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南南資源:截至2024年8月31日止月份之股份發行人的證券變動月報表

NAN NAN RES: Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 August 2024

HKEX ·  Sep 3 10:26

Summary by Futu AI

南南資源實業有限公司(南南資源)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,報告截至2024年8月31日的公司股本變動情況。報告顯示,南南資源的法定/註冊股本及已發行股份(不包括庫存股份)數目在該月份內未發生變動,維持在5,000,000,000股,每股面值0.1港元,總股本為500,000,000港元。此外,公司於2008年3月14日發行的零息可換股債券,於2022年12月9日獲批准延期36個月,並無本月內變動,仍維持在200,000,000港元的已發行總額。公司確認所有證券發行或庫存股份出售或轉讓均已獲董事會授權批准,並遵守所有適用的上市規則、法律及其他監管規定。
南南資源實業有限公司(南南資源)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,報告截至2024年8月31日的公司股本變動情況。報告顯示,南南資源的法定/註冊股本及已發行股份(不包括庫存股份)數目在該月份內未發生變動,維持在5,000,000,000股,每股面值0.1港元,總股本為500,000,000港元。此外,公司於2008年3月14日發行的零息可換股債券,於2022年12月9日獲批准延期36個月,並無本月內變動,仍維持在200,000,000港元的已發行總額。公司確認所有證券發行或庫存股份出售或轉讓均已獲董事會授權批准,並遵守所有適用的上市規則、法律及其他監管規定。
Nan Nan Res, Ltd. (Nan Nan Res) submitted its latest monthly securities change report to the Hong Kong Exchanges and Clearing Limited on September 3, 2024, reporting the changes in the company's share capital as of August 31, 2024. The report shows that Nan Nan Res' statutory/registered share capital and issued shares (excluding treasury shares) remained unchanged during the month, at 5,000,000,000 shares with a par value of HKD 0.1 per share, resulting in a total share capital of HKD 500,000,000. In addition, the zero-coupon convertible bonds issued by the company on March 14, 2008, were approved for a 36-month extension on December 9, 2022, with no changes in the current month, maintaining a total issued amount of HKD 200,000,000. The company confirms that all securities issuances or sales/transfers of treasury shares have been authorized by the board of directors and comply with all applicable listing rules, laws, and other regulatory requirements.
Nan Nan Res, Ltd. (Nan Nan Res) submitted its latest monthly securities change report to the Hong Kong Exchanges and Clearing Limited on September 3, 2024, reporting the changes in the company's share capital as of August 31, 2024. The report shows that Nan Nan Res' statutory/registered share capital and issued shares (excluding treasury shares) remained unchanged during the month, at 5,000,000,000 shares with a par value of HKD 0.1 per share, resulting in a total share capital of HKD 500,000,000. In addition, the zero-coupon convertible bonds issued by the company on March 14, 2008, were approved for a 36-month extension on December 9, 2022, with no changes in the current month, maintaining a total issued amount of HKD 200,000,000. The company confirms that all securities issuances or sales/transfers of treasury shares have been authorized by the board of directors and comply with all applicable listing rules, laws, and other regulatory requirements.

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