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18 May 2011
(i) Voting Results of the Annual General Meeting Held on 18 May 2011; (ii) Payment of Final Dividend of HK$0.026 Per Ordinary Share on 30 June 2011; and (iii) Adjustments to Conversion Price of the Bonds and Exercise Price of the Warrants
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11 May 2011
Voluntary Announcement Sales Volume in April 2011
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03 May 2011
Monthly Return for the Month Ended 30/04/2011
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12 Apr 2011
Voluntary Announcement Sales Volume in March 2011
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