 56663 issued by Citigroup Global Markets Europe AG / Notice of Valuation of Mandatory Call Payoff in relation to stock code 56065, 56663 issued by Citigroup Global Markets Europe AG 0.12 PDF 2026-02-06 12:39
1140 54695
56530
56674
56771
56773
56780
56781
60199
64896
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56674, 56773, 56771, 56780, 56781, 60199, 64896, 54695, 56530 issued by BNP PARIBAS ISSUANCE B.V. 0.21 PDF 2026-02-06 12:27
1141 53764
56882
56894
56896
57021
57954
59740
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.19 PDF 2026-02-06 12:27
1142 55127
55173
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Morgan Stanley Asia Products Limited - Notice of Valuation of Residual Value of Callable Bull/Bear Contracts 0.04 PDF 2026-02-06 12:26
1143 55409
55976
56786
56789
56790
56791
56801
56802
57294
57767
57772
57774
59928
60830
66524
69451
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 69451,57294,55976,66524,56789,57767,57772,57774,55409,59928,60830,56801,56802,56786,56790,56791 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 DOCX 2026-02-06 12:25
1144 1922 Announcements and Notices Inside Information INSIDE INFORMATION; AND CONTINUED SUSPENSION OF TRADING 0.07 PDF 2026-02-06 12:19
1145 55014
56490
56511
56550
57886
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 55014, 56550, 56490, 56511, 57886 issued by BOCI Asia Limited 0.28 PDF 2026-02-06 12:19
1146 55385 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 55385 issued by BOCI Asia Limited 0.28 PDF 2026-02-06 12:19
1147 55020 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55020 issued by BOCI Asia Limited 0.04 PDF 2026-02-06 12:19
1148 54250
54800
55794
57630
57642
57657
57661
57662
57663
57677
57686
57687
57722
59164
59376
61824
62023
65144
69063
Debt and Structured Products Expiry Announcement - CBBC Announcement on Mandatory Call Event and Early Termination of CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.17 PDF 2026-02-06 12:18
1149 55906
55927
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Announcement on Valuation of Residual Value in relation to CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.04 PDF 2026-02-06 12:18
1150 56209
56211
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 56209, 56211 issued by DBS BANK LTD. 0.04 PDF 2026-02-06 12:16
1151 3303 Circulars Other Notification Letter and Request Form to Non-Registered Shareholders 0.41 PDF 2026-02-06 12:16
1152 1373 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-06 12:15
1153 3303 Circulars Other Notification Letter and Reply Form to Registered Shareholders 0.40 PDF 2026-02-06 12:14
1154 3135 Trading Information of Exchange Traded Funds 3135 NEWS 0.01 XLSX 2026-02-06 12:14
1155 8148 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-06 12:14
1156 54974
55883
56350
56354
56362
58648
61066
61657
69007
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiry of Callable Bull/Bear Contracts issued by CITIC Securities Brokerage (HK) Limited 0.79 PDF 2026-02-06 12:13
1157 3175 Trading Information of Exchange Traded Funds 3175 NEWS 0.01 XLSX 2026-02-06 12:12
1158 3413 Trading Information of Exchange Traded Funds 3413 news 0.01 XLSX 2026-02-06 12:12
1159 3303 Listing Documents Rights Issue PROVISIONAL ALLOTMENT LETTER 0.74 PDF 2026-02-06 12:12
1160 3426 Trading Information of Exchange Traded Funds 3426 news 0.01 XLSX 2026-02-06 12:11
1161 6288 Announcements and Notices Dividend or Distribution (Announcement Form) PROPOSED RECORD DATE IN CONNECTION WITH THE PAYMENT OF INTERIM DIVIDEND FOR THE SIX MONTHS ENDING FEBRUARY 28, 2026 0.04 PDF 2026-02-06 12:10
1162 3412 Trading Information of Exchange Traded Funds 3412 news 0.01 XLSX 2026-02-06 12:10
1163 3303 Listing Documents Rights Issue RIGHTS ISSUE ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY SIX (6) EXISTING SHARES HELD ON THE RECORD DATE ON A NON-UNDERWRITTEN BASIS 0.40 PDF 2026-02-06 12:09
1164 55442 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by Huatai Financial Holdings (Hong Kong) Limited 0.04 PDF 2026-02-06 12:08
1165 55228
55458
56479
56483
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event and Early Expiry of Callable Bull/Bear Contracts issued by Huatai Financial Holdings (Hong Kong) Limited 0.12 PDF 2026-02-06 12:06
1166 9896 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-06 12:05
1167 6288 Announcements and Notices Dividend or Distribution,
Other - Miscellaneous
PROPOSED RECORD DATE IN CONNECTION WITH THE PAYMENT OF INTERIM DIVIDEND FOR THE SIX MONTHS ENDING FEBRUARY 28, 2026 0.18 PDF 2026-02-06 12:05
1168 8606 Announcements and Notices Discloseable Transaction SUPPLEMETAL ANNOUNCEMENT OF DISCLOSEABLE TRANSACTION IN RESPECT OF THE TENANCY AGREEMENT 0.19 PDF 2026-02-06 12:01
1169 314 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return - share buybacks 0.09 PDF 2026-02-06 12:01
1170 1157
40078
Debt and Structured Products Offering Circular and Pricing Supplement - Debt Securities PUBLICATION OF THE OFFERING CIRCULAR - ZOOMLION HEAVY INDUSTRY SCIENCE AND TECHNOLOGY CO., LTD. - RMB6,000,000,000 0.70% U.S. DOLLAR SETTLED CONVERTIBLE BONDS DUE 2031 0.68 PDF 2026-02-06 12:00
1171 1952 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT BUSINESS UPDATE ON THE APPROVAL OF NEW DRUG APPLICATION IN CHINA FOR VELSIPITY FOR THE TREATMENT OF MODERATELY-TO-SEVERELY ACTIVE ULCERATIVE COLITIS IN ADULTS AND OTHER BUSINESS UPDATE 0.07 PDF 2026-02-06 12:00
1172 1519
40077
Debt and Structured Products Offering Circular and Pricing Supplement - Debt Securities Publication of Offering Circular - Bolt Innovation Limited's HK$4,650,000,000 Zero Coupon Guaranteed Convertible Bonds due 2033 1.00 PDF 2026-02-06 12:00
1173 56411
56412
56417
56418
57101
59271
68775
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56417, 56411, 56412, 56418, 59271, 57101, 68775 issued by DBS BANK LTD. 0.11 PDF 2026-02-06 11:57
1174 3171 Trading Information of Exchange Traded Funds 3171 NEWS 0.01 XLSX 2026-02-06 11:42
1175 3132 Trading Information of Exchange Traded Funds 3132 NEWS 0.01 XLSX 2026-02-06 11:39
1176 8427 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-06 11:38
1177 2814
9814
Trading Information of Exchange Traded Funds 2814, 9814 NEWS 0.01 XLSX 2026-02-06 11:38
1178 3059
83059
Trading Information of Exchange Traded Funds 3059, 83059 NEWS 0.01 XLSX 2026-02-06 11:35
1179 3041 Trading Information of Exchange Traded Funds 3041 NEWS 0.01 XLSX 2026-02-06 11:33
1180 3478
9478
Trading Information of Exchange Traded Funds 9478 , 3478 NEWS 0.01 XLSX 2026-02-06 11:18
1181 2815
2841
3064
3075
3084
3104
3150
3158
3184
3401
3402
3416
3417
3419
3422
3440
3448
3450
3470
9064
9075
9084
9104
9440
9450
Trading Information of Exchange Traded Funds Summary Information 0.03 XLSX 2026-02-06 11:17
1182 2806
2807
2809
2820
2826
2837
2845
3006
3029
3040
3050
3110
3119
3137
3139
3185
3191
9040
9191
9806
9807
9809
9820
9826
9845
Trading Information of Exchange Traded Funds Summary Information 0.03 XLSX 2026-02-06 11:17
1183 2817
3001
3411
9001
9177
9411
9817
82817
83001
Trading Information of Exchange Traded Funds 2817, 9817, 82817, 9177, 3001, 9001, 83001, 3411, 9411 NEWS 0.01 XLSX 2026-02-06 11:16
1184 3415
3451
9415
9451
Trading Information of Exchange Traded Funds Summary Information 0.02 XLSX 2026-02-06 11:16
1185 2804
2810
3077
3181
9077
9078
9181
9804
9810
Trading Information of Exchange Traded Funds 9810, 2810, 9181, 3181, 9804, 2804, 9077, 3077,9078 NEWS 0.01 XLSX 2026-02-06 11:12
1186 8295 Monthly Returns Monthly Return for the month ended 31 January 2026 0.07 PDF 2026-02-06 11:08
1187 3187
9187
Trading Information of Exchange Traded Funds 3187 Information 0.01 XLSX 2026-02-06 10:27
1188 2812
9812
Trading Information of Exchange Traded Funds 2812 Information 0.01 XLSX 2026-02-06 10:23
1189 1813
40117
40465
40683
Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 10:20
1190 2835 Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-06 10:17
1191 3116 Trading Information of Exchange Traded Funds 3116 NEWS 0.01 XLSX 2026-02-06 10:16
1192 730 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-06 10:15
1193 2848
3007
3015
3020
3036
3087
Trading Information of Exchange Traded Funds 03020, 03036, 03015, 02848, 03007 & 03087 Summary Information, 04/02/2026 0.02 XLSX 2026-02-06 10:04
1194 3404
9404
83404
Trading Information of Exchange Traded Funds Summary Information (3404,9404,83404) 0.01 XLSX 2026-02-06 10:01
1195 3146
9146
9446
83146
Trading Information of Exchange Traded Funds Summary Information (9146,3146,83146,9446) 0.01 XLSX 2026-02-06 09:59
1196 7261
7522
Trading Information of Leveraged and Inverse Products Summary Information (7261,7522) 0.01 XLSX 2026-02-06 09:58
1197 49963 Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.19 PDF 2026-02-06 09:55
1198 49938 Debt and Structured Products Expiry Announcement - CBBC Announcement on Mandatory Call Event and Early Termination of CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.16 PDF 2026-02-06 09:47
1199 3427 Trading Information of Exchange Traded Funds Summary Information (3427) 0.01 XLSX 2026-02-06 09:41
1200 7266 Trading Information of Leveraged and Inverse Products 7266 NEWS 0.01 XLSX 2026-02-06 09:35
1201 3034 Trading Information of Exchange Traded Funds 3034 NEWS 0.01 XLSX 2026-02-06 09:34
1202 7299 Trading Information of Leveraged and Inverse Products 7299 NEWS 0.01 XLSX 2026-02-06 09:34
1203 2824
9824
82824
Trading Information of Exchange Traded Funds 2824 9824 82824 Information 0.01 XLSX 2026-02-06 09:28
1204 3483
3489
9483
9489
83483
83489
Trading Information of Exchange Traded Funds 3483 9483 83483 3489 9489 83489 Information 0.01 XLSX 2026-02-06 09:26
1205 3436 Trading Information of Exchange Traded Funds Hang Seng CMS Bloomberg US Treasury 1-3 Year Index ETF< 03436> INFORMATION 0.00 XLSX 2026-02-06 09:16
1206 3406
3477
9406
9477
Trading Information of Exchange Traded Funds 3477, 9477, 3406, 9406 NEWS 0.01 XLSX 2026-02-06 09:16
1207 3435 Trading Information of Exchange Traded Funds Hang Seng CMS Bloomberg US Treasury 7-10 Year Index ETF<03435> INFORMATION 0.00 XLSX 2026-02-06 09:15
1208 3195
9195
Trading Information of Exchange Traded Funds HANG SENG S&P 500 INDEX ETF<09195> INFORMATION 0.01 XLSX 2026-02-06 09:14
1209 3086
3141
3145
3160
3165
9086
9141
Trading Information of Exchange Traded Funds Summary Information (3086,3141,3145,3160,3165,9086,9141) 0.02 XLSX 2026-02-06 09:07
1210 3188
9188
83188
Trading Information of Exchange Traded Funds Summary Information (3188, 83188, 9188) 0.01 XLSX 2026-02-06 09:04
1211 3433 Trading Information of Exchange Traded Funds 3433 NEWS 0.01 XLSX 2026-02-06 08:51
1212 2830
3066
3068
3167
3441
3442
3454
Trading Information of Exchange Traded Funds 3167, 3066, 3068, 3454,2830, 3442, 3441 NEWS 0.02 XLSX 2026-02-06 08:47
1213 7311
7399
7711
7777
7799
Trading Information of Leveraged and Inverse Products 7777, 7799, 7399, 7711, 7311 NEWS 0.01 XLSX 2026-02-06 08:46
1214 7366
7376
7388
7568
7766
7788
Trading Information of Leveraged and Inverse Products 7568, 7376, 7788, 7388, 7766, 7366 NEWS 0.01 XLSX 2026-02-06 08:45
1215 2819 Trading Information of Exchange Traded Funds ABF HONG KONG BOND INDEX FUND (STOCK CODE : 2819) INFORMATION 0.05 XLSX 2026-02-06 08:23
1216 2829
9829
82829
Trading Information of Exchange Traded Funds 82829, 9829, 2829 NEWS 0.01 XLSX 2026-02-06 08:19
1217 2801
3067
9067
9801
Trading Information of Exchange Traded Funds 3067, 9067, 2801, 9801 NEWS 0.01 XLSX 2026-02-06 08:17
1218 2834
2836
3074
9074
9834
9836
Trading Information of Exchange Traded Funds 9074, 3074, 9834, 2834, 2836, 9836 NEWS 0.01 XLSX 2026-02-06 08:12
1219 3010
9010
83010
Trading Information of Exchange Traded Funds 3010, 9010, 83010 NEWS 0.01 XLSX 2026-02-06 08:06
1220 2142 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 08:00
1221 2823
82823
Trading Information of Exchange Traded Funds 2823, 82823 NEWS 0.01 XLSX 2026-02-06 07:57
1222 2846
3115
9115
9846
82846
83115
Trading Information of Exchange Traded Funds 2846, 9846, 82846, 3115, 9115, 83115 NEWS 0.01 XLSX 2026-02-06 07:55
1223 2821 Trading Information of Exchange Traded Funds ABF PAN ASIA BOND INDEX FUND (STOCK CODE : 2821) INFORMATION 0.01 XLSX 2026-02-06 07:51
1224 405 Announcements and Notices Issue of Debt Securities,
Matters relating to Collective Investment Schemes
PROPOSED ISSUE OF US$300,000,000 6.50% GUARANTEED GREEN NOTES DUE 2029 AND CNY690,000,000 3.50% GUARANTEED GREEN NOTES DUE 2029 UNDER THE US$1,500,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME 0.16 PDF 2026-02-06 07:38
