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Announcements
& Notices
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Share Capital
Notices - Replacement of
Lost Share Certificates
10
October, 2024
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
October, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.09.2024
30
September, 2024
CONTINUING CONNECTED TRANSACTIONS HOTEL MANAGEMENT CONTRACTS AND TRADEMARK LICENSE AGREEMENTS IN RELATION TO HOTELS IN MALAYSIA
27
September, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
26
September, 2024
CHANGE OF HONG KONG SHARE REGISTRAR
23
September, 2024
Settlement of Consent Solicitation - U.S.$360,000,000 Senior Guaranteed Perpetual Capital Notes issued by FEC Finance Limited and unconditionally and irrevocably guaranteed by Far East Consortium International Limited
20
September, 2024
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
19
September, 2024
FORM OF ELECTION
17
September, 2024
Results of Consent Solicitation - U.S.$360,000,000 Senior Guaranteed Perpetual Capital Notes issued by FEC Finance Limited and unconditionally and irrevocably guaranteed by Far East Consortium International Limited
16
September, 2024
REQUEST FORM
16
September, 2024
LETTER TO THE NON-REGISTERED HOLDERS
16
September, 2024
CHANGE REQUEST FORM
16
September, 2024
LETTER TO THE SHAREHOLDERS
16
September, 2024
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2024
13
September, 2024
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
09
September, 2024
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2024 (UPDATED)
09
September, 2024
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2024
05
September, 2024
COMPLETION OF THE DISPOSAL OF PROPERTIES IN THE UNITED KINGDOM
02
September, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.08.2024
26
August, 2024
Launch of Consent Solicitation - U.S.$360,000,000 Senior Guaranteed Perpetual Capital Notes issued by FEC Finance Limited and unconditionally and irrevocably guaranteed by Far East Consortium International Limited.
23
August, 2024
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 23 AUGUST 2024
16
August, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
16
August, 2024
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
August, 2024
Publication of Offering Circular - U.S.$2,000,000,000 Guaranteed Medium Term Note Programme issued by FEC Finance Limited and unconditionally and irrevocably guaranteed by Far East Consortium International Limited.
09
August, 2024
Notice of Listing on the Stock Exchange of Hong Kong Limited - U.S.$2,000,000,000 Guaranteed Medium Term Note Programme issued by FEC Finance Limited and unconditionally and irrevocably guaranteed by Far East Consortium International Limited.
08
August, 2024
CONTINUING CONNECTED TRANSACTION RENEWAL OF HOTEL MANAGEMENT CONTRACT
01
August, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.07.2024
26
July, 2024
REQUEST FORM
26
July, 2024
LETTER TO THE NON-REGISTERED HOLDERS
26
July, 2024
CHANGE REQUEST FORM
26
July, 2024
LETTER TO THE SHAREHOLDERS
26
July, 2024
PROXY FORM FOR THE ANNUAL GENERAL MEETING TO BE HELD ON FRIDAY, 23 AUGUST 2024 AT 11:00 A.M.
26
July, 2024
NOTICE OF ANNUAL GENERAL MEETING
26
July, 2024
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
05
July, 2024
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
July, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.06.2024
27
June, 2024
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2024
27
June, 2024
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2024
17
June, 2024
DATE OF BOARD MEETING
03
June, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.05.2024
21
May, 2024
SUPPLEMENTAL ANNOUNCEMENT IN RELATION TO DISCLOSEABLE TRANSACTION INVOLVING DISPOSAL OF PROPERTIES IN THE UNITED KINGDOM
15
May, 2024
DISCLOSEABLE TRANSACTION INVOLVING DISPOSAL OF PROPERTIES IN THE UNITED KINGDOM
03
May, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
May, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.04.2024
22
April, 2024
UPDATE ON THE SPIN-OFF AND SEPARATE LISTING OF PALASINO HOLDINGS LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED PARTIAL EXERCISE OF THE OVER-ALLOTMENT OPTION
02
April, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.03.2024
28
March, 2024
COMPLETION OF THE DISPOSAL OF THE SALE SHARE AND SALE LOAN
26
March, 2024
UPDATE ON THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF PALASINO HOLDINGS LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED LISTING OF PALASINO HOLDINGS LIMITED AND COMMENCEMENT OF DEALINGS IN THE PALASINO SHARES
25
March, 2024
UPDATE ON THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF PALASINO HOLDINGS LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED GLOBAL OFFERING
22
March, 2024
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
22
March, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
18
March, 2024
UPDATE ON THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF PALASINO HOLDINGS LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED PUBLICATION OF THE PROSPECTUS ISSUED BY PALASINO HOLDINGS LIMITED AND EXPECTED SIZE OF THE GLOBAL OFFERING AND OFFER PRICE DISCLOSEABLE TRANSACTION
15
March, 2024
UPDATE ON THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF PALASINO HOLDINGS LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED BASIS OF ASSURED ENTITLEMENT OF QUALIFYING SHAREHOLDERS IN THE PREFERENTIAL OFFERING
14
March, 2024
UPDATE ON THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF PALASINO HOLDINGS LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED POST HEARING INFORMATION PACK
06
March, 2024
CHANGE IN DIRECTOR'S INFORMATION
01
March, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 29.02.2024
01
March, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
23
February, 2024
UPDATE ON THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF PALASINO HOLDINGS LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED RECORD DATE FOR ASSURED ENTITLEMENT AND CLOSURE OF REGISTER OF MEMBERS
16
February, 2024
NEXT DAY DISCLOSURE RETURN
09
February, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
09
February, 2024
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
February, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.01.2024
26
January, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
19
January, 2024
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
19
January, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
12
January, 2024
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
10
January, 2024
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2023
03
January, 2024
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2023 (UPDATED)
03
January, 2024
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2023
02
January, 2024
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2023
01
January, 2024
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
29
December, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
29
December, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
21
December, 2023
REQUEST FORM
21
December, 2023
LETTER TO THE NON-REGISTERED HOLDERS
21
December, 2023
CHANGE REQUEST FORM
21
December, 2023
LETTER TO THE SHAREHOLDERS
15
December, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
December, 2023
MAJOR TRANSACTION IN RELATION TO THE DISPOSAL IN KAI TAK
08
December, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
06
December, 2023
APPOINTMENTS OF JOINT MANAGING DIRECTORS, APPOINTMENT OF EXECUTIVE DIRECTOR AND REDESIGNATION OF ROLE OF CURRENT MANAGING DIRECTOR
04
December, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2023
01
December, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
29
November, 2023
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2023
29
November, 2023
