National Investments Fund Limited: O

Exchange Code Listed Last trade Delisted
HK Main 01227  2002-09-27  2021-02-08  2022-09-20

Event details

Please report errors or missing data.

Announced:2013-07-08
Year-end:
Type:Rights issue shares
Currency:HKD
Price or amount: 0.17
New1
Old2
Last cum date2013-08-01
Last cum price0.34
Ex-entitlement date:2013-08-02
Book closed from:2013-08-06
Book closed to:2013-08-12
Adjustment factor to prior prices:0.833333
Acceptance date:2013-08-27
Distribution/delivery date: 2013-09-04
See CCASS changes

Sign up for our free newsletter

Recommend Webb-site to a friend

Copyright & disclaimer, Privacy policy

Back to top