1225 3072
9072
Trading Information of Exchange Traded Funds ETF_HKEX_Price_05022026_EN 0.01 XLSX 2026-02-06 07:38
1226 1910 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities Change in Senior Management 0.41 PDF 2026-02-06 07:32
1227 9996 Announcements and Notices Other - Trading Update VOLUNTARY ANNOUNCEMENT - UNAUDITED OPERATING STATISTICS FOR THE YEAR ENDED DECEMBER 31, 2025 0.42 PDF 2026-02-06 07:12
1228 3102
9102
83102
Trading Information of Exchange Traded Funds Stock Code : 9102, 3102, 83102 Information 0.02 XLSX 2026-02-06 06:50
1229 8305 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 06:43
1230 3908 Announcements and Notices Issue of Debt Securities Voluntary Announcement - Issue of U.S.$550,000,000 Floating Rate Notes due 2028 and U.S.$850,000,000 Floating Rate Notes due 2029 under CICC Hong Kong Finance 2016 MTN Limited's U.S.$10,000,000,000 Guaranteed Medium Term Note Programme 0.09 PDF 2026-02-06 06:34
1231 6809 Announcements and Notices List of Directors and their Role and Function List of Directors and Their Roles and Functions 0.07 PDF 2026-02-06 06:26
1232 9626 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 06:24
1233 6809 Announcements and Notices Terms of Reference of the Nomination Committee Rules of Procedures for the Nomination Committee of the Board of Directors 0.04 PDF 2026-02-06 06:21
1234 6681 Announcements and Notices Other - Miscellaneous VOLUNTARY ANNOUNCEMENT - ADDITIONAL LOCK-UP UNDERTAKING BY CERTAIN CONTROLLING SHAREHOLDER 0.11 PDF 2026-02-06 06:17
1235 6809 Announcements and Notices Terms of Reference of the Remuneration Committee Rules of Procedures for the Remuneration and Appraisal Committee of the Board of Directors 0.04 PDF 2026-02-06 06:16
1236 6809 Announcements and Notices Terms of Reference of the Audit Committee Rules of Procedures for the Audit Committee of the Board of Directors 0.05 PDF 2026-02-06 06:11
1237 2282
5036
6028
40634
Announcements and Notices Inside Information,
Overseas Regulatory Announcement - Trading Update
INSIDE INFORMATION UNAUDITED RESULTS FOR THE FOURTH QUARTER AND YEAR ENDED DECEMBER 31, 2025 OF MGM RESORTS INTERNATIONAL, OUR CONTROLLING SHAREHOLDER 0.36 PDF 2026-02-06 06:10
1238 9956 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Announcement by Offeror Company under the Takeovers Code,
Group Restructuring or Scheme of Arrangement,
Privatisation/Withdrawal or Cancellation of Listing of Securities
JOINT ANNOUNCEMENT PROPOSAL FOR THE DELISTING OF ANE (CAYMAN) INC. BY CELESTIA BIDCO LIMITED BY WAY OF A SCHEME OF ARRANGEMENT UNDER SECTION 86 OF THE COMPANIES ACT (1) EFFECTIVE DATE OF THE SCHEME (2) THE OPTION OFFER AND THE RSU OFFER BECOMING UNCONDITIONAL (3) RESULTS OF THE OPTION OFFER AND THE RSU OFFER (4) WITHDRAWAL OF LISTING AND (5) DELIVERY OF CHEQUES AND SHARE CERTIFICATES UNDER THE SCHEME AND PAYMENTS UNDER THE OPTION OFFER AND THE RSU OFFER 0.16 PDF 2026-02-06 06:10
1239 2533 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month ended January 31, 2026 0.07 PDF 2026-02-06 06:07
1240 6809 Constitutional Documents Articles of Association 0.21 PDF 2026-02-06 06:06
1241 1980 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 06:05
1242 1947 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-06 06:03
1243 576 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January, 2026 0.07 PDF 2026-02-05 22:59
1244 1333 Constitutional Documents ARTICLES OF ASSOCIATION 0.24 PDF 2026-02-05 22:57
1245 1333 Announcements and Notices Terms of Reference of the Remuneration Committee TERMS OF REFERENCE OF THE REMUNERATION AND APPRAISAL COMMITTEE OF THE BOARD OF DIRECTORS 0.03 PDF 2026-02-05 22:56
1246 1262 Announcements and Notices Discloseable Transaction,
Issue of Convertible Securities,
Issue of Shares under a General Mandate
DISCLOSEABLE TRANSACTION ACQUISITION OF THE TARGET COMPANY INVOLVING ISSUE OF CONSIDERATION SHARES AND CONVERTIBLE BOND UNDER GENERAL MANDATE 0.24 PDF 2026-02-05 22:56
1247 2222 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.06 PDF 2026-02-05 22:56
1248 2520 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 22:55
1249 1333 Announcements and Notices Terms of Reference of the Audit Committee TERMS OF REFERENCE OF THE AUDIT COMMITTEE OF THE BOARD OF DIRECTORS 0.04 PDF 2026-02-05 22:55
1250 1333 Announcements and Notices Terms of Reference of the Nomination Committee TERMS OF REFERENCE OF THE NOMINATION COMMITTEE UNDER THE BOARD OF DIRECTORS 0.03 PDF 2026-02-05 22:54
1251 1328 Announcements and Notices Terms of Reference of the Nomination Committee TERMS OF REFERENCE OF THE NOMINATION COMMITTEE 0.03 PDF 2026-02-05 22:54
1252 1333 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.07 PDF 2026-02-05 22:53
1253 6886 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 22:53
1254 1333 Announcements and Notices Amendment of Constitutional Documents,
Change in Directors or of Important Executive Functions or Responsibilities,
Change in Supervisors,
Other - Corporate Governance Related Matters,
Re-election or Appointment of Director subject to Shareholders' Approval,
Results of EGM/SGM
POLL RESULTS OF THE 2026 FIRST EXTRAORDINARY GENERAL MEETING HELD ON FEBRUARY 5, 2026; CHANGE OF INDEPENDENT NON-EXECUTIVE DIRECTOR; AMENDMENTS TO THE ARTICLES OF ASSOCIATION, THE RULES OF PROCEDURE FOR GENERAL MEETINGS AND THE RULES OF PROCEDURE FOR MEETINGS OF THE BOARD OF DIRECTORS; AND ABOLISHMENT OF THE BOARD OF SUPERVISORS 0.07 PDF 2026-02-05 22:52
1255 8050 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities For the month ended 31/1/2026 0.06 PDF 2026-02-05 22:52
1256 2520 Announcements and Notices Inside Information,
Issue of Debt Securities
PUBLIC OFFERING OF CORPORATE BONDS AND UNAUDITED FINANCIAL INFORMATION OF THE COMPANY FOR THE NINE MONTHS ENDED 30 SEPTEMBER 2025 0.44 PDF 2026-02-05 22:52
1257 1675 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLES AND FUNCTIONS 0.09 PDF 2026-02-05 22:47
1258 1675 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities,
Change of Audit Committee Member
CHANGE OF DIRECTORS AND COMPOSITION OF BOARD COMMITTEES 0.11 PDF 2026-02-05 22:45
1259 6998 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 22:44
1260 33 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 22:38
1261 6855 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 22:35
1262 6938 Announcements and Notices Other - Miscellaneous FULL EXERCISE OF THE OVER-ALLOTMENT OPTION, STABILIZING ACTIONS AND END OF STABILIZATION PERIOD 0.05 PDF 2026-02-05 22:34
1263 1022 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 22:34
1264 9688 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANAURY 2026 0.07 PDF 2026-02-05 22:34
1265 3111
3189
83111
83189
Trading Information of Exchange Traded Funds 83111, 3111, 83189, 3189 Information 0.01 XLSX 2026-02-05 22:26
1266 8606 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 22:22
1267 1471 Announcements and Notices Other - Business Update BUSINESS UPDATE - STRATEGIC COOPERATION WITH ITC GROUP 0.41 PDF 2026-02-05 22:21
1268 3170 Trading Information of Exchange Traded Funds HANG SENG GOLD ETF < 03170> INFORMATION 0.01 XLSX 2026-02-05 22:20
1269 2714 Announcements and Notices Allotment Results ANNOUNCEMENT OF ALLOTMENT RESULTS 1.00 PDF 2026-02-05 22:18
1270 1773 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 22:18
1271 3466 Trading Information of Exchange Traded Funds HANG SENG HIGH DIVIDEND 30 INDEX ETF <03466> INFORMATION 0.00 XLSX 2026-02-05 22:17
1272 8031 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Inside Information,
Profit Warning
PROFIT WARNING 0.43 PDF 2026-02-05 22:16
1273 3410 Trading Information of Exchange Traded Funds HANG SENG JAPAN TOPIX 100 INDEX ETF < 03410> INFORMATION 0.01 XLSX 2026-02-05 22:15
1274 3038
83038
Trading Information of Exchange Traded Funds HANG SENG STOCK CONNECT CHINA A LOW CARBON INDEX ETF<83038> INFORMATION 0.01 XLSX 2026-02-05 22:11
1275 8069 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 22:11
1276 3738 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED JANUARY 31, 2026 0.07 PDF 2026-02-05 22:10
1277 3928 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 22:10
1278 2803
3151
3173
3453
9151
9159
9173
9803
83151
Trading Information of Exchange Traded Funds 2803, 9803, 3173, 9173, 3453, 9159, 3151, 9151, 83151 NEWS 0.01 XLSX 2026-02-05 22:09
1279 1773 Announcements and Notices Other - Miscellaneous VOLUNTARY ANNOUNCEMENT (1) INCREASE IN SHAREHOLDING IN THE COMPANY BY A DIRECTOR; AND (2) ON-MARKET SHARE REPURCHASE 0.04 PDF 2026-02-05 22:09
1280 1481 Announcements and Notices Concentration of Shareholdings HIGH CONCENTRATION OF SHAREHOLDING 0.13 PDF 2026-02-05 22:09
1281 3136 Trading Information of Exchange Traded Funds HSI ESG ENHANCED SELECT INDEX ETF<03136> INFORMATION 0.01 XLSX 2026-02-05 22:09
1282 3032 Trading Information of Exchange Traded Funds HANG SENG TECH INDEX ETF < 03032> INFORMATION 0.01 XLSX 2026-02-05 22:07
1283 83168 Trading Information of Exchange Traded Funds HANG SENG RMB GOLD ETF <83168> INFORMATION 0.01 XLSX 2026-02-05 22:05
1284 3877 Announcements and Notices Dividend or Distribution (Announcement Form) Declaration of Special Dividend (Updated) 0.04 PDF 2026-02-05 22:04
1285 3128
83128
Trading Information of Exchange Traded Funds HANG SENG CHINA A INDUSTRY TOP INDEX ETF <83128> INFORMATION 0.01 XLSX 2026-02-05 22:03
1286 2838 Trading Information of Exchange Traded Funds HS FCI50 ETF <02838> INFORMATION 0.01 XLSX 2026-02-05 22:01
1287 1368 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters OVERSEAS REGULATORY ANNOUNCEMENT 0.15 PDF 2026-02-05 22:01
1288 2828
82828
Trading Information of Exchange Traded Funds HANG SENG CHINA ENTERPRISES INDEX ETF <02828> INFORMATION 0.01 XLSX 2026-02-05 21:59
1289 2800
82800
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-05 21:55
1290 2051 Announcements and Notices Connected Transaction,
Discloseable Transaction
DISCLOSEABLE AND CONNECTED TRANSACTIONS IN RELATION TO THE SETTLEMENT AGREEMENT REGARDING SHOUHUI KAIZHUO 0.19 PDF 2026-02-05 21:55
1291 7347
7709
7747
Trading Information of Leveraged and Inverse Products 7747, 7347,7709 NEWS 0.01 XLSX 2026-02-05 21:51
1292 6919 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 21:50
1293 3431
3443
3447
3469
Trading Information of Exchange Traded Funds 3443, 3447,3431,3469 NEWS 0.01 XLSX 2026-02-05 21:49
1294 1611 Announcements and Notices Closure of Books or Change of Book Closure Period BOOK CLOSURE PERIOD FOR EXTRAORDINARY GENERAL MEETING 0.07 PDF 2026-02-05 21:47
1295 2822
3005
3033
3147
3153
3193
3432
Trading Information of Exchange Traded Funds 2822, 3147, 3005, 3033, 3193, 3153, 3432 NEWS 0.01 XLSX 2026-02-05 21:46
1296 3011
9011
Trading Information of Exchange Traded Funds Stock Code : 9011, 3011 Information 0.02 XLSX 2026-02-05 21:44
1297 2802
3101
3133
Trading Information of Exchange Traded Funds 3133, 2802, 3101 NEWS 0.01 XLSX 2026-02-05 21:43
1298 3071 Trading Information of Exchange Traded Funds Stock Code : 3071 Information 0.02 XLSX 2026-02-05 21:43
1299 3931 Announcements and Notices Inside Information INSIDE INFORMATION PROPOSED IMPLEMENTATION OF H SHARE FULL CIRCULATION BY THE COMPANY 0.07 PDF 2026-02-05 21:41
1300 1969 Announcements and Notices Results of AGM POLL RESULTS OF ANNUAL GENERAL MEETING HELD ON THURSDAY, 5 FEBRUARY 2026 0.07 PDF 2026-02-05 21:34
1301 7200
7226
7262
7288
7300
7500
7515
7552
7588
Trading Information of Leveraged and Inverse Products 7200, 7300, 7288, 7588, 7500, 7226, 7552, 7262, 7515 NEWS 0.01 XLSX 2026-02-05 21:29
1302 2590 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 21:28
1303 3199 Trading Information of Exchange Traded Funds 3199 NEWS 0.01 XLSX 2026-02-05 21:23
1304 1575 Announcements and Notices Issue of Shares under a General Mandate,
Placing
PLACING OF NEW SHARES UNDER GENERAL MANDATE 0.55 PDF 2026-02-05 21:22
1305 3122 Trading Information of Exchange Traded Funds 3122 NEWS 0.01 XLSX 2026-02-05 21:21
1306 902 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters OVERSEAS REGULATORY ANNOUNCEMENT - ISSUE OF MID-TERM NOTES 0.12 PDF 2026-02-05 21:20
1307 1765 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 21:20
1308 3004 Trading Information of Exchange Traded Funds 3004 NEWS 0.01 XLSX 2026-02-05 21:18
1309 3003 Trading Information of Exchange Traded Funds 3003 NEWS 0.01 XLSX 2026-02-05 21:17
1310 3174 Trading Information of Exchange Traded Funds 3174 NEWS 0.01 XLSX 2026-02-05 21:16
1311 3109 Trading Information of Exchange Traded Funds 3109 NEWS 0.01 XLSX 2026-02-05 21:14