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2023
17
November, 2023
DATE OF BOARD MEETING
17
November, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
November, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2023
24
October, 2023
NEXT DAY DISCLOSURE RETURN
03
October, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.09.2023
29
September, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
27
September, 2023
PROPOSED SPIN-OFF AND SEPARATE LISTING OF PALASINO HOLDINGS LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED
15
September, 2023
REPLY FORM
15
September, 2023
LETTER TO THE SHAREHOLDERS
15
September, 2023
ELECTION OF MEANS OF RECEIPT AND LANGUAGE OF CORPORATE COMMUNICATIONS
15
September, 2023
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2023
11
September, 2023
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2023 (UPDATED)
11
September, 2023
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2023
08
September, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
September, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.08.2023
30
August, 2023
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 30 AUGUST 2023
24
August, 2023
CHANGE IN DIRECTOR'S INFORMATION
18
August, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
August, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.07.2023
28
July, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
25
July, 2023
REQUEST FORM
25
July, 2023
LETTER TO THE NON-REGISTERED HOLDERS
25
July, 2023
CHANGE REQUEST FORM
25
July, 2023
LETTER TO THE SHAREHOLDERS
25
July, 2023
PROXY FORM FOR THE ANNUAL GENERAL MEETING TO BE HELD ON WEDNESDAY, 30 AUGUST 2023 AT 11:30 A.M.
25
July, 2023
NOTICE OF ANNUAL GENERAL MEETING
25
July, 2023
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
21
July, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
July, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.06.2023
29
June, 2023
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2023
29
June, 2023
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2023
26
June, 2023
CONNECTED TRANSACTIONS IN RELATION TO THE SETTLEMENT DEEDS FOR THE LEGAL PROCEEDINGS IN AUSTRALIA
15
June, 2023
DATE OF BOARD MEETING
02
June, 2023
INSIDE INFORMATION IN RELATION TO THE POTENTIAL SPIN-OFF AND SEPARATE LISTING OF THE CZECH GAMING BUSINESS AND GERMAN AND AUSTRIAN HOTEL BUSINESS OF THE GROUP
02
June, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
June, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.05.2023
12
May, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
May, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.04.2023
21
April, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
21
April, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
06
April, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
April, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.03.2023
31
March, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
31
March, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
24
March, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
20
March, 2023
VOLUNTARY ANNOUNCEMENT COMPLETION OF SUBSCRIPTION OF SHARES OF A WHOLLY OWNED SUBSIDIARY OF THE COMPANY
10
March, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
March, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.02.2023
17
February, 2023
NEXT DAY DISCLOSURE RETURN
17
February, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
10
February, 2023
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
February, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.01.2023
20
January, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
13
January, 2023
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
10
January, 2023
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2022
04
January, 2023
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2022 (UPDATED)
04
January, 2023
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2022
03
January, 2023
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2022
02
January, 2023
TERMS OF REFERENCE OF NOMINATION COMMITTEE
02
January, 2023
TERMS OF REFERENCE OF REMUNERATION COMMITTEE
30
December, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
09
December, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
December, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
December, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
December, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2022
30
November, 2022
CHANGE OF REGISTERED OFFICE ADDRESS
28
November, 2022
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2022
28
November, 2022
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2022
18
November, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
16
November, 2022
DATE OF BOARD MEETING
11
November, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
November, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2022
28
October, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
24
October, 2022
NEXT DAY DISCLOSURE RETURN
21
October, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
21
October, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
14
October, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
07
October, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
05
October, 2022
COMPLETION OF THE REPURCHASE OF THE TARGET COMPANY BY THE SELLER PURSUANT TO THE SPA
03
October, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.09.2022
30
September, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
30
September, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
22
September, 2022
NEXT DAY DISCLOSURE RETURN
20
September, 2022
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2022
16
September, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
14
September, 2022
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2022 (UPDATED)
14
September, 2022
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2022
09
September, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
September, 2022
EXERCISE OF OPTION TO REPURCHASE THE TARGET COMPANY PURSUANT TO THE SPA
02
September, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
September, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
September, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.08.2022
30
August, 2022
AMENDED AND RESTATED MEMORANDUM AND ARTICLES OF ASSOCIATION
30
August, 2022
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
30
August, 2022
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 30 AUGUST 2022, RETIREMENT AND APPOINTMENT OF INDEPENDENT NON-EXECUTIVE DIRECTOR, CHANGE OF COMPOSITION OF BOARD COMMITTEES, ADOPTION OF A NEW SHARE OPTION SCHEME, AND ADOPTION OF THE AMENDED AND RESTATED MEMORANDUM AND ARTICLES OF ASSOCIATION
26
August, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
19
August, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
August, 2022
DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITION OF DEVELOPMENT RIGHT FOR THE LAND
04
August, 2022
PUBLICATION OF OFFERING CIRCULAR - US$2,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME OF FEC FINANCE LIMITED
03
August, 2022
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - US$2,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME OF FEC FINANCE LIMITED
01
August, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.07.2022
28
July, 2022
PARTIAL REPURCHASE AND CANCELLATION OF US$150,000,000 4.5 PER CENT. NOTES DUE 2023 (STOCK CODE: 5011)
28
July, 2022
BONUS ISSUE OF SHARES FOR THE YEAR ENDED 31 MARCH 2022 (UPDATED)
27
July, 2022
REQUEST FORM
27
July, 2022
LETTER TO THE NON-REGISTERED HOLDERS
27
July, 2022
CHANGE REQUEST FORM
27
July, 2022
LETTER TO THE SHAREHOLDERS
27
July, 2022
PROXY FORM FOR THE ANNUAL GENERAL MEETING TO BE HELD ON TUESDAY, 30 AUGUST 2022 AT 11:00 A.M.
