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PPS INT'L (8201 )
Company/Securities Name: PPS International (Holdings) Ltd.
Principal Activities: Provision of environmental services including cleaning services, pest management services, and waste management and recycling services; airline catering support services; and money lending services. 
Chairman:  
Principal Office: 24/F., SUP Tower
75-83 King's Road
North Point
Hong Kong 
Place Incorporated: Cayman Islands  
Listing Category: Primary Listing  
Industry Classification: Consumer Services - Support Services - Other Support Services (HSIC*)  
Registrar: Tricor Investor Services Ltd. 
Listing Date : 17/6/2013 
Trading Currency: HKD 
Authorised Shares: 10,000,000,000  
Issued Shares:
(Click here for important notes)
270,000,000 
(as at 30/9/2017)  
Par Value: HKD 0.0100  
Board Lot: 20000 
Market Capitalisation: HKD 87,750,000  
Financial Data (Extracted from Company's Final Results)
Financial Year End Date: 30/6/2017 
Net Asset Value: HKD 151,502,000 
Net Profit (Loss): (HKD 13,386,000) 
Earnings per Share: N/A 
Last Updated: 19/10/2017  
   
 

Remarks : Due to reporting and updating time-lag, users should exercise caution when using the data presented in the Investment Service Centre.

* Industry Classification (HSIC) is provided by Hang Seng Indexes Company Limited. Please see the Disclaimer and the Important Notes.

 
Entitlement
Date Announced Ex-date Details Financial year end B/C date Payment date*
26/09/2017   No Fin Div
 
30/06/2017      
20/06/2017   Consolidation 10 into 1
w.e.f. 2017/07/27
 
     
11/05/2017   No 3rd qt Div
 
30/06/2017      
09/02/2017   No Int Div
 
30/06/2017      
21/12/2016 11/01/2017   Rts 1 for 2 @HKD 0.054
payable by 2017/02/07
 
  13/01/2017 - 18/01/2017    
09/11/2016   No 1st qt Div
 
30/06/2017      
26/09/2016   No Fin Div
 
30/06/2016      
10/05/2016   No 3rd qt Div
 
30/06/2016      
05/02/2016   No Int Div
 
30/06/2016      
13/11/2015   No 1st qt Div
 
30/06/2016      
06/11/2015 18/11/2015   Open offer 1 for 2 @HKD 0.013
payable by 2015/12/08
 
  20/11/2015 - 23/11/2015    
23/10/2015   Consolidation 10 into 1
w.e.f. 2016/03/15
 
     
15/10/2015   No Fin Div
 
30/06/2015      
12/05/2015   No 3rd qt Div
 
30/06/2015      
10/02/2015   No Int Div
 
30/06/2015      
11/11/2014   No 1st qt Div
 
30/06/2015      
29/09/2014   Split 1 into 10
w.e.f. 2014/11/17
 
     
25/09/2014   No Fin Div
 
30/06/2014      
08/05/2014   No 3rd qt Div
 
30/06/2014      
10/02/2014   No Int Div
 
30/06/2014      
02/12/2013   Split 1 into 10
w.e.f. 2013/12/23
 
     
07/11/2013   No 1st qt Div
 
30/06/2014      
24/09/2013 05/11/2013   Fin Div HKD 0.02
 
30/06/2013   07/11/2013 - 11/11/2013   25/11/2013  
  * Payment date may be indicative only.

Entitlement information is extracted from issuer announcements published on the HKEXnews website. There may be updating time-lag. For latest updates, please click here to view recent announcements.