1312 3134 Trading Information of Exchange Traded Funds 3134 NEWS 0.01 XLSX 2026-02-05 21:12
1313 9611 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 21:11
1314 7233 Trading Information of Leveraged and Inverse Products 7233 NEWS 0.01 XLSX 2026-02-05 21:11
1315 6998 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 21:08
1316 1587 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 21:07
1317 1393 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 21:05
1318 3096
9096
Trading Information of Exchange Traded Funds 3096 NEWS 0.01 XLSX 2026-02-05 21:05
1319 3900 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 21:04
1320 3053 Trading Information of Exchange Traded Funds 3053 NEWS 0.01 XLSX 2026-02-05 21:03
1321 1029 Announcements and Notices Allotment Results,
Placing,
Rights Issue
RESULTS OF THE RIGHTS ISSUE ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY TWO (2) EXISTING SHARES HELD ON THE RECORD DATE 0.11 PDF 2026-02-05 21:00
1322 2487 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 21:00
1323 2508 Announcements and Notices Results of EGM/SGM POLL RESULTS OF EXTRAORDINARY GENERAL MEETING 0.45 PDF 2026-02-05 21:00
1324 1401 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.45 PDF 2026-02-05 20:58
1325 2208 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 20:55
1326 3200 Announcements and Notices Allotment Results ANNOUNCEMENT OF FINAL OFFER PRICE AND ALLOTMENT RESULTS 0.82 PDF 2026-02-05 20:55
1327 8516 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 20:52
1328 NA Debt and Structured Products Daily Trading Report - DW HK and Shanghai Bank-Daily Trading Summary of Derivative Warrants 05/Feb/26 0.05 XLSX 2026-02-05 20:52
1329 2621 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-05 20:50
1330 NA Debt and Structured Products Daily Trading Report - CBBC HK and Shanghai Bank-Daily Trading Summary of Callable Bull/Bear Contracts 05/Feb/26 0.06 XLSX 2026-02-05 20:49
1331 1876 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 20:49
1332 1776 Announcements and Notices Overseas Regulatory Announcement - Business Update An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 20:48
1333 1382 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 20:46
1334 2598 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 20:42
1335 1776 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 20:41
1336 1055 Proxy Forms FORM OF PROXY FOR EXTRAORDINARY GENERAL MEETING 0.09 PDF 2026-02-05 20:40
1337 8601 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 20:36
1338 1776 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 20:36
1339 1055 Announcements and Notices Notice of EGM/SGM NOTICE OF EGM 0.08 PDF 2026-02-05 20:35
1340 361 Announcements and Notices Change in Company Website,
Change of Company Name,
Other - Miscellaneous
CHANGE OF COMPANY NAME, STOCK SHORT NAME AND COMPANY WEBSITE 0.05 PDF 2026-02-05 20:32
1341 6831 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 20:31
1342 3900 Announcements and Notices Other - Business Update UNAUDITED OPERATING DATA FOR THE ONE MONTH ENDED 31 JANUARY 2026 0.08 PDF 2026-02-05 20:31
1343 1055 Circulars Change in Auditors subject to Shareholders' Approval,
Re-election or Appointment of Director subject to Shareholders' Approval
(1) PROPOSED CHANGE OF AUDITORS (2) PROPOSED APPOINTMENT OF DIRECTOR AND (3) NOTICE OF EGM 0.20 PDF 2026-02-05 20:31
1344 1776 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 20:30
1345 2509 Announcements and Notices Other - Trading Update VOLUNTARY ANNOUNCEMENT ON-MARKET SHARE REPURCHASE UNDER THE REPURCHASE MANDATE 0.05 PDF 2026-02-05 20:30
1346 1104
2478
Announcements and Notices Amendment of Constitutional Documents,
Capital Reorganisation,
Change of Company Name,
Other - Miscellaneous
REVISED TIMETABLE IN RELATION TO (1) PROPOSED CHANGE OF DOMICILE; (2) PROPOSED ADOPTION OF THE NEW ARTICLES OF ASSOCIATION; (3) PROPOSED ADOPTION OF CHINESE NAME; AND (4) PROPOSED ELIMINATION AND APPLICATION OF CONTRIBUTED SURPLUS 0.10 PDF 2026-02-05 20:29
1347 1680 Announcements and Notices Other - Miscellaneous ANNOUNCEMENT - UPDATES ON DISCLAIMER OF OPINION 0.09 PDF 2026-02-05 20:27
1348 1776 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 20:25
1349 1318 Announcements and Notices Inside Information INSIDE INFORMATION ANNOUNCEMENT LISTING APPROVAL GRANTED BY THE STOCK EXCHANGE FOR THE COMPANY'S H SHARE FULL CIRCULATION 0.42 PDF 2026-02-05 20:23
1350 1773 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 20:19
1351 8385 Announcements and Notices List of Directors and their Role and Function List of Directors and Their Role and Function 0.43 PDF 2026-02-05 20:12
1352 NA Debt and Structured Products Daily Trading Report - DW Societe Generale Daily Trading Summary of Derivative Warrants 0.04 XLSX 2026-02-05 20:11
1353 NA Debt and Structured Products Daily Trading Report - CBBC Societe Generale Daily Trading Summary of Callable Bull/Bear Contract 0.07 XLSX 2026-02-05 20:11
1354 120 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31/01/2026 0.07 PDF 2026-02-05 20:11
1355 1571 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 20:08
1356 3024 Trading Information of Exchange Traded Funds WISE SSE50 ETF <03024> INFORMATION 0.02 XLSX 2026-02-05 20:07
1357 8385 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities Appointment of Directors 0.45 PDF 2026-02-05 20:06
1358 264 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT SUPPLEMENTAL MEMORANDUM OF UNDERSTANDING AND UPDATE ON PROPOSED TRANSACTION 0.18 PDF 2026-02-05 20:04
1359 8111 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT BUSINESS UPDATE 0.11 PDF 2026-02-05 20:04
1360 2590 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT BUSINESS UPDATE 0.08 PDF 2026-02-05 20:03
1361 8610 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 20:01
1362 6660 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT WORLD'S FIRST SERUM-FREE ITERATIVE RABIES VACCINE SUCCESSFULLY PASSED ON-SITE INSPECTION FOR REGISTRATION 0.47 PDF 2026-02-05 20:00
1363 2396 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:59
1364 3081
9081
83081
Trading Information of Exchange Traded Funds 03081, 83081, 9081 Information 0.01 XLSX 2026-02-05 19:53
1365 2589 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 19:53
1366 2892 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January, 2026 0.07 PDF 2026-02-05 19:50
1367 1317 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-05 19:49
1368 3076 Trading Information of Exchange Traded Funds Summary Information (3076) 0.01 XLSX 2026-02-05 19:47
1369 3190 Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-05 19:47
1370 NA Debt and Structured Products Daily Trading Report - CBBC BNP Paribas Daily Trading Summary of Callable Bull/Bear Contract 0.05 XLSX 2026-02-05 19:47
1371 NA Debt and Structured Products Daily Trading Report - DW BNP Paribas Daily Trading Summary of Derivative Warrants 0.04 XLSX 2026-02-05 19:47
1372 3880 Announcements and Notices Inside Information INSIDE INFORMATION ISSUANCE OF FILING NOTICE BY CSRC FOR THE H SHARE FULL CIRCULATION APPLICATION OF THE COMPANY 0.04 PDF 2026-02-05 19:47
1373 1052 Announcements and Notices Connected Transaction CONNECTED TRANSACTION: AWARD OF PROPOSED ENGINEERING AGREEMENT IN CONNECTION WITH THE MECHANICAL AND ELECTRICAL ENGINEERING PROJECT FOR THE GNSR EXPRESSWAY R&E PROJECT 0.13 PDF 2026-02-05 19:46
1374 1209 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.04 PDF 2026-02-05 19:45
1375 9923 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:43
1376 6623 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED JANUARY 31, 2026 0.07 PDF 2026-02-05 19:43
1377 1088 Announcements and Notices Overseas Regulatory Announcement - Business Update,
Overseas Regulatory Announcement - Issue of Securities and Related Matters
An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 19:40
1378 2158 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:38
1379 8391 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:37
1380 994 Monthly Returns Monthly return of equity issuer on movements in securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:37
1381 486 Announcements and Notices Overseas Regulatory Announcement - Other OVERSEAS REGULATORY ANNOUNCEMENT 0.09 PDF 2026-02-05 19:34
1382 698 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.06 PDF 2026-02-05 19:30
1383 1663 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 19:26
1384 8403 Announcements and Notices Announcement by Offeree Company under the Takeovers Code,
Announcement by Offeror Company under the Takeovers Code
JOINT ANNOUNCEMENT (1) LEVEL OF ACCEPTANCE OF THE OFFER ON THE FIRST CLOSING DATE; AND (2) LAPSE OF THE MANDATORY CONDITIONAL CASH OFFER BY RAINBOW CAPITAL (HK) LIMITED FOR AND ON BEHALF OF THE OFFEROR TO ACQUIRE ALL THE ISSUED SHARES OF DOWWAY HOLDINGS LIMITED (OTHER THAN THOSE ALREADY OWNED AND/OR AGREED TO BE ACQUIRED BY THE OFFEROR AND/OR PARTIES ACTING IN CONCERT WITH HIM) 0.16 PDF 2026-02-05 19:25
1385 8448 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-05 19:25
1386 2530 Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION ACQUISITION OF LISTED SECURITIES 0.11 PDF 2026-02-05 19:25
1387 377 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:22
1388 1900 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 19:21
1389 3808 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 19:20
1390 1752 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 19:19
1391 377 Announcements and Notices Sufficiency of Public Float UPDATE ON THE STATUS OF THE PUBLIC FLOAT 0.13 PDF 2026-02-05 19:18
1392 1373 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-05 19:17
1393 1860 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:15
1394 NA Debt and Structured Products Daily Trading Report - DW The Bank of East Asia, Limited - Daily Trading Summary of Derivative Warrants 0.02 XLSX 2026-02-05 19:15
1395 1638 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:15
1396 2566 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-05 19:13
1397 2158 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 19:10
1398 1112 Monthly Returns Monthly Return of Equity Issuer of Movements in Securities for the Month ended 31 January 2026 0.07 PDF 2026-02-05 19:10
1399 6858 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:10
1400 1712 Announcements and Notices Inside Information,
Profit Warning
INSIDE INFORMATION AND PROFIT ALERT 0.08 PDF 2026-02-05 19:09
1401 1615 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:09
1402 6809 Announcements and Notices Other - Miscellaneous ANNOUNCEMENT OF OFFER PRICE 0.07 PDF 2026-02-05 19:09
1403 3118
83118
Trading Information of Exchange Traded Funds HARVEST MSCI CHINA A INDEX ETF <83118> <3118> INFORMATION 0.01 XLSX 2026-02-05 19:08
1404 1828 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:07
1405 9660 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:06
1406 771 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:05
1407 358 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:04
1408 2408 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 19:04
1409 2156 Announcements and Notices Connected Transaction SUPPLEMENTAL ANNOUNCEMENT CONNECTED TRANSACTION IN RELATION TO THE ACQUISITION OF 25% EQUITY INTEREST IN XIAMEN ZHAOHUI 0.09 PDF 2026-02-05 19:03
1410 3129
83129
Trading Information of Exchange Traded Funds BOCHK GBA Climate Transition ETF <03129, 83129> Information 0.02 XLSX 2026-02-05 19:01
1411 2171 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:01
1412 1372 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 19:00
1413 1358 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:59
1414 9877 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:58
1415 8448 Announcements and Notices Results of EGM/SGM POLL RESULTS OF THE EXTRAORDINARY GENERAL MEETING 0.03 PDF 2026-02-05 18:57
1416 200 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 18:57
1417 3337 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-05 18:57
1418 3888 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:57
1419 9666 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:55
1420 2416 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:55
1421 1663 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT-INCREASE IN SHAREHOLDING BY THE CHAIRMAN AND SUBSTANTIAL SHAREHOLDER 0.17 PDF 2026-02-05 18:55
1422 2423 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:55
1423 3101 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:54