27
July, 2022
NOTICE OF ANNUAL GENERAL MEETING
27
July, 2022
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES, BONUS ISSUE OF SHARES, ADOPTION OF A NEW SHARE OPTION SCHEME, AMENDMENTS TO THE MEMORANDUM AND ARTICLES OF ASSOCIATION AND NOTICE OF ANNUAL GENERAL MEETING
26
July, 2022
PROPOSED ADOPTION OF THE AMENDED AND RESTATED MEMORANDUM AND ARTICLES OF ASSOCIATION OF THE COMPANY
26
July, 2022
CHANGE OF ADDRESS OF HONG KONG SHARE REGISTRAR AND TRANSFER OFFICE
22
July, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
15
July, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
08
July, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
04
July, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.06.2022
30
June, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
28
June, 2022
BONUS ISSUE OF SHARES FOR THE YEAR ENDED 31 MARCH 2022
28
June, 2022
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2022
28
June, 2022
CONNECTED TRANSACTIONS IN RELATION TO THE GRANT OF PURCHASE RIGHTS
28
June, 2022
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2022
16
June, 2022
DATE OF BOARD MEETING
02
June, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
June, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.05.2022
20
May, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
May, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.04.2022
04
April, 2022
COMPLETION OF THE ACQUISITION OF THE TARGET COMPANY AND THE INTERCOMPANY LOAN
01
April, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.03.2022
25
March, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
18
March, 2022
MAJOR AND CONNECTED TRANSACTION IN RELATION TO FORMATION OF JOINT VENTURE FOR ACQUISITION OF PROPERTY IN KAI TAK
15
March, 2022
DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITION OF THE TARGET COMPANY AND THE INTERCOMPANY LOAN
01
March, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.02.2022
25
February, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
16
February, 2022
NEXT DAY DISCLOSURE RETURN
11
February, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
07
February, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.01.2022
04
February, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
24
January, 2022
MAJOR TRANSACTION IN RELATION TO THE DISPOSAL IN KAI TAK
14
January, 2022
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
14
January, 2022
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
10
January, 2022
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2021
04
January, 2022
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2021 (UPDATED)
04
January, 2022
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2021
03
January, 2022
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2021
30
December, 2021
FURTHER DELAY IN DESPATCH OF CIRCULAR AND GRANT OF WAIVER FROM STRICT COMPLIANCE WITH RULE 14.41(A) OF THE LISTING RULES
30
December, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
24
December, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
23
December, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
09
December, 2021
GRANT OF WAIVER FROM STRICT COMPLIANCE WITH RULE 14.41(A) OF THE LISTING RULES
06
December, 2021
MAJOR TRANSACTION IN RELATION TO THE DISPOSAL IN KAI TAK
03
December, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
December, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
December, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2021
30
November, 2021
(I) COMPLETION OF THE ACQUISITION OF PROPERTY IN KAI TAK (II) DELAY IN DESPATCH OF CIRCULAR AND GRANT OF WAIVER FROM STRICT COMPLIANCE WITH RULE 14.41(A) OF THE LISTING RULES
29
November, 2021
Cash Dividend with Scrip Option Announcement for Equity Issuer
29
November, 2021
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2021
25
November, 2021
MAJOR AND CONNECTED TRANSACTION IN RELATION TO FORMATION OF JOINT VENTURE FOR ACQUISITION OF PROPERTY IN KAI TAK
19
November, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
17
November, 2021
DATE OF BOARD MEETING
12
November, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
November, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2021
01
November, 2021
COMPLETION OF THE DISPOSAL OF THE PROPERTY AT 21 ANDERSON ROAD IN SINGAPORE
29
October, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
22
October, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
21
October, 2021
DISCLOSEABLE TRANSACTION IN RELATION TO AFFORDABLE HOUSING UNITS AT CONSORT PLACE, LONDON
15
October, 2021
NEXT DAY DISCLOSURE RETURN
08
October, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
October, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.09.2021
30
September, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
24
September, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
17
September, 2021
DISCLOSEABLE TRANSACTION INVOLVING DISPOSAL OF THE PROPERTY AT 21 ANDERSON ROAD IN SINGAPORE
17
September, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
08
September, 2021
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2021
03
September, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
September, 2021
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2021
02
September, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.08.2021
27
August, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
24
August, 2021
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 24 AUGUST 2021
20
August, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
16
August, 2021
SUPPLEMENTAL ANNOUNCEMENT IN RELATION TO DISCLOSEABLE TRANSACTION INVOLVING THE SETTLEMENT
13
August, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
August, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.07.2021
27
July, 2021
DISCLOSEABLE TRANSACTION INVOLVING THE SETTLEMENT
23
July, 2021
Proxy Form for the Annual General Meeting to be held on Tuesday, 24 August 2021 at 11:30 a.m.
