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百融雲-W:截至2024年4月30日止股份發行人的證券變動月報表

BAIRONG-W: Monthly Return of Equity Issuer on Movements in Securities for the Month Ended 30 April 2024

Hong Kong Stock Exchange ·  May 6 19:56
Summary by Futu AI
百融雲創於2024年5月6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4月30日的情況。報告顯示,公司名下的不同投票權架構公司普通股股份類別B(證券代號06608)的法定/註冊股本和已發行股份在本月內均無變動,結存數量維持在2,000,000,000股,面值為0.00002 USD,法定/註冊股本為40,000 USD。同時,股份類別A的結存數量亦維持在500,000,000股,面值為0.00002 USD,法定/註冊股本為10,000 USD。此外,根據股份期權計劃,本月內有840,071股股份類別B的股份期權被行使,為公司帶來了43,742.8人民幣的資金。報告亦確認,所有新發行的證券均已獲得董事會的正式授權,並符合香港聯合交易所有限公司證券上市規則的相關要求。
百融雲創於2024年5月6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4月30日的情況。報告顯示,公司名下的不同投票權架構公司普通股股份類別B(證券代號06608)的法定/註冊股本和已發行股份在本月內均無變動,結存數量維持在2,000,000,000股,面值為0.00002 USD,法定/註冊股本為40,000 USD。同時,股份類別A的結存數量亦維持在500,000,000股,面值為0.00002 USD,法定/註冊股本為10,000 USD。此外,根據股份期權計劃,本月內有840,071股股份類別B的股份期權被行使,為公司帶來了43,742.8人民幣的資金。報告亦確認,所有新發行的證券均已獲得董事會的正式授權,並符合香港聯合交易所有限公司證券上市規則的相關要求。
PERONGYUNCHO SUBMITTED ITS LATEST MONTHLY SECURITIES CHANGE REPORT TO HONG KONG TRADING AND SETTLEMENT LIMITED ON 6 MAY 2024, COVERING THE SITUATION AS OF 30 APRIL 2024. The report shows that the regular/registered capital and issued shares of the ordinary shares class B (stock code 06608) of the different voting structure companies under the company's name remained unchanged during the month. The deposit amount remained at 2,000,000,000 shares with a face value of 0.00002 USD and the regular/registered share capital of 40,000 USD. At the same time, the deposit amount of Class A shares is maintained at 500,000,000 shares with a face value of 0.00002 USD and a regulated/registered share capital of 10,000 USD. In addition, under the share option plan, 840,071 share class B share options were exercised during the month, which generated capital of RMB 43,742.8 for the company. The report also confirms that all newly issued securities have been formally authorised by the Board of Directors and comply with the relevant requirements of the Securities Listing Rules of the Hong Kong Stock Exchange Limited.
PERONGYUNCHO SUBMITTED ITS LATEST MONTHLY SECURITIES CHANGE REPORT TO HONG KONG TRADING AND SETTLEMENT LIMITED ON 6 MAY 2024, COVERING THE SITUATION AS OF 30 APRIL 2024. The report shows that the regular/registered capital and issued shares of the ordinary shares class B (stock code 06608) of the different voting structure companies under the company's name remained unchanged during the month. The deposit amount remained at 2,000,000,000 shares with a face value of 0.00002 USD and the regular/registered share capital of 40,000 USD. At the same time, the deposit amount of Class A shares is maintained at 500,000,000 shares with a face value of 0.00002 USD and a regulated/registered share capital of 10,000 USD. In addition, under the share option plan, 840,071 share class B share options were exercised during the month, which generated capital of RMB 43,742.8 for the company. The report also confirms that all newly issued securities have been formally authorised by the Board of Directors and comply with the relevant requirements of the Securities Listing Rules of the Hong Kong Stock Exchange Limited.

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