1424 7234 Trading Information of Leveraged and Inverse Products Stock Code: 7234 Information 0.02 XLSX 2026-02-05 18:54
1425 771 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 December 2025 0.07 PDF 2026-02-05 18:54
1426 7709 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:53
1427 2802 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:53
1428 3431 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:52
1429 2888 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31/1/2026 0.08 PDF 2026-02-05 18:52
1430 2390 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-05 18:52
1431 586 Announcements and Notices Issue of Debt Securities VOLUNTARY ANNOUNCEMENT: ISSUE OF FIRST TRANCHE OF 2026 GREEN MEDIUM-TERM NOTES BY CHINA CONCH VENTURE HOLDINGS LIMITED 0.12 PDF 2026-02-05 18:52
1432 3469 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:52
1433 7747
9747
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:51
1434 7347
9347
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:51
1435 3442 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:50
1436 3447 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:50
1437 7777
9777
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:49
1438 3437
9437
83437
Trading Information of Exchange Traded Funds 03437 & 09437 & 83437 news 0.01 XLSX 2026-02-05 18:49
1439 3443 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:49
1440 2635 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:48
1441 3039 Trading Information of Exchange Traded Funds 3039 Information 0.01 XLSX 2026-02-05 18:48
1442 2586 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:48
1443 7799
9799
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:48
1444 7399
9399
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:48
1445 7711
9711
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:47
1446 6938 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:47
1447 325 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:47
1448 7311
9311
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:47
1449 7366
9366
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:46
1450 2570 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 18:45
1451 2616 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 18:45
1452 100 Announcements and Notices Other - Miscellaneous STABILIZING ACTIONS AND END OF STABILIZATION PERIOD 0.06 PDF 2026-02-05 18:44
1453 501 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended January 31, 2026 0.07 PDF 2026-02-05 18:43
1454 3423 Trading Information of Exchange Traded Funds 3423 NEWS 0.01 XLSX 2026-02-05 18:43
1455 603 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters SETTLEMENT OF THE OFFER TO PURCHASE FOR CASH ITS OUTSTANDING 4.7% SENIOR NOTES DUE 2026 (ISIN: XS2328392951; COMMON CODE: 232839295) (THE "NOTES") - OVERSEAS REGULATORY ANNOUNCEMENT 0.91 PDF 2026-02-05 18:42
1456 3069
9069
83069
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-05 18:41
1457 343 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:41
1458 9973 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:40
1459 8039 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:40
1460 3161
83161
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-05 18:40
1461 3993 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:39
1462 6686 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:39
1463 6608 Next Day Disclosure Returns Others,
Share Buyback
Next Day Disclosure Return 0.09 PDF 2026-02-05 18:39
1464 2839
3403
9403
9839
82839
83403
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-05 18:39
1465 7766
9766
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:38
1466 857 Monthly Returns Monthly Return of Equity Issuer on Movements of Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:38
1467 3088
9088
83088
Trading Information of Exchange Traded Funds Summary Information 0.01 XLSX 2026-02-05 18:38
1468 3056 Trading Information of Exchange Traded Funds 3056 News 0.01 XLSX 2026-02-05 18:37
1469 7388
9388
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:37
1470 3112 Trading Information of Exchange Traded Funds 3112 News 0.01 XLSX 2026-02-05 18:37
1471 3108
83108
Trading Information of Exchange Traded Funds ETF_HKEX_Price_05022026_EN 0.01 XLSX 2026-02-05 18:37
1472 2611 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 18:37
1473 3012
83012
Trading Information of Exchange Traded Funds 3012 & 83012 News 0.02 XLSX 2026-02-05 18:36
1474 3085 Trading Information of Exchange Traded Funds 3085 News 0.01 XLSX 2026-02-05 18:36
1475 2818 Trading Information of Exchange Traded Funds 2818 News 0.01 XLSX 2026-02-05 18:36
1476 2297 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 18:36
1477 3179
9179
Trading Information of Exchange Traded Funds 9179 & 3179 News 0.01 XLSX 2026-02-05 18:35
1478 3046
9046
83046
Trading Information of Exchange Traded Funds 9046 & 3046 & 83046 News 0.03 XLSX 2026-02-05 18:35
1479 2843
82843
Trading Information of Exchange Traded Funds 2843 & 82843 News 0.01 XLSX 2026-02-05 18:35
1480 3698 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:34
1481 2832
82832
Trading Information of Exchange Traded Funds Stock Code : 82832,2832 Information 0.01 XLSX 2026-02-05 18:34
1482 3460
9460
83460
Trading Information of Exchange Traded Funds 9460 & 3460 & 83460 News 0.03 XLSX 2026-02-05 18:34
1483 576 Documents on Display DOCUMENTS ON DISPLAY DISCLOSEABLE TRANSACTION AND CONNECTED TRANSACTION - ABSORPTION AND MERGER OF OCEANKING DEVELOPMENT THROUGH SHARE SWAP AND ISSUANCE OF A SHARES UNDER SPECIFIC MANDATE 0.00 2026-02-05 18:34
1484 2167 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-05 18:34
1485 3439
9439
Trading Information of Exchange Traded Funds 9439 & 3439 News 0.01 XLSX 2026-02-05 18:34
1486 3042
9042
83042
Trading Information of Exchange Traded Funds 9042 & 3042 & 83042 News 0.07 XLSX 2026-02-05 18:34
1487 7788
9788
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:33
1488 2327 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 18:33
1489 3636 Announcements and Notices Other - Miscellaneous FULL EXERCISE OF THE OVER-ALLOTMENT OPTION, STABILIZING ACTIONS AND THE END OF STABILIZATION PERIOD 0.11 PDF 2026-02-05 18:33
1490 3441 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:32
1491 19
87
1972
Announcements and Notices Other - Trading Update Quarterly Operating Statement of Swire Properties Limited - Fourth Quarter 2025 0.31 PDF 2026-02-05 18:32
1492 3454 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:32
1493 2611 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 18:32
1494 7376 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:31
1495 3432 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:30
1496 2076 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:30
1497 3133 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:30
1498 56898
56900
56909
56975
56989
56990
56991
57034
57072
57097
57110
57111
57127
57152
57156
57159
57164
57174
57177
57191
57198
57231
57233
57234
57237
57242
57247
57255
57257
57262
57266
57267
57272
57290
57300
Debt and Structured Products Pre-Listing Trading Report - CBBC J.P. Morgan Structured Products B.V. - Pre Listing Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-05 18:29
1499 25600
25604
25606
25687
25688
25689
25690
25691
25692
Debt and Structured Products Pre-Listing Trading Report - DW J.P. Morgan Structured Products B.V. - Pre Listing Trading Summary of Derivative Warrants (Including Inline Warrants) 0.01 XLSX 2026-02-05 18:29
1500 NA Debt and Structured Products Daily Trading Report - CBBC J.P. Morgan Structured Products B.V. - Daily Trading Summary of Callable Bull/Bear Contracts 0.06 XLSX 2026-02-05 18:29
1501 NA Debt and Structured Products Daily Trading Report - DW J.P. Morgan Structured Products B.V. - Daily Trading Summary of Derivative Warrants (Including Inline Warrants) 0.08 XLSX 2026-02-05 18:29
1502 7515 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:29
1503 NA Debt and Structured Products Daily Trading Report - DW Macquarie Bank Limited - Daily Trading Summary of Derivative Warrants 05/02/2026 0.11 XLSX 2026-02-05 18:29
1504 25713
25720
25722
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Macquarie Bank Limited in relation to stock codes 25713 25720 25722 0.11 PDF 2026-02-05 18:29
1505 2068 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 18:29
1506 3196
9196
83196
Trading Information of Exchange Traded Funds 9196 & 3196 & 83196 News 0.02 XLSX 2026-02-05 18:28
1507 1897 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:28
1508 7262 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:28
1509 3070
9070
Trading Information of Exchange Traded Funds 3070, 9070 NEWS 0.01 XLSX 2026-02-05 18:28
1510 3156
9107
9156
Trading Information of Exchange Traded Funds 9156 & 3156 & 9107 News 0.02 XLSX 2026-02-05 18:28
1511 3008
9008
Trading Information of Exchange Traded Funds 9008 & 3008 News 0.02 XLSX 2026-02-05 18:27
1512 6862 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 18:27
1513 2825 Trading Information of Exchange Traded Funds WISE CSIHK100 ETF <02825> INFORMATION 0.02 XLSX 2026-02-05 18:27
1514 840 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-05 18:26
1515 3009
9009
Trading Information of Exchange Traded Funds 9009 & 3009 News 0.02 XLSX 2026-02-05 18:26
1516 617 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31/01/2026 0.06 PDF 2026-02-05 18:25
1517 53 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.16 PDF 2026-02-05 18:25
1518 1986 Announcements and Notices Inside Information,
Results of a Subsidiary
INSIDE INFORMATION ANNUAL PRELIMINARY FINANCIAL INFORMATION OF HEBEI TSAKER NEW MATERIALS TECHNOLOGY COMPANY LIMITED FOR THE YEAR ENDED 31 DECEMBER 2025 0.04 PDF 2026-02-05 18:25
1519 547 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 18:24
1520 1406 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 18:24
1521 2556 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:24
1522 2610 Monthly Returns (REVISED) MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 18:24
1523 2652 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-05 18:23
1524 1718 Announcements and Notices Other - Business Update VOLUNTARY ANNOUNCEMENT INVESTMENT IN FOOD AND BEVERAGE BUSINESS 0.11 PDF 2026-02-05 18:23
1525 3896 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:22
1526 2508 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.44 PDF 2026-02-05 18:22
1527 3156
9156
Monthly Returns Monthly Returns 0.06 PDF 2026-02-05 18:22
1528 78 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31/01/2026 0.07 PDF 2026-02-05 18:22
1529 191 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.06 PDF 2026-02-05 18:21
1530 3037 Trading Information of Exchange Traded Funds 3037 news 0.01 XLSX 2026-02-05 18:21
1531 800 Announcements and Notices Amendment of Constitutional Documents,
Share Scheme
PROPOSED AMENDMENT OF THE MEMORANDUM AND ARTICLES OF ASSOCIATION AND PROPOSED ADOPTION OF THE 2026 SHARE PLAN 0.06 PDF 2026-02-05 18:21
1532 9987 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 18:20
1533 3047
9047
Trading Information of Exchange Traded Funds 9047, 3047 NEWS 0.01 XLSX 2026-02-05 18:20
1534 2806
2807
2809
2815
2841
2845
3050
3075
3119
3158
3185
3191
3416
3419
3440
9075
9191
9416
9440
9806
9807
9809
9845
83416
Monthly Returns Monthly Report 0.07 PDF 2026-02-05 18:19
1535 355 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31/01/2026 0.06 PDF 2026-02-05 18:19
1536 9922 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:19
1537 225 Announcements and Notices Results of AGM POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 5 FEBRUARY 2026 0.06 PDF 2026-02-05 18:19
1538 2498 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended January 31, 2026 0.07 PDF 2026-02-05 18:18
1539 118 Announcements and Notices Connected Transaction Connected Transaction at Subsidiary Level in relation to the Disposal of Entire Equity Interest in the Target Company 0.06 PDF 2026-02-05 18:18
1540 8156 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 18:17
1541 2837
3006
3029
3084
3104
3139
3150
3184
3422
3450
9084
9104
9450
Monthly Returns Monthly Report 0.07 PDF 2026-02-05 18:17
1542 3064
3401
3402
3415
3417
3448
3451
3470
9064
9415
9451
Monthly Returns Monthly Report 0.07 PDF 2026-02-05 18:16
1543 6818 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 18:16
1544 NA Debt and Structured Products Daily Trading Report - DW Guotai Junan Securities (Hong Kong) Limited - Daily Trading Summary of Derivative Warrants 0.03 XLSX 2026-02-05 18:15