23
July, 2021
NOTICE OF ANNUAL GENERAL MEETING
23
July, 2021
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
23
July, 2021
REQUEST FORM
23
July, 2021
LETTER TO THE NON-REGISTERED HOLDERS
23
July, 2021
CHANGE REQUEST FORM
23
July, 2021
LETTER TO THE SHAREHOLDERS
23
July, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
22
July, 2021
Publication of Offering Circular and Pricing Supplement - FEC Finance Limited - US$150,000,000 5.10 per cent. Notes due 2024 (to be consolidated and form a single series with the US$235,000,000 5.10 per cent. Notes due 2024 issued on 21 January 2021) under the US$2,000,000,000 Guaranteed Medium Term Note Programme unconditionally and irrevocably guaranteed by Far East Consortium International Limited
21
July, 2021
Notice of Listing on The Stock Exchange of Hong Kong Limited - FEC Finance Limited - US$150,000,000 5.10 per cent. Notes due 2024 (to be consolidated and form a single series with the US$235,000,000 5.10 per cent. Notes due 2024 issued on 21 January 2021) under the US$2,000,000,000 Guaranteed Medium Term Note Programme unconditionally and irrevocably guaranteed by Far East Consortium International Limited
13
July, 2021
PROPOSED ISSUE OF FURTHER U.S.$150,000,000 5.10 PER CENT. NOTES DUE 2024 (TO BE CONSOLIDATED AND FORM A SINGLE SERIES WITH THE U.S.$235,000,000 5.10 PER CENT. NOTES DUE 2024 ISSUED ON 21 JANUARY 2021) (STOCK CODE: 40556) ISSUED BY FEC FINANCE LIMITED UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED UNDER THE U.S.$2,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME
13
July, 2021
(1) PROPOSED ISSUE OF THE ADDITIONAL NOTES TO BE CONSOLIDATED AND FORM A SINGLE SERIES WITH US$235,000,000 5.10 PER CENT. NOTES DUE 2024 (STOCK CODE: 40556) (2) PROPOSED REPURCHASE OF US$300,000,000 3.75 PER CENT. NOTES DUE 2021 (STOCK CODE: 04310)
02
July, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.06.2021
30
June, 2021
COMPLETION OF THE SALE OF DORSETT CITY LONDON HOTEL AND ENTERING INTO THE HOTEL MANAGEMENT AGREEMENT
25
June, 2021
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2021
15
June, 2021
DISCLOSEABLE TRANSACTION INVOLVING DORSETT CITY LONDON HOTEL
11
June, 2021
DATE OF BOARD MEETING
04
June, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
June, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.05.2021
21
May, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
07
May, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
May, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.04.2021
23
April, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
23
April, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
12
April, 2021
CONNECTED TRANSACTION IN RELATION TO AN APARTMENT IN ASPEN AT CONSORT PLACE, A HIGH-RISE DEVELOPMENT IN CANARY WHARF, LONDON
09
April, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
April, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.03.2021
26
March, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
26
March, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
25
March, 2021
ANNOUNCEMENT PURSUANT TO RULE 13.18 OF THE LISTING RULES
12
March, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
March, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
March, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.02.2021
26
February, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
10
February, 2021
Notice of Intention to Issue New Share Certificate
05
February, 2021
NEXT DAY DISCLOSURE RETURN
05
February, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
February, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.01.2021
29
January, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
22
January, 2021
Publication of Offering Circular and Pricing Supplement - FEC Finance Limited - U.S.$235,000,000 5.10 per cent. Notes due 2024 under the U.S.$2,000,000,000 Guaranteed Medium Term Note Programme unconditionally and irrevocably guaranteed by Far East Consortium International Limited
22
January, 2021
(Re-published for debt holders information) Notice of Listing on The Stock Exchange of Hong Kong Limited - FEC Finance Limited - U.S.$235,000,000 5.10 per cent. Notes due 2024 under the U.S.$2,000,000,000 Guaranteed Medium Term Note Programme unconditionally and irrevocably guaranteed by Far East Consortium International Limited
21
January, 2021
Notice of Listing on The Stock Exchange of Hong Kong Limited - FEC Finance Limited - U.S.$235,000,000 5.10 per cent. Notes due 2024 under the U.S.$2,000,000,000 Guaranteed Medium Term Note Programme unconditionally and irrevocably guaranteed by Far East Consortium International Limited
18
January, 2021
PROPOSED ISSUE OF U.S.$235,000,000 5.10 PER CENT. NOTES DUE 2024 ISSUED BY FEC FINANCE LIMITED UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED UNDER THE U.S.$2,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME
15
January, 2021
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
08
January, 2021
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
January, 2021
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2020
04
January, 2021
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2020
28
December, 2020
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2020
24
December, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
24
December, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
11
December, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
December, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2020
27
November, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
26
November, 2020
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2020
16
November, 2020
DATE OF BOARD MEETING
13
November, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
06
November, 2020
NEXT DAY DISCLOSURE RETURN
03
November, 2020
Announcement of the settlement of the tender offer by the Company in respect of its U.S.$300,000,000 3.75 per cent. notes due 2021 (Stock Code: 04310) (ISIN: XS1485805532)
02
November, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2020
30
October, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
30
October, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
27
October, 2020
Announcement of the results of the tender offer by the Company to the Qualifying Holders of its U.S.$300,000,000 3.75 per cent. notes due 2021 (Stock Code: 04310) (ISIN: XS1485805532)
23
October, 2020
CHANGE IN DIRECTOR'S INFORMATION
22
October, 2020
Announcement of the Maximum Acceptance Amount in relation to the invitation by the Company to the Qualifying Holders of its U.S.$300,000,000 3.75 per cent. notes due 2021 (Stock Code: 04310) (ISIN: XS1485805532) to tender their Notes for purchase by the Company for cash
19
October, 2020
Invitation by the Company to the Qualifying Holders of its U.S.$300,000,000 3.75 per cent. notes due 2021 (Stock Code: 04310) (ISIN: XS1485805532) to tender their Notes for purchase by the Company for cash
16
October, 2020
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - US$2,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME ISSUED BY FEC FINANCE LIMITED
16
October, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
05
October, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.09.2020
30
September, 2020
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2020
28
September, 2020
CONNECTED TRANSACTION IN RELATION TO THE EXERCISE OF OPTIONS
24
September, 2020
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2020
18
September, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
15
September, 2020
(1) Repurchase of 3.75 per cent. notes due 2021 (Stock Code: 4310) (2) Repurchase of 4.5 per cent. notes due 2023 (Stock Code: 5011)
15
September, 2020
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 15 SEPTEMBER 2020
11
September, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
September, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
September, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.08.2020
26
August, 2020
CONNECTED TRANSACTION IN RELATION TO THE GRANT OF OPTIONS
03
August, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.07.2020
31
July, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
31
July, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
27
July, 2020
Proxy Form for the Annual General Meeting ("Meeting") to be held on Tuesday, 15 September 2020 at 10:30 a.m.
