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BRIGHT SMART SECURITIES & COMMODITIES GROUP LTD. (1428)

BRIGHT SMART (1428)

HK$N/A

- (-)

Prev. Close is the most recent non-zero closing value or settlement price.PREV. CLOSE
HK$13.200
Open price is the first traded price of the day. The opening price is reported after 09:20:00 HKT.OPEN
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TURNOVER
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VOLUME
-
MKT CAP
HK$22.40B
LOT SIZE
2,000
BID
-
ASK
-
EPS
HK$0.3639
P/E
36.27x
DIV YIELD
-
INTRA-DAY 52W
High - HK$17.680
Low - HK$1.450
Information is available after the market opens and is delayed by at least 15 minutes.
Updated: 13 Aug 2025
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Hourly
Created with Highstock 6.2.0No Data AvailableNaN10:0011:0012:0013:0014:0015:0016:0013.18013.19013.20013.21013.220Prev. Close
13.200
All charts use the last traded price or closing price.

COMPANY PROFILE

Bright Smart Securities & Commodities Group Ltd. is an investment holding company principally engaged in the provision of financial services. The Company operates through three business segments. The Securities Broking segment is engaged in the provision of broking services in securities traded in Hong Kong and selected overseas markets, as well as margin financing services to broking clients. The Commodities and Futures Broking segment is engaged in the provision of broking services in commodities and futures contracts traded in Hong Kong and overseas markets. The Bullion Trading segment is engaged in the provision of trading services in bullion contracts traded in overseas markets. *
Please click to see notes of Issued Shares.Issued Shares (excluding treasury shares) 1,697,296,308 (as at 31 Jul 2025)
Industry Financials - Other Financials - Securities & Brokerage Industry Classification (HSIC) is provided by Hang Seng Indexes Company Limited. Please see the . (HSIC)
Listing Date 25 Aug 2010
Financial Year Ends 31 Mar 2025
Chairman Yip Mow Lum
Principal Office 10th Floor
Wing On House
71 Des Voeux Road Central
Hong Kong
Place of Incorporation Cayman Islands
Listing Category Primary Listing

a. Updating time-lag
The number of issued shares / issued units presented is generally updated within 7 days after the Monthly Returns and Next Day Disclosure Returns published by the listed issuers on the HKEXnews website. Hence, the information presented here may not be the most up-to-date information submitted by the listed issuers as required under the Listing Rules.
b. Rights issues or bonus issues
The number of issued shares / issued units presented here will be adjusted with effect from the ex-date in the event of announced rights issues or announced bonus issues. In this case, both the number of issued shares / issued units before and after the adjustment will be presented.
c. Share splits or share consolidations
The number of issued shares / issued units presented here will be adjusted on the effective date in the event of share splits or share consolidations.
d. Conversion of convertible notes into shares
If the change of the number of issued shares / issued units is due to conversion of convertible bonds, the number of issued shares / issued units presented here may be updated based on the related company announcement.
Updated: 13 Aug 2025 19:05 HKT
* Company profile is provided by Refinitiv.

ENTITLEMENT

Date Announced Ex-Date Details Financial Year End Book Close Date Payment date may be indicative only.Payment Date
27 Jun 2025-No Dividend for the period ended
2025/03/31
31 Mar 2025--
26 Nov 2024-No Dividend for the period ended
2024/09/30
31 Mar 2025--
24 Jun 202421 Aug 2024Fin Div HKD 0.3331 Mar 202423 Aug 2024 - 26 Aug 202409 Sep 2024
27 Nov 2023-No Dividend for the period ended
2023/09/30
31 Mar 2024--
26 Jun 202323 Aug 2023Fin Div HKD 0.5031 Mar 202325 Aug 2023 - 28 Aug 202311 Sep 2023
LOAD MORE
Updated: 14 Aug 2025 01:15 HKT
Dividend details are sourced from Announcement Forms published on HKEXnews