1545 8093 Announcements and Notices Inside Information,
Profit Warning
PROFIT WARNING 0.45 PDF 2026-02-05 18:15
1546 3433 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:15
1547 2496 Announcements and Notices Discloseable Transaction SUPPLEMENTAL ANNOUNCEMENT DISCLOSEABLE TRANSACTION TRANSFER OF LAND USE RIGHT AND BUILDING 0.11 PDF 2026-02-05 18:15
1548 NA Debt and Structured Products Daily Trading Report - CBBC Guotai Junan Securities (Hong Kong) Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.02 XLSX 2026-02-05 18:15
1549 3153 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:15
1550 18780 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.49 PDF 2026-02-05 18:15
1551 20983 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.49 PDF 2026-02-05 18:15
1552 25779
25780
25781
25782
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-05 18:15
1553 25785
25786
25788
25790
25791
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-05 18:15
1554 25794 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-05 18:15
1555 58213
58218
58238
58241
58247
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-05 18:15
1556 58221
58223
58224
58289
58298
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.20 PDF 2026-02-05 18:15
1557 58248
58249
58251
58253
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.19 PDF 2026-02-05 18:15
1558 58305
58313
58325
58332
58340
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.21 PDF 2026-02-05 18:15
1559 58341
58342
58351
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts to be issued by J.P. Morgan Structured Products B.V. 0.20 PDF 2026-02-05 18:15
1560 6681 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-05 18:14
1561 2820
2826
3040
3110
3137
9040
9820
9826
83110
Monthly Returns Monthly Report 0.07 PDF 2026-02-05 18:14
1562 3068 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:14
1563 6818 Announcements and Notices Other - Miscellaneous ANNOUNCEMENT ON THE REDEMPTION AND DELISTING OF THE THIRD TRANCHE OF PREFERENCE SHARES 0.07 PDF 2026-02-05 18:14
1564 2830
82830
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:14
1565 2347 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:14
1566 3003
3004
3034
3109
3134
3174
Monthly Returns MONTHLY RETURN - 31 January 2026 0.07 PDF 2026-02-05 18:13
1567 3037 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:13
1568 3066 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:13
1569 7226 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:12
1570 7552 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:12
1571 612 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:12
1572 3041
3059
3097
3116
83059
Monthly Returns Monthly Report 0.07 PDF 2026-02-05 18:12
1573 2026 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 18:11
1574 2677 Announcements and Notices Allotment Results ANNOUNCEMENT OF FINAL OFFER PRICE AND ALLOTMENT RESULTS 0.34 PDF 2026-02-05 18:11
1575 3193 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:11
1576 25787
25789
25792
25795
25796
25797
25799
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by SG Issuer 0.18 PDF 2026-02-05 18:10
1577 2015 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended January 31, 2026 0.07 PDF 2026-02-05 18:10
1578 3033 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:10
1579 58357
58369
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.33 PDF 2026-02-05 18:10
1580 488 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 18:10
1581 3096
9096
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:09
1582 9885 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:09
1583 3005
83005
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:09
1584 25723
25738
25739
25771
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Macquarie Bank Limited in relation to stock codes 25723 25738 25739 25771 0.11 PDF 2026-02-05 18:09
1585 1797 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:08
1586 7233 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:08
1587 2827 Trading Information of Exchange Traded Funds WISE CSI300 ETF <02827> INFORMATION 0.02 XLSX 2026-02-05 18:08
1588 3053
83053
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:08
1589 34 Monthly Returns MONTHLY RETURN FOR EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.06 PDF 2026-02-05 18:07
1590 3182 Trading Information of Exchange Traded Funds WISE NEWECONESG ETF <03182> INFORMATION 0.01 XLSX 2026-02-05 18:07
1591 25710
25711
25712
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Macquarie Bank Limited in relation to stock codes 25710 25711 25712 0.11 PDF 2026-02-05 18:06
1592 1157 Announcements and Notices Issue of Convertible Securities,
Issue of Shares under a Specific Mandate
COMPLETION OF ISSUE OF RMB6,000,000,000 CONVERTIBLE BONDS DUE 2031 UNDER SPECIFIC MANDATE 0.08 PDF 2026-02-05 18:06
1593 576 Announcements and Notices Amendment of Constitutional Documents,
Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF DOMESTIC SHARES CLASS MEETING 0.05 PDF 2026-02-05 18:05
1594 2419 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:04
1595 9991 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:04
1596 8066 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns - Share Buyback 0.09 PDF 2026-02-05 18:04
1597 1801 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:04
1598 1198 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 18:02
1599 7299 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:02
1600 213 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 18:02
1601 7568 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:01
1602 7266 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 18:01
1603 6955 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:00
1604 9866 Announcements and Notices Inside Information,
Profit Warning
INSIDE INFORMATION - PROFIT ALERT IN RELATION TO FOURTH QUARTER 2025 0.07 PDF 2026-02-05 18:00
1605 1519 Announcements and Notices Issue of Convertible Securities,
Issue of Shares under a General Mandate
COMPLETION OF THE ISSUE OF ZERO COUPON GUARANTEED CONVERTIBLE BONDS DUE 2033 0.20 PDF 2026-02-05 18:00
1606 2186 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:00
1607 9878 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 18:00
1608 85024 Debt and Structured Products Offering Circular and Pricing Supplement - Debt Securities Tender results of the re-opening of 10-year RMB HKSAR Institutional Government Bonds 0.04 PDF 2026-02-05 18:00
1609 2899 Announcements and Notices Overseas Regulatory Announcement - Other Announcement in relation to Provision of Guarantee to a Wholly-owned Subsidiary 0.01 PDF 2026-02-05 18:00
1610 6158 Announcements and Notices Other - Trading Update UNAUDITED OPERATING STATISTICS FOR JANUARY 2026 0.05 PDF 2026-02-05 18:00
1611 9868 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:59
1612 7500 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:59
1613 1157
40078
Debt and Structured Products Formal Notice - Debt Securities NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - ZOOMLION HEAVY INDUSTRY SCIENCE AND TECHNOLOGY CO., LTD. - RMB6,000,000,000 0.70% U.S. DOLLAR SETTLED CONVERTIBLE BONDS DUE 2031 0.08 PDF 2026-02-05 17:59
1614 136 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:59
1615 85089 Debt and Structured Products Offering Circular and Pricing Supplement - Debt Securities Tender results of the re-opening of 2-year RMB HKSAR Institutional Government Bonds 0.04 PDF 2026-02-05 17:59
1616 807 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:59
1617 576 Announcements and Notices Amendment of Constitutional Documents,
Closure of Books or Change of Book Closure Period,
Connected Transaction,
Issue of Shares under a Specific Mandate,
Notice of EGM/SGM
NOTICE OF H SHARES CLASS MEETING 0.07 PDF 2026-02-05 17:58
1618 248 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-05 17:58
1619 7588 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:58
1620 2516 Announcements and Notices Change in Registered Address or Office, Registered Place of Business in HK or Agent for Service of Process in HK CHANGE OF ADDRESS OF THE REGISTERED OFFICE AND PRINCIPAL SHARE REGISTRAR AND TRANSFER OFFICE IN THE CAYMAN ISLANDS 0.59 PDF 2026-02-05 17:58
1621 1600 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 17:58
1622 1810
81810
Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:57
1623 6806 Announcements and Notices Overseas Regulatory Announcement - Board/Supervisory Board Resolutions,
Overseas Regulatory Announcement - Corporate Governance Related Matters
An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:56
1624 991 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:56
1625 7288 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:56
1626 7300 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:55
1627 451 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:55
1628 3383 Announcements and Notices Other - Trading Update UNAUDITED OPERATING FIGURES FOR JANUARY 2026 0.11 PDF 2026-02-05 17:55
1629 8066 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns - Share Buyback 0.09 PDF 2026-02-05 17:55
1630 9676 Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.08 PDF 2026-02-05 17:55
1631 2160 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:53
1632 7200 Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:53
1633 770 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:52
1634 2400 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 17:50
1635 3167
9167
83167
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:49
1636 8229 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:49
1637 6066 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:49
1638 NA Debt and Structured Products Daily Trading Report - CBBC UBS - DAILY TRADING REPORT ON CBBC 0.09 XLSX 2026-02-05 17:49
1639 NA Debt and Structured Products Daily Trading Report - DW UBS - DAILY TRADING REPORT ON DERIVATIVE WARRANT 0.06 XLSX 2026-02-05 17:49
1640 576 Announcements and Notices Amendment of Constitutional Documents,
Closure of Books or Change of Book Closure Period,
Connected Transaction,
Issue of Shares under a Specific Mandate,
Notice of EGM/SGM
NOTICE OF EXTRAORDINARY GENERAL MEETING 0.06 PDF 2026-02-05 17:48
1641 1618 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 17:48
1642 861 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:48
1643 3122
83122
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:48
1644 9107 Monthly Returns Monthly Returns 0.06 PDF 2026-02-05 17:48
1645 8168 Next Day Disclosure Returns Others Next Day Disclosure Returns 0.08 PDF 2026-02-05 17:48
1646 6806 Announcements and Notices Change in Directors or of Important Executive Functions or Responsibilities PROPOSED APPOINTMENT OF THE EXECUTIVE DIRECTOR 0.09 PDF 2026-02-05 17:48
1647 3199
83199
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:47
1648 2380 Announcements and Notices Connected Transaction Energy Storage System Equipment Procurement Contract 0.35 PDF 2026-02-05 17:47
1649 101 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:47
1650 3147
83147
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:46
1651 711 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:46
1652 NA Debt and Structured Products Daily Trading Report - CBBC BOCI Asia Limited Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-05 17:46
1653 NA Debt and Structured Products Daily Trading Report - DW BOCI Asia Limited Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-05 17:46
1654 2016 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:46
1655 57836
57841
57847
57848
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by BOCI Asia Limited 0.11 PDF 2026-02-05 17:45
1656 8130 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:45
1657 1593 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:44
1658 2822
82822
Monthly Returns MONTHLY RETURN - 31 January 2026 0.06 PDF 2026-02-05 17:44
1659 1802 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:43
1660 1276 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:43
1661 737
80737
Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.06 PDF 2026-02-05 17:42
1662 1620 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-05 17:42
1663 10 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:42
1664 800 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:41
1665 2026 Documents on Display 2026 SHARE SCHEME 2.00 PDF 2026-02-05 17:41
1666 57826
57828
57835
57851
57852
57854
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by BOCI Asia Limited 0.12 PDF 2026-02-05 17:40