27
July, 2020
NOTICE OF ANNUAL GENERAL MEETING
27
July, 2020
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
27
July, 2020
REQUEST FORM
27
July, 2020
LETTER TO THE NON-REGISTERED HOLDERS
27
July, 2020
CHANGE REQUEST FORM
27
July, 2020
LETTER TO THE SHAREHOLDERS
10
July, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
July, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.06.2020
30
June, 2020
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2020
19
June, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
17
June, 2020
DATE OF BOARD MEETING
12
June, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
June, 2020
NEXT DAY DISCLOSURE RETURN
01
June, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.05.2020
29
May, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
22
May, 2020
NEXT DAY DISCLOSURE RETURN
21
May, 2020
NEXT DAY DISCLOSURE RETURN
20
May, 2020
NEXT DAY DISCLOSURE RETURN
19
May, 2020
NEXT DAY DISCLOSURE RETURN
18
May, 2020
NEXT DAY DISCLOSURE RETURN
15
May, 2020
NEXT DAY DISCLOSURE RETURN
14
May, 2020
NEXT DAY DISCLOSURE RETURN
13
May, 2020
NEXT DAY DISCLOSURE RETURN
12
May, 2020
NEXT DAY DISCLOSURE RETURN
11
May, 2020
NEXT DAY DISCLOSURE RETURN
08
May, 2020
NEXT DAY DISCLOSURE RETURN
07
May, 2020
NEXT DAY DISCLOSURE RETURN
06
May, 2020
NEXT DAY DISCLOSURE RETURN
05
May, 2020
NEXT DAY DISCLOSURE RETURN
04
May, 2020
NEXT DAY DISCLOSURE RETURN
04
May, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.04.2020
29
April, 2020
NEXT DAY DISCLOSURE RETURN
29
April, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
28
April, 2020
NEXT DAY DISCLOSURE RETURN
27
April, 2020
NEXT DAY DISCLOSURE RETURN
24
April, 2020
NEXT DAY DISCLOSURE RETURN
24
April, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
23
April, 2020
NEXT DAY DISCLOSURE RETURN
22
April, 2020
NEXT DAY DISCLOSURE RETURN
21
April, 2020
NEXT DAY DISCLOSURE RETURN
20
April, 2020
NEXT DAY DISCLOSURE RETURN
17
April, 2020
NEXT DAY DISCLOSURE RETURN
16
April, 2020
NEXT DAY DISCLOSURE RETURN
15
April, 2020
NEXT DAY DISCLOSURE RETURN
14
April, 2020
NEXT DAY DISCLOSURE RETURN
09
April, 2020
NEXT DAY DISCLOSURE RETURN
08
April, 2020
NEXT DAY DISCLOSURE RETURN
07
April, 2020
NEXT DAY DISCLOSURE RETURN
06
April, 2020
NEXT DAY DISCLOSURE RETURN
03
April, 2020
NEXT DAY DISCLOSURE RETURN
02
April, 2020
NEXT DAY DISCLOSURE RETURN
01
April, 2020
NEXT DAY DISCLOSURE RETURN
01
April, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.03.2020
27
March, 2020
NEXT DAY DISCLOSURE RETURN
26
March, 2020
NEXT DAY DISCLOSURE RETURN
25
March, 2020
NEXT DAY DISCLOSURE RETURN
24
March, 2020
NEXT DAY DISCLOSURE RETURN
23
March, 2020
NEXT DAY DISCLOSURE RETURN
20
March, 2020
NEXT DAY DISCLOSURE RETURN
19
March, 2020
NEXT DAY DISCLOSURE RETURN
18
March, 2020
NEXT DAY DISCLOSURE RETURN
17
March, 2020
NEXT DAY DISCLOSURE RETURN
16
March, 2020
NEXT DAY DISCLOSURE RETURN
13
March, 2020
NEXT DAY DISCLOSURE RETURN
13
March, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
March, 2020
NEXT DAY DISCLOSURE RETURN
11
March, 2020
NEXT DAY DISCLOSURE RETURN
10
March, 2020
NEXT DAY DISCLOSURE RETURN
09
March, 2020
NEXT DAY DISCLOSURE RETURN
06
March, 2020
NEXT DAY DISCLOSURE RETURN
06
March, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
05
March, 2020
NEXT DAY DISCLOSURE RETURN
04
March, 2020
NEXT DAY DISCLOSURE RETURN
03
March, 2020
NEXT DAY DISCLOSURE RETURN
02
March, 2020
NEXT DAY DISCLOSURE RETURN
02
March, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 29.02.2020
28
February, 2020
NEXT DAY DISCLOSURE RETURN
28
February, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
27
February, 2020
NEXT DAY DISCLOSURE RETURN
26
February, 2020
NEXT DAY DISCLOSURE RETURN
25
February, 2020
NEXT DAY DISCLOSURE RETURN
24
February, 2020
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - FEC FINANCE LIMITED - U.S.$60,000,000 SENIOR GUARANTEED PERPETUAL CAPITAL NOTES (TO BE CONSOLIDATED AND FORM A SINGLE SERIES WITH THE U.S.$300,000,000 SENIOR GUARANTEED PERPETUAL CAPITAL NOTES ISSUED ON 12 SEPTEMBER 2019 AND 16 SEPTEMBER 2019) UNDER THE US$1,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED
24
February, 2020
NEXT DAY DISCLOSURE RETURN
21
February, 2020
NEXT DAY DISCLOSURE RETURN
21
February, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
20
February, 2020
NEXT DAY DISCLOSURE RETURN
19
February, 2020
NEXT DAY DISCLOSURE RETURN
18
February, 2020
NEXT DAY DISCLOSURE RETURN
17
February, 2020
PROPOSED ISSUE OF FURTHER U.S.$60,000,000 7.375 PER CENT. SENIOR GUARANTEED PERPETUAL CAPITAL NOTES (TO BE CONSOLIDATED AND FORM A SINGLE SERIES WITH THE U.S.$300,000,000 7.375 PER CENT. SENIOR GUARANTEED PERPETUAL CAPITAL NOTES ISSUED ON 12 SEPTEMBER 2019 AND 16 SEPTEMBER 2019) BY FEC FINANCE LIMITED UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED UNDER THE U.S.$1,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME
03
February, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.01.2020
