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股份發行人的證券變動月報表(截至2024年8月31日)

Monthly Return of Equity Issuer on Movements in Securities (for the month ended 31 August 2024)

HKEX ·  Sep 3 18:26

Summary by Moomoo AI

聯想集團有限公司於2024年9月3日向香港交易及結算所有限公司提交了最新的證券變動月報表,涵蓋截至2024年8月31日的情況。報告顯示,聯想集團在該月份內沒有增減其已發行股份或庫存股份,總數維持在12,404,659,302股。此外,公司於2022年8月26日發行的2.50%可換股債券,將於2029年到期,總額為675,000,000美元,對應的可換股票據的證券代號為05440,轉換價為每股HKD 9.06。該可換股債券可能導致最多583,994,205新股的發行。報告中未提及有關香港預託證券的資料,且沒有其他股份或庫存股份的變動。
聯想集團有限公司於2024年9月3日向香港交易及結算所有限公司提交了最新的證券變動月報表,涵蓋截至2024年8月31日的情況。報告顯示,聯想集團在該月份內沒有增減其已發行股份或庫存股份,總數維持在12,404,659,302股。此外,公司於2022年8月26日發行的2.50%可換股債券,將於2029年到期,總額為675,000,000美元,對應的可換股票據的證券代號為05440,轉換價為每股HKD 9.06。該可換股債券可能導致最多583,994,205新股的發行。報告中未提及有關香港預託證券的資料,且沒有其他股份或庫存股份的變動。
On September 3, 2024, Lenovo Group Limited submitted its latest monthly securities variation report to Hong Kong Exchanges and Clearing Limited, covering the period up to August 31, 2024. The report shows that Lenovo Group did not increase or decrease its issued shares or treasury shares during that month, with a total of 12,404,659,302 shares. In addition, the 2.50% convertible bonds issued by the company on August 26, 2022, will mature in 2029, with a total amount of 675,000,000 US dollars and a conversion price of HKD 9.06 per share. The corresponding stock code for the convertible bonds is 05440, which may result in the issuance of up to 583,994,205 new shares. The report does not mention any information regarding Hong Kong depository securities, and there are no other changes in shares or treasury shares.
On September 3, 2024, Lenovo Group Limited submitted its latest monthly securities variation report to Hong Kong Exchanges and Clearing Limited, covering the period up to August 31, 2024. The report shows that Lenovo Group did not increase or decrease its issued shares or treasury shares during that month, with a total of 12,404,659,302 shares. In addition, the 2.50% convertible bonds issued by the company on August 26, 2022, will mature in 2029, with a total amount of 675,000,000 US dollars and a conversion price of HKD 9.06 per share. The corresponding stock code for the convertible bonds is 05440, which may result in the issuance of up to 583,994,205 new shares. The report does not mention any information regarding Hong Kong depository securities, and there are no other changes in shares or treasury shares.
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