announcements & circulars
year
month
facility letter with specific performance covenants
unaudited operating statistics for june 2018
unaudited operating statistics for may 2018
scrip dividend scheme in relation to the final dividend for the year ended 31 december 2017
scrip dividend scheme in relation to the final dividend for the year ended 31 december 2017 - election form
monthly return of equity issuer on movements in securities for the month ended 31st may, 2018
adjustment to the conversion price of hk$2,790 million zero coupon guaranteed convertible bonds due 2019
next day disclosure return
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