24
January, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
24
January, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
17
January, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
15
January, 2020
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2019
10
January, 2020
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
10
January, 2020
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
07
January, 2020
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2019
02
January, 2020
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2019
24
December, 2019
NEXT DAY DISCLOSURE RETURN
18
December, 2019
NEXT DAY DISCLOSURE RETURN
17
December, 2019
NEXT DAY DISCLOSURE RETURN
16
December, 2019
NEXT DAY DISCLOSURE RETURN
13
December, 2019
NEXT DAY DISCLOSURE RETURN
13
December, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
December, 2019
NEXT DAY DISCLOSURE RETURN
11
December, 2019
NEXT DAY DISCLOSURE RETURN
10
December, 2019
NEXT DAY DISCLOSURE RETURN
09
December, 2019
NEXT DAY DISCLOSURE RETURN
06
December, 2019
NEXT DAY DISCLOSURE RETURN
05
December, 2019
NEXT DAY DISCLOSURE RETURN
04
December, 2019
NEXT DAY DISCLOSURE RETURN
03
December, 2019
NEXT DAY DISCLOSURE RETURN
02
December, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2019
29
November, 2019
NEXT DAY DISCLOSURE RETURN
29
November, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
28
November, 2019
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2019
28
November, 2019
(1) INSIDE INFORMATION IN RELATION TO POTENTIAL SPIN-OFF AND SEPARATE LISTING OF CERTAIN HOSPITALITY PROPERTIES (2) POSSIBLE MAJOR TRANSACTION
18
November, 2019
COMPLETION OF THE ACQUISITION OF HOTEL IN SINGAPORE
18
November, 2019
DATE OF BOARD MEETING
15
November, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
November, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2019
31
October, 2019
NEXT DAY DISCLOSURE RETURN
22
October, 2019
MAJOR TRANSACTION IN RELATION TO ACQUISITION OF LAND BY PUBLIC TENDER
21
October, 2019
NEXT DAY DISCLOSURE RETURN
11
October, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
October, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
October, 2019
DELAY IN DESPATCH OF CIRCULAR IN RELATION TO ACQUISITION OF LAND BY PUBLIC TENDER
03
October, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.09.2019
30
September, 2019
NEXT DAY DISCLOSURE RETURN
27
September, 2019
NEXT DAY DISCLOSURE RETURN
27
September, 2019
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2019
26
September, 2019
NEXT DAY DISCLOSURE RETURN
25
September, 2019
NEXT DAY DISCLOSURE RETURN
24
September, 2019
NEXT DAY DISCLOSURE RETURN
23
September, 2019
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2019
20
September, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
19
September, 2019
DISCLOSEABLE TRANSACTION FORMATION OF JOINT VENTURES FOR ACQUISITION OF HOTEL IN SINGAPORE
16
September, 2019
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - FEC FINANCE LIMITED - U.S.$50,000,000 SENIOR GUARANTEED PERPETUAL CAPITAL NOTES (TO BE CONSOLIDATED AND FORM A SINGLE SERIES WITH THE U.S.$250,000,000 SENIOR GUARANTEED PERPETUAL CAPITAL NOTES ISSUED ON 12 SEPTEMBER 2019) UNDER THE US$1,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED
12
September, 2019
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - FEC FINANCE LIMITED - U.S.$250,000,000 SENIOR GUARANTEED PERPETUAL CAPITAL NOTES UNDER THE US$1,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED
12
September, 2019
CHANGE OF CHIEF FINANCIAL OFFICER AND COMPANY SECRETARY
12
September, 2019
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 12 SEPTEMBER 2019
11
September, 2019
PROPOSED ISSUE OF FURTHER U.S.$50,000,000 7.375 PER CENT. SENIOR GUARANTEED PERPETUAL CAPITAL NOTES (TO BE CONSOLIDATED AND FORM A SINGLE SERIES WITH THE U.S.$250,000,000 7.375 PER CENT. SENIOR GUARANTEED PERPETUAL CAPITAL NOTES TO BE ISSUED ON 12 SEPTEMBER 2019) BY FEC FINANCE LIMITED UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED UNDER THE U.S.$1,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME
06
September, 2019
PROPOSED ISSUE OF U.S.$250,000,000 7.375 PER CENT. SENIOR GUARANTEED PERPETUAL CAPITAL NOTES BY FEC FINANCE LIMITED UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED UNDER THE U.S.$1,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME
05
September, 2019
NEXT DAY DISCLOSURE RETURN
03
September, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.08.2019
30
August, 2019
NEXT DAY DISCLOSURE RETURN
30
August, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
30
August, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
29
August, 2019
NEXT DAY DISCLOSURE RETURN
29
August, 2019
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - US$1,000,000,000 GUARANTEED MEDIUM TERM NOTE PROGRAMME ISSUED BY FEC FINANCE LIMITED
28
August, 2019
NEXT DAY DISCLOSURE RETURN
27
August, 2019