1667 9696 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:40
1668 2832
82832
Monthly Returns Monthly Returns 0.06 PDF 2026-02-05 17:39
1669 103 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-05 17:39
1670 883
80883
Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:39
1671 58274
58279
58281
58284
58296
58299
58310
58328
58337
58373
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.19 PDF 2026-02-05 17:39
1672 58381
58384
58387
58397
58405
58408
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.19 PDF 2026-02-05 17:39
1673 58199
58200
58203
58205
58206
58254
58269
58272
58273
58344
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.20 PDF 2026-02-05 17:39
1674 58353
58355
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by SG Issuer 0.19 PDF 2026-02-05 17:39
1675 3425
9425
Trading Information of Exchange Traded Funds 3425&9425 News 0.02 XLSX 2026-02-05 17:39
1676 1276 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:39
1677 873 Announcements and Notices Discloseable Transaction Further information in relation to Discloseable Transaction - Formation of the Partnership 0.28 PDF 2026-02-05 17:39
1678 576 Circulars Other REPLY SLIP FOR DOMESTIC SHARES CLASS MEETING 0.07 PDF 2026-02-05 17:38
1679 6690 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 17:38
1680 9968 Announcements and Notices Inside Information,
Other - Miscellaneous
SUPPLEMENTAL ANNOUNCEMENT REMEDIAL MEASURES 0.21 PDF 2026-02-05 17:38
1681 3430
9430
Trading Information of Exchange Traded Funds 3430&9430 News 0.02 XLSX 2026-02-05 17:38
1682 123 Announcements and Notices Issue of Debt Securities VOLUNTARY ANNOUNCEMENT - THE ISSUANCE BY A SUBSIDIARY OF GUARANTEED CORPORATE BONDS IN THE PRC 0.09 PDF 2026-02-05 17:38
1683 41 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:38
1684 6098 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.10 PDF 2026-02-05 17:37
1685 8426 Monthly Returns MONTHLY RETURN FOR EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:37
1686 3196
9196
83196
Monthly Returns Monthly Returns 0.06 PDF 2026-02-05 17:37
1687 NA Debt and Structured Products Daily Trading Report - DW DBS Bank Limited - Daily Trading Summary of Derivative Warrants 0.02 XLSX 2026-02-05 17:36
1688 697 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.08 PDF 2026-02-05 17:36
1689 2026 Proxy Forms FORM OF PROXY FOR THE CLASS B MEETING to be held on Thursday, April 2, 2026 (or any adjournment(s) or postponement(s) thereof) 0.08 PDF 2026-02-05 17:36
1690 296 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:36
1691 182 Announcements and Notices Other - Business Update ATTRIBUTABLE POWER GENERATION OUTPUT 0.18 PDF 2026-02-05 17:35
1692 8 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.06 PDF 2026-02-05 17:35
1693 2805
9805
82805
Monthly Returns Monthly Returns 0.06 PDF 2026-02-05 17:35
1694 2097 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:35
1695 3678 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:35
1696 25728
25729
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by BOCI Asia Limited 0.11 PDF 2026-02-05 17:34
1697 NA Debt and Structured Products Daily Trading Report - CBBC DBS Bank Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-05 17:34
1698 3457 Trading Information of Exchange Traded Funds Stock Code: 3457 Information 0.01 XLSX 2026-02-05 17:33
1699 576 Circulars Other REPLY SLIP FOR H SHARES CLASS MEETING 0.07 PDF 2026-02-05 17:33
1700 9890 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 17:33
1701 9606 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:33
1702 1299
81299
Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:32
1703 2629 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-05 17:32
1704 3176
9176
Trading Information of Exchange Traded Funds Stock Code: 3176 9176 Information 0.01 XLSX 2026-02-05 17:32
1705 1357 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:32
1706 2026 Proxy Forms FORM OF PROXY FOR THE CLASS A MEETING to be held on Thursday, April 2, 2026 (or any adjournment(s) or postponement(s) thereof) 0.08 PDF 2026-02-05 17:31
1707 2899 Announcements and Notices Issue of Convertible Securities,
Placing
Completion of the Issue of US$1,500,000,000 Zero Coupon Guaranteed Convertible Bonds Due 2031 0.23 PDF 2026-02-05 17:31
1708 2342 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:30
1709 6988 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:30
1710 2629 Announcements and Notices Issue of Shares under a General Mandate,
Placing
CLOSING OF PLACING OF NEW SHARES UNDER GENERAL MANDATE 0.54 PDF 2026-02-05 17:30
1711 167 Announcements and Notices Change in Company Secretary,
Change in Registered Address or Office, Registered Place of Business in HK or Agent for Service of Process in HK
CHANGE OF COMPANY SECRETARY, AUTHORISED REPRESENTATIVE AND PROCESS AGENT 0.43 PDF 2026-02-05 17:30
1712 8267 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:30
1713 3690
83690
Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:30
1714 3317 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:30
1715 2196 Announcements and Notices Overseas Regulatory Announcement - Other An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:29
1716 25760
25761
25762
25763
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25760, 25761, 25762, 25763 issued by Citigroup Global Markets Europe AG 0.20 PDF 2026-02-05 17:29
1717 25726
25727
25731
25732
25733
25734
25735
25737
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by BOCI Asia Limited 0.11 PDF 2026-02-05 17:29
1718 6160 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:28
1719 3152 Trading Information of Exchange Traded Funds Stock Code: 3152 Information 0.01 XLSX 2026-02-05 17:28
1720 58106
58109
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 58106, 58109 issued by Citigroup Global Markets Europe AG 0.19 PDF 2026-02-05 17:28
1721 2026 Proxy Forms FORM OF PROXY FOR EXTRAORDINARY GENERAL MEETING to be held on Thursday, April 2, 2026 (or any adjournment(s) or postponement(s) thereof) 0.08 PDF 2026-02-05 17:27
1722 576 Circulars Other REPLY SLIP FOR EXTRAORDINARY GENERAL MEETING 0.07 PDF 2026-02-05 17:27
1723 3192
83192
Trading Information of Exchange Traded Funds Stock Code: 3192 Information 0.02 XLSX 2026-02-05 17:27
1724 1073 Announcements and Notices Discloseable Transaction Discloseable Transaction - Disposal of Securities by a Subsidiary 0.34 PDF 2026-02-05 17:26
1725 8267 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 December 2025 0.07 PDF 2026-02-05 17:26
1726 1228 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:26
1727 2497 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:25
1728 2196 Announcements and Notices Overseas Regulatory Announcement - Other Overseas Regulatory Announcement - Announcement in Relation to the Acceptance of a Subsidiary's Drug Registration Application 0.18 PDF 2026-02-05 17:25
1729 8267 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 30 November 2025 0.07 PDF 2026-02-05 17:24
1730 6823 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:24
1731 175
80175
Next Day Disclosure Returns Share Buyback Next Day Disclosure Returns 0.09 PDF 2026-02-05 17:22
1732 2425 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:22
1733 1809 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:22
1734 1251 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:22
1735 9638 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:22
1736 9926 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 January 2026 0.07 PDF 2026-02-05 17:21
1737 8267 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 October 2025 0.07 PDF 2026-02-05 17:21
1738 6031 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:21
1739 2886 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return - Share Buyback 0.08 PDF 2026-02-05 17:21
1740 2567 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:21
1741 55034
55035
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55035, 55034 issued by BOCI Asia Limited 0.04 PDF 2026-02-05 17:20
1742 55008
60478
60705
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 60705, 60478, 55008 issued by BOCI Asia Limited 0.04 PDF 2026-02-05 17:20
1743 1986 Next Day Disclosure Returns Others Next Day Disclosure Return 0.08 PDF 2026-02-05 17:20
1744 2026 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF CLASS B MEETING to be held on Thursday, April 2, 2026 (or any adjourned or postponed meeting thereof) 0.08 PDF 2026-02-05 17:20
1745 54558
55176
55177
55180
55187
55188
55223
55235
61699
64315
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-05 17:20
1746 54293
55131
55207
55209
55220
55288
56952
57648
60448
61208
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-05 17:20
1747 63244
63481
63975
64516
65020
65596
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by J.P. Morgan Structured Products B.V. 0.04 PDF 2026-02-05 17:20
1748 1759 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:20
1749 8279 Announcements and Notices Continuing Connected Transaction RENEWAL OF CONTINUING CONNECTED TRANSACTIONS IN RELATION TO (1) ACQUIRING SERVICE BUSINESS COOPERATION AND (2) BUSINESS COOPERATION AND RESOURCES SHARING 0.29 PDF 2026-02-05 17:19
1750 2575 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:19
1751 2196 Announcements and Notices Overseas Regulatory Announcement - Other Overseas Regulatory Announcement - Announcement in Relation to the Acceptance of a Subsidiary's Drug Registration Application 0.23 PDF 2026-02-05 17:19
1752 336 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN 0.09 PDF 2026-02-05 17:18
1753 8267 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 30 September 2025 0.07 PDF 2026-02-05 17:18
1754 8321 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-05 17:18
1755 590 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:18
1756 2586 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:17
1757 576 Proxy Forms PROXY FORM FOR DOMESTIC SHARES CLASS MEETING 0.07 PDF 2026-02-05 17:17
1758 8267 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 August 2025 0.07 PDF 2026-02-05 17:15
1759 2026 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF CLASS A MEETING to be held on Thursday, April 2, 2026 (or any adjourned or postponed meeting thereof) 0.08 PDF 2026-02-05 17:15
1760 3 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:15
1761 1969 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:15
1762 1997 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:14
1763 6639 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:14
1764 6896 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:14
1765 9609 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:13
1766 54244
55337
55340
55342
55344
55346
57378
61487
63115
63915
65561
67716
69411
69924
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 65561,54244,63915,57378,69411,69924,61487,67716,55337,63115,55340,55342,55344,55346 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 PDF 2026-02-05 17:13
1767 984 Announcements and Notices Delay in Dispatch of Circular or other Document,
Major Transaction
DELAY IN DESPATCH OF CIRCULAR FOR MAJOR TRANSACTION 0.07 PDF 2026-02-05 17:12
1768 6881 Announcements and Notices Overseas Regulatory Announcement - Issue of Securities and Related Matters An announcement has just been published by the issuer in the Chinese section of this website, a corresponding version of which may or may not be published in this section 0.00 HTM 2026-02-05 17:12
1769 55906
55927
Debt and Structured Products Expiry Announcement - CBBC Announcement on Mandatory Call Event and Early Termination of CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.15 PDF 2026-02-05 17:12
1770 55733
55741
55755
55775
55858
56021
56028
56030
59189
61345
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Announcement on Valuation of Residual Value in relation to CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.04 PDF 2026-02-05 17:12
1771 54114
55710
56162
57738
59248
61078
61080
63850
64241
64584
65168
67976
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Announcement on Valuation of Residual Value in relation to CBBCs issued by SG Issuer or SGA Societe Generale Acceptance N.V. 0.04 PDF 2026-02-05 17:12
1772 559 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.12 PDF 2026-02-05 17:12
1773 576 Proxy Forms PROXY FORM FOR H SHARES CLASS MEETING 0.08 PDF 2026-02-05 17:12
1774 8159 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:12
1775 9987 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 17:11
