announcements & circulars
year
month
terms of reference of the audit committee
next day disclosure return
settlement announcement - partial repurchase of the outstanding hk$1,879,000,000 zero coupon guaranteed convertible bonds due 2019 (isin: xs1763165518; common code: 176316551)
issuance of us$400,000,000 7.625% senior notes due 2021
results announcement - partial repurchase of the outstanding hk$1,879,000,000 zero coupon guaranteed convertible bonds due 2019 (isin: xs1763165518; common code: 176316551)
repurchase of the outstanding hk$1,879,000,000 zero coupon guaranteed convertible bonds due 2019 pursuant to a reverse bookbuilding modified dutch auction process
unaudited operating statistics for november 2018
monthly return of equity issuer on movements in securities for the month ended 30th november, 2018
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