NEXT DAY DISCLOSURE RETURN
26
August, 2019
NEXT DAY DISCLOSURE RETURN
23
August, 2019
NEXT DAY DISCLOSURE RETURN
22
August, 2019
NEXT DAY DISCLOSURE RETURN
21
August, 2019
NEXT DAY DISCLOSURE RETURN
19
August, 2019
NEXT DAY DISCLOSURE RETURN
16
August, 2019
NEXT DAY DISCLOSURE RETURN
16
August, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
August, 2019
NEXT DAY DISCLOSURE RETURN
14
August, 2019
NEXT DAY DISCLOSURE RETURN
13
August, 2019
NEXT DAY DISCLOSURE RETURN
12
August, 2019
MAJOR TRANSACTION IN RELATION TO ACQUISITION OF LAND BY PUBLIC TENDER
12
August, 2019
NEXT DAY DISCLOSURE RETURN
09
August, 2019
NEXT DAY DISCLOSURE RETURN
09
August, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
09
August, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
08
August, 2019
NEXT DAY DISCLOSURE RETURN
07
August, 2019
NEXT DAY DISCLOSURE RETURN
06
August, 2019
DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITION OF LAND USE RIGHTS IN SHANGHAI
06
August, 2019
NEXT DAY DISCLOSURE RETURN
05
August, 2019
NEXT DAY DISCLOSURE RETURN
02
August, 2019
NEXT DAY DISCLOSURE RETURN
01
August, 2019
NEXT DAY DISCLOSURE RETURN
01
August, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.07.2019
31
July, 2019
NEXT DAY DISCLOSURE RETURN
30
July, 2019
Proxy Form for the Annual General Meeting ("Meeting") to be held on Thursday, 12 September 2019 at 11:30 a.m.
30
July, 2019
NOTICE OF ANNUAL GENERAL MEETING
30
July, 2019
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
30
July, 2019
REQUEST FORM
30
July, 2019
LETTER TO THE NON-REGISTERED HOLDERS
30
July, 2019
CHANGE REQUEST FORM
30
July, 2019
LETTER TO THE SHAREHOLDERS
30
July, 2019
NEXT DAY DISCLOSURE RETURN
29
July, 2019
NEXT DAY DISCLOSURE RETURN
26
July, 2019
NEXT DAY DISCLOSURE RETURN
25
July, 2019
NEXT DAY DISCLOSURE RETURN
24
July, 2019
NEXT DAY DISCLOSURE RETURN
23
July, 2019
NEXT DAY DISCLOSURE RETURN
22
July, 2019
NEXT DAY DISCLOSURE RETURN
19
July, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
19
July, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
16
July, 2019
NEXT DAY DISCLOSURE RETURN
12
July, 2019
NEXT DAY DISCLOSURE RETURN
10
July, 2019
NEXT DAY DISCLOSURE RETURN
09
July, 2019
NEXT DAY DISCLOSURE RETURN
08
July, 2019
NEXT DAY DISCLOSURE RETURN
05
July, 2019
NEXT DAY DISCLOSURE RETURN
05
July, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
04
July, 2019
NEXT DAY DISCLOSURE RETURN
03
July, 2019
NEXT DAY DISCLOSURE RETURN
02
July, 2019
NEXT DAY DISCLOSURE RETURN
02
July, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.06.2019
28
June, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
27
June, 2019
NEXT DAY DISCLOSURE RETURN
26
June, 2019
NEXT DAY DISCLOSURE RETURN
25
June, 2019
NEXT DAY DISCLOSURE RETURN
21
June, 2019
NEXT DAY DISCLOSURE RETURN
20
June, 2019
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2019
17
June, 2019
CHANGE OF ADDRESS OF HONG KONG SHARE REGISTRAR AND TRANSFER OFFICE
10
June, 2019
DATE OF BOARD MEETING
06
June, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
June, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.05.2019
03
June, 2019
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
31
May, 2019
APPOINTMENTS OF EXECUTIVE DIRECTOR AND INDEPENDENT NON-EXECUTIVE DIRECTOR AND CHANGE OF COMPOSITION OF BOARD COMMITTEES
24
May, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
May, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.04.2019
12
April, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
April, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
07
April, 2019
DISCLOSEABLE TRANSACTION IN RELATION TO THE ACQUISITION OF PROPERTY IN MELBOURNE CBD
01
April, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.03.2019
29
March, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
March, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
12
March, 2019
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
12
March, 2019
PASSING AWAY OF INDEPENDENT NON-EXECUTIVE DIRECTOR
05
March, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.02.2019
21
February, 2019
ACQUISITION OF MAJORITY SHAREHOLDING IN BC GROUP FOLLOWING A REORGANISATION, SUBSCRIPTIONS OF SHARES IN BC GROUP BY CERTAIN DIRECTORS AND DEEMED DISPOSAL OF SHARES IN BC GROUP
15
February, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
14
February, 2019
NEXT DAY DISCLOSURE RETURN
04
February, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.01.2019
01
February, 2019
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
21
January, 2019
NEXT DAY DISCLOSURE RETURN
18
January, 2019
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
11
January, 2019
NEXT DAY DISCLOSURE RETURN
10
January, 2019
NEXT DAY DISCLOSURE RETURN
09
January, 2019
NEXT DAY DISCLOSURE RETURN
08
January, 2019
NEXT DAY DISCLOSURE RETURN
08
January, 2019
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2018
07
January, 2019
NEXT DAY DISCLOSURE RETURN
04
January, 2019