1776 673 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:10
1777 51 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:10
1778 55347
55355
55359
55366
55415
58760
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 58760,55366,55347,55415,55355,55359 issued by The Hongkong and Shanghai Banking Corporation Limited 0.04 PDF 2026-02-05 17:10
1779 3461
3471
3472
9472
83461
Trading Information of Exchange Traded Funds E_SCB_summ_CAMCDMMFETF_20260205.xlsx 0.01 XLSX 2026-02-05 17:10
1780 NA Debt and Structured Products Daily Trading Report - CBBC Citigroup Global Markets Europe AG - Daily Trading Summary of CBBC 0.02 XLSX 2026-02-05 17:09
1781 6922 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 January 2026 0.07 PDF 2026-02-05 17:09
1782 1996 Announcements and Notices Other - Trading Update UNAUDITED OPERATING FIGURES AS OF 31 JANUARY 2026 0.40 PDF 2026-02-05 17:09
1783 2513 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:09
1784 2026 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF EXTRAORDINARY GENERAL MEETING to be held on Thursday, April 2, 2026 (or any adjourned or postponed meeting thereof) 0.09 PDF 2026-02-05 17:09
1785 3175 Monthly Returns 3175 Monthly Returns 0.06 PDF 2026-02-05 17:09
1786 2100 Announcements and Notices Terms of Reference of the Nomination Committee Terms of Reference for Nomination Committee 0.50 PDF 2026-02-05 17:09
1787 2048 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:09
1788 688 Announcements and Notices Other - Trading Update PROPERTY SALES AND NEW LAND HOLDINGS UPDATES FOR THE ONE MONTH ENDED 31 JANUARY 2026 0.34 PDF 2026-02-05 17:08
1789 3690
83690
Announcements and Notices Discloseable Transaction DISCLOSEABLE TRANSACTION ACQUISITION OF ALL ISSUED SHARES OF DINGDONG FRESH HOLDING LIMITED 0.07 PDF 2026-02-05 17:08
1790 1057 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:08
1791 NA Debt and Structured Products Daily Trading Report - DW Citigroup Global Markets Europe AG - Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-05 17:08
1792 2506 Monthly Returns Monthly Return of Equity Issuers on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:07
1793 1740 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:07
1794 2279 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:06
1795 3677 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:06
1796 576 Proxy Forms PROXY FORM FOR EXTRAORDINARY GENERAL MEETING 0.08 PDF 2026-02-05 17:06
1797 2461
2562
Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:06
1798 3172 Monthly Returns 3172 Monthly Returns 0.06 PDF 2026-02-05 17:06
1799 55020 Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 55020 issued by BOCI Asia Limited 0.28 PDF 2026-02-05 17:06
1800 58028 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-05 17:05
1801 58050
58051
58052
58056
58057
58062
58063
58064
58071
58073
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.20 PDF 2026-02-05 17:05
1802 58026 Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-05 17:05
1803 58027
58029
58030
58034
58047
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs issued by UBS AG 0.19 PDF 2026-02-05 17:05
1804 25709 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.18 PDF 2026-02-05 17:05
1805 25753
25754
25755
25756
25757
25758
25759
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Derivative Warrants issued by UBS AG 0.18 PDF 2026-02-05 17:05
1806 3421 Trading Information of Exchange Traded Funds Stock Code: 3421 Information 0.02 XLSX 2026-02-05 17:05
1807 723 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:05
1808 921 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:05
1809 860 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:05
1810 861 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:05
1811 2608 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:05
1812 1982 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:05
1813 2105 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:04
1814 1971 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:04
1815 1079 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.15 PDF 2026-02-05 17:04
1816 3420
83420
Trading Information of Exchange Traded Funds Stock Code: 3420 Information 0.02 XLSX 2026-02-05 17:04
1817 3171 Monthly Returns 3171 Monthly Returns 0.06 PDF 2026-02-05 17:04
1818 3135 Monthly Returns 3135 Monthly Returns 0.06 PDF 2026-02-05 17:03
1819 345 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 17:03
1820 62 Announcements and Notices Date of Board Meeting Date of Board Meeting 0.16 PDF 2026-02-05 17:03
1821 2671 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.06 PDF 2026-02-05 17:03
1822 717 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:03
1823 1508 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:03
1824 3480
9480
Trading Information of Exchange Traded Funds Stock Code: 3480 Information 0.02 XLSX 2026-02-05 17:03
1825 2779 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:03
1826 1024
81024
Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 17:02
1827 58129
58133
58138
58140
58141
58158
58160
58165
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by The Hongkong and Shanghai Banking Corporation Limited - 58129, 58133, 58138, 58140, 58141, 58158, 58160, 58165 0.14 PDF 2026-02-05 17:02
1828 2026 Circulars Amendment of Constitutional Documents,
Explanatory Statement for Repurchase of Shares,
General Mandate,
Other,
Share Scheme
(1) PROPOSED AMENDMENT OF THE MEMORANDUM AND ARTICLES OF ASSOCIATION; (2) PROPOSED ADOPTION OF THE 2026 SHARE SCHEME; (3) PROPOSED GRANT OF GENERAL MANDATE TO ISSUE SHARES AND/OR ADSs; (4) PROPOSED GRANT OF GENERAL MANDATE TO REPURCHASE SHARES AND/OR ADSs; (5) PROPOSED GRANT OF RSUs TO DIRECTORS UNDER THE 2026 SHARE SCHEME; AND (6) NOTICES OF EGM AND CLASS MEETINGS 0.79 PDF 2026-02-05 17:02
1829 4 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:01
1830 3132 Monthly Returns 3132 Monthly Returns 0.06 PDF 2026-02-05 17:01
1831 2012 Announcements and Notices Connected Transaction,
Consideration Issue,
Delay in Dispatch of Circular or other Document,
Discloseable Transaction,
Issue of Shares under a Specific Mandate
FURTHER DELAY IN DESPATCH OF CIRCULAR 0.23 PDF 2026-02-05 17:01
1832 81 Announcements and Notices Other - Trading Update UNAUDITED OPERATING STATISTICS FOR JANUARY 2026 0.39 PDF 2026-02-05 17:01
1833 9966 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:00
1834 1519
40077
Debt and Structured Products Formal Notice - Debt Securities Notice of Listing on The Stock Exchange of Hong Kong Limited - Bolt Innovation Limited's HK$4,650,000,000 Zero Coupon Guaranteed Convertible Bonds due 2033 0.09 PDF 2026-02-05 17:00
1835 1760 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:00
1836 1996 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:00
1837 9889 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 17:00
1838 2100 Announcements and Notices Continuing Connected Transaction ANNOUNCEMENT RENEWAL OF CONTINUING CONNECTED TRANSACTIONS 0.54 PDF 2026-02-05 17:00
1839 9978 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:00
1840 1516 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:00
1841 1918 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 17:00
1842 3636 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 17:00
1843 1903 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.13 PDF 2026-02-05 17:00
1844 289 Next Day Disclosure Returns Share Buyback Next Day Disclosure Return 0.09 PDF 2026-02-05 16:59
1845 3301 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:59
1846 2814
9814
Monthly Returns 2814 Monthly Returns 0.06 PDF 2026-02-05 16:59
1847 576 Circulars Amendment of Constitutional Documents,
Connected Transaction,
Issue of Shares
CIRCULAR OF EXTRAORDINARY GENERAL MEETING, H SHARES CLASS MEETING AND DOMESTIC SHARES CLASS MEETING 2.00 PDF 2026-02-05 16:59
1848 3750 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:58
1849 1762 Announcements and Notices Continuing Connected Transaction,
Other - Business Update,
Waiver in respect of Connected Transaction Requirements
VOLUNTARY ANNOUNCEMENT NEW CONTRACTUAL ARRANGEMENTS 0.67 PDF 2026-02-05 16:58
1850 732 Announcements and Notices Inside Information,
Other - Business Update
MONTHLY UNAUDITED TURNOVER FOR JANUARY 2026 0.50 PDF 2026-02-05 16:58
1851 8657 Announcements and Notices Inside Information,
Profit Warning
PROFIT ALERT - REDUCTION IN LOSS 0.08 PDF 2026-02-05 16:58
1852 56255
56264
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by Citigroup Global Markets Europe AG 0.04 PDF 2026-02-05 16:58
1853 58118
58119
58124
58127
58144
58150
58153
58155
58156
58157
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by The Hongkong and Shanghai Banking Corporation Limited - 58118, 58119, 58124, 58127, 58144, 58150, 58153, 58155, 58156, 58157 0.14 PDF 2026-02-05 16:58
1854 6196 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:58
1855 56265
56286
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56265, 56286 issued by Citigroup Global Markets Europe AG / Notice of Valuation of Mandatory Call Payoff in relation to stock code 56265, 56286 issued by Citigroup Global Markets Europe AG 0.12 PDF 2026-02-05 16:57
1856 55036
55038
55039
55054
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 55036, 55039, 55038, 55054 issued by BNP PARIBAS ISSUANCE B.V. 0.04 PDF 2026-02-05 16:57
1857 54029
55949
60749
61518
62402
63250
63256
65612
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 63250, 65612, 60749, 61518, 63256, 55949, 62402, 54029 issued by BNP PARIBAS ISSUANCE B.V. 0.04 PDF 2026-02-05 16:57
1858 2130 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:56
1859 25740
25741
25742
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Non-Collateralised Derivative Warrants in relation to stock code 25740, 25741, 25742 issued by DBS BANK LTD. 0.30 PDF 2026-02-05 16:56
1860 8657 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:56
1861 9985 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:56
1862 NA Debt and Structured Products Daily Trading Report - CBBC Morgan Stanley Asia Products Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.02 XLSX 2026-02-05 16:56
1863 NA Debt and Structured Products Daily Trading Report - DW Morgan Stanley Asia Products Limited - Daily Trading Summary of Derivative Warrants 0.05 XLSX 2026-02-05 16:56
1864 2812
3187
9187
9812
Monthly Returns 2812, 3187 Monthly Returns 0.06 PDF 2026-02-05 16:56
1865 2511 Announcements and Notices Other - Business Update HIGHTIDE THERAPEUTICS ANNOUNCES COMPLETION OF PHASE IIB CLINICAL STUDY OF HTD1801 FOR THE TREATMENT OF METABOLIC DYSFUNCTION-ASSOCIATED STEATOHEPATITIS (MASH) 0.07 PDF 2026-02-05 16:56
1866 2481 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:56
1867 311 Announcements and Notices Inside Information,
Profit Warning
PROFIT ALERT 0.08 PDF 2026-02-05 16:55
1868 57870
57882
57885
57892
57921
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 57885, 57870, 57892, 57882, 57921 issued by DBS BANK LTD. 0.33 PDF 2026-02-05 16:55
1869 3081
9081
83081
Monthly Returns Monthly Return on Movement of Open-ended Collective Investment Scheme 0.06 PDF 2026-02-05 16:55
1870 1592 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 16:54
1871 57879
57897
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for CBBCs in relation to stock code 57879, 57897 issued by DBS BANK LTD. 0.32 PDF 2026-02-05 16:54
1872 1560 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 16:53
1873 1125 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:53
1874 1221 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:53
1875 2202 Monthly Returns MONTHLY RETURN FOR THE MONTH ENDED 31 JANUARY 2026 0.06 PDF 2026-02-05 16:53
1876 2675 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 16:53
1877 71 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31/01/2026 0.06 PDF 2026-02-05 16:53
1878 2789 Announcements and Notices Date of Board Meeting NOTICE OF BOARD MEETING 0.04 PDF 2026-02-05 16:53
1879 2655 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:53
1880 55108
55109
55115
55139
55144
55153
69456
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Morgan Stanley Asia Products Limited - Notice of Valuation of Residual Value of Callable Bull/Bear Contracts 0.04 PDF 2026-02-05 16:53
1881 1895 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:52
1882 188 Announcements and Notices Date of Board Meeting DATE OF BOARD MEETING 0.19 PDF 2026-02-05 16:52