NEXT DAY DISCLOSURE RETURN
03
January, 2019
NEXT DAY DISCLOSURE RETURN
03
January, 2019
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2018
28
December, 2018
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2018
18
December, 2018
DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITION OF LAND USE RIGHTS IN SHANGHAI
14
December, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
07
December, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
December, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2018
30
November, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
27
November, 2018
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2018
27
November, 2018
TERMS OF REFERENCE OF AUDIT COMMITTEE
23
November, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
November, 2018
DATE OF BOARD MEETING
02
November, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
November, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
November, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2018
26
October, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
19
October, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
October, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
11
October, 2018
NEXT DAY DISCLOSURE RETURN
02
October, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.9.2018
21
September, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
19
September, 2018
ANNOUNCEMENT PURSUANT TO RULE 13.18 OF THE LISTING RULES
19
September, 2018
NEXT DAY DISCLOSURE RETURN
14
September, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
07
September, 2018
NEXT DAY DISCLOSURE RETURN
07
September, 2018
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2018
07
September, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
06
September, 2018
NEXT DAY DISCLOSURE RETURN
05
September, 2018
NEXT DAY DISCLOSURE RETURN
04
September, 2018
NEXT DAY DISCLOSURE RETURN
03
September, 2018
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2018
03
September, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.8.2018
31
August, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
23
August, 2018
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 23 AUGUST 2018
17
August, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
August, 2018
NEXT DAY DISCLOSURE RETURN
08
August, 2018
NEXT DAY DISCLOSURE RETURN
07
August, 2018
NEXT DAY DISCLOSURE RETURN
06
August, 2018
NEXT DAY DISCLOSURE RETURN
03
August, 2018
NEXT DAY DISCLOSURE RETURN
02
August, 2018
NEXT DAY DISCLOSURE RETURN
01
August, 2018
NEXT DAY DISCLOSURE RETURN
01
August, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.7.2018
31
July, 2018
NEXT DAY DISCLOSURE RETURN
30
July, 2018
NEXT DAY DISCLOSURE RETURN
27
July, 2018
NEXT DAY DISCLOSURE RETURN
27
July, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
26
July, 2018
NEXT DAY DISCLOSURE RETURN
25
July, 2018
NEXT DAY DISCLOSURE RETURN
24
July, 2018
NEXT DAY DISCLOSURE RETURN
24
July, 2018
Proxy Form for the Annual General Meeting ("Meeting") to be held on Thursday, 23 August 2018 at 11:30 a.m.
24
July, 2018
NOTICE OF ANNUAL GENERAL MEETING
24
July, 2018
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
24
July, 2018
REQUEST FORM
24
July, 2018
LETTER TO THE NON-REGISTERED HOLDERS
24
July, 2018
CHANGE REQUEST FORM
24
July, 2018
LETTER TO THE SHAREHOLDERS
23
July, 2018
NEXT DAY DISCLOSURE RETURN
20
July, 2018
NEXT DAY DISCLOSURE RETURN
20
July, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
19
July, 2018
NEXT DAY DISCLOSURE RETURN
17
July, 2018
CLOSING OF THE ACQUISITION OF THE PROPERTY AT 21 ANDERSON ROAD IN SINGAPORE
13
July, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
06
July, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
July, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.6.2018
26
June, 2018
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2018
15
June, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
13
June, 2018
DATE OF BOARD MEETING
06
June, 2018
DISCLOSEABLE TRANSACTION - ACQUISITION OF THE PROPERTY AT 21 ANDERSON ROAD IN SINGAPORE
01
June, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.5.2018
01
June, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
25
May, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
25
May, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
17
May, 2018
NEXT DAY DISCLOSURE RETURN
04
May, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
May, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
04
May, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
May, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.4.2018
01
May, 2018
CLOSING OF THE MERGER WITH TRANS WORLD CORPORATION
24
April, 2018
NEXT DAY DISCLOSURE RETURN
23
April, 2018
NEXT DAY DISCLOSURE RETURN
20
April, 2018
NEXT DAY DISCLOSURE RETURN
19
April, 2018
NEXT DAY DISCLOSURE RETURN
18
April, 2018
NEXT DAY DISCLOSURE RETURN
17
April, 2018
NEXT DAY DISCLOSURE RETURN