1883 NA Debt and Structured Products Daily Trading Report - CBBC Huatai Financial Holdings (Hong Kong) Limited - Daily Trading Summary of Callable Bull/Bear Contracts 0.01 XLSX 2026-02-05 16:52
1884 2012 Announcements and Notices Delay in Dispatch of Circular or other Document,
Issue of Shares under a Specific Mandate,
Placing
FURTHER DELAY IN DESPATCH OF CIRCULAR 0.23 PDF 2026-02-05 16:52
1885 1913 Monthly Returns Monthly Return for Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:52
1886 25714
25715
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Guotai Junan Securities (Hong Kong) Limited 0.94 PDF 2026-02-05 16:51
1887 9863 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:51
1888 NA Debt and Structured Products Daily Trading Report - DW Huatai Financial Holdings (Hong Kong) Limited - Daily Trading Summary of Derivative Warrants 0.08 XLSX 2026-02-05 16:51
1889 57795
57796
57802
57808
Debt and Structured Products Launch Announcement - CBBC,
Supplemental Listing Document - CBBC
Launch Announcement and Supplemental Listing Document for Callable Bull/Bear Contracts issued by Guotai Junan Securities (Hong Kong) Limited 0.47 PDF 2026-02-05 16:51
1890 2522 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:51
1891 2666 Announcements and Notices Inside Information,
Issue of Debt Securities
COMPLETION OF THE PUBLIC ISSUANCE OF THE CORPORATE BONDS (TRANCHE 1) IN THE PRC BY CHINA UNIVERSAL LEASING CO., LTD., A WHOLLY-OWNED SUBSIDIARY OF THE COMPANY 0.19 PDF 2026-02-05 16:50
1892 1569 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:50
1893 247 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:50
1894 703 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.06 PDF 2026-02-05 16:49
1895 55684
55702
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry issued by UBS AG 0.02 PDF 2026-02-05 16:49
1896 53215
55473
55477
55496
55497
55499
55512
55704
62572
62725
65248
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-05 16:49
1897 54175
54687
55470
55476
55504
58360
61609
62616
63654
67489
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-05 16:49
1898 55519
55527
55531
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-05 16:49
1899 55532
55533
55537
55539
55548
55674
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff issued by UBS AG 0.04 PDF 2026-02-05 16:49
1900 1461 Monthly Returns Monthly Returns - Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:49
1901 2595 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 16:49
1902 54953
54954
54955
54960
59855
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Residual Value of Callable Bull/Bear Contracts issued by CITIC Securities Brokerage (HK) Limited 0.04 PDF 2026-02-05 16:48
1903 8026 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 16:48
1904 56209
56211
Debt and Structured Products Expiry Announcement - CBBC Notice of Occurrence of Mandatory Call Event & Early Expiry in relation to stock code 56209, 56211 issued by DBS BANK LTD. 0.11 PDF 2026-02-05 16:48
1905 83 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:48
1906 1066 Next Day Disclosure Returns Share Buyback NEXT DAY DISCLOSURE RETURN - SHARE BUYBACK 0.09 PDF 2026-02-05 16:48
1907 56178
56197
56204
56207
56217
56244
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 56178, 56197, 56204, 56207, 56217, 56244 issued by DBS BANK LTD. 0.04 PDF 2026-02-05 16:47
1908 1940 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 16:47
1909 3689 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 January 2026 0.07 PDF 2026-02-05 16:47
1910 1098 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.06 PDF 2026-02-05 16:47
1911 2321 Announcements and Notices Change in Registered Address or Office, Registered Place of Business in HK or Agent for Service of Process in HK CHANGE OF ADDRESS OF THE REGISTERED OFFICE, PRINCIPAL SHARE REGISTRAR AND TRANSFER OFFICE IN THE CAYMAN ISLANDS 0.29 PDF 2026-02-05 16:47
1912 905 Documents on Display Documents on Display 0.00 2026-02-05 16:47
1913 2108 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:46
1914 6908 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:46
1915 1216 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:46
1916 538 Monthly Returns Monthly Return on Movements in Securities for the month ended 31/1/2026 0.07 PDF 2026-02-05 16:46
1917 60766 Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Notice of Valuation of Mandatory Call Payoff in relation to stock code 60766 issued by DBS BANK LTD. 0.04 PDF 2026-02-05 16:46
1918 1498 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:46
1919 1817 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.06 PDF 2026-02-05 16:46
1920 1318 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:46
1921 917 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended January 31, 2026 0.07 PDF 2026-02-05 16:45
1922 610 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31st January, 2026 0.06 PDF 2026-02-05 16:45
1923 54525
55551
56198
56206
64130
Debt and Structured Products Expiry Announcement - CBBC,
Residual Value (Announcement Form) - CBBC
Morgan Stanley Asia Products Limited - Notice of Valuation of Residual Value of Callable Bull/Bear Contracts 0.04 PDF 2026-02-05 16:45
1924 905 Circulars Other NOTIFICATION LETTER TO NON-REGISTERED HOLDER AND REQUEST FORM 0.22 PDF 2026-02-05 16:45
1925 8035 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:45
1926 2479 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:45
1927 1461 Announcements and Notices Inside Information,
Profit Warning
POSITIVE PROFIT ALERT 0.05 PDF 2026-02-05 16:45
1928 2408 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:45
1929 1551 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:45
1930 55127
55173
Debt and Structured Products Expiry Announcement - CBBC Notice of Mandatory Call Event and Early Expiration of Callable Bull/Bear Contracts issued by Morgan Stanley Asia Products Limited 0.18 PDF 2026-02-05 16:44
1931 52 Monthly Returns Monthly Return of the Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:44
1932 8037 Announcements and Notices Results of EGM/SGM POLL RESULTS OF THE SPECIAL GENERAL MEETING HELD ON 5 FEBRUARY 2026 0.09 PDF 2026-02-05 16:44
1933 2652 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:43
1934 2145 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 16:43
1935 905 Circulars Other NOTIFICATION LETTER TO REGISTERED SHAREHOLDER AND REQUEST FORM 0.20 PDF 2026-02-05 16:43
1936 3996 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:43
1937 25773
25774
25775
25777
25778
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by The Hongkong and Shanghai Banking Corporation Limited - 25773, 25774, 25775, 25777, 25778 0.13 PDF 2026-02-05 16:43
1938 2666 Monthly Returns MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTHS ENDED 31 JANUARY 2026 0.07 PDF 2026-02-05 16:43
1939 1348 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:43
1940 1205 Circulars Other Notification Letter to Non-registered Holders and Request Form 0.23 PDF 2026-02-05 16:43
1941 9922 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:42
1942 1205 Circulars Other Notification Letter to Registered Shareholders and Reply Form 0.23 PDF 2026-02-05 16:42
1943 3887 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:42
1944 2508 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:42
1945 9909 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 January 2026 0.06 PDF 2026-02-05 16:41
1946 905 Proxy Forms FORM OF PROXY 0.08 PDF 2026-02-05 16:41
1947 1622 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-05 16:41
1948 6600 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:41
1949 2670 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended January 31, 2026 0.07 PDF 2026-02-05 16:41
1950 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-05 16:41
1951 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-05 16:41
1952 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-05 16:41
1953 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-05 16:41
1954 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-05 16:41
1955 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-05 16:41
1956 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-05 16:41
1957 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-05 16:41
1958 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-05 16:41
1959 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-05 16:41
1960 2688 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-05 16:41
1961 2696 Announcements and Notices Inside Information INSIDE INFORMATION ANNOUNCEMENT - LICENSE AGREEMENT WITH EISAI IN RESPECT OF HANSIZHUANG 0.04 PDF 2026-02-05 16:41
1962 25708 Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by The Hongkong and Shanghai Banking Corporation Limited - 25708 0.12 PDF 2026-02-05 16:40
1963 2821 Monthly Returns Monthly Return on Movements in Units for the month ended 31 Jan 2026 0.06 PDF 2026-02-05 16:40
1964 1528 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 16:40
1965 2552 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities 0.07 PDF 2026-02-05 16:40
1966 700
80700
Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:40
1967 1205 Circulars Major Transaction MAJOR TRANSACTION DISPOSAL OF EQUITY INTEREST IN ALCOA 0.26 PDF 2026-02-05 16:40
1968 3991 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:40
1969 2429 Monthly Returns Monthly Return of Equity Issuers on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:40
1970 1310 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:40
1971 1164 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:40
1972 2192 Monthly Returns (Revised) Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:39
1973 16
80016
Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:39
1974 9666 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:39
1975 12 Monthly Returns Monthly Return for the month ended 31/01/2026 0.07 PDF 2026-02-05 16:39
1976 3378 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 16:39
1977 905 Announcements and Notices Closure of Books or Change of Book Closure Period,
Notice of EGM/SGM
NOTICE OF SPECIAL GENERAL MEETING 0.09 PDF 2026-02-05 16:39
1978 1497 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:39
1979 1952 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:39
1980 9995 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:38
1981 2420 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:38
1982 3395 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 January 2026 0.07 PDF 2026-02-05 16:38
1983 3669 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:38
1984 2216 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:37
1985 6628 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:37
1986 6128 Announcements and Notices List of Directors and their Role and Function LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION 0.28 PDF 2026-02-05 16:37
1987 933 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:37
1988 2022 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.07 PDF 2026-02-05 16:37
1989 97 Monthly Returns Monthly Return for the month ended 31/01/2026 0.06 PDF 2026-02-05 16:37
1990 25716
25717
25718
25719
25721
Debt and Structured Products Launch Announcement - DW,
Supplemental Listing Document - DW
Launch Announcement and Supplemental Listing Document for Warrants issued by Huatai Financial Holdings (Hong Kong) Limited 0.33 PDF 2026-02-05 16:37
1991 6666 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:37
1992 1428 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.08 PDF 2026-02-05 16:37
1993 1428 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.07 PDF 2026-02-05 16:37
1994 1428 Takeovers Code dealing disclosures Disclosure of Dealings under Rule 22 of the Takeovers Code 0.06 PDF 2026-02-05 16:37
1995 2215 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:37
1996 1351 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:37
1997 2126 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.07 PDF 2026-02-05 16:36
1998 2507 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 31 January 2026 0.06 PDF 2026-02-05 16:36
1999 2778
40253
Monthly Returns MONTHLY RETURN FOR COLLECTIVE INVESTMENT SCHEME LISTED UNDER CHAPTER 20 OF THE EXCHANGE LISTING RULES (OTHER THAN LISTED OPEN-ENDED COLLECTIVE INVESTMENT SCHEME) ON MOVEMENTS IN UNITS 0.06 PDF 2026-02-05 16:36
2000 2551 Monthly Returns Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 January 2026 0.06 PDF 2026-02-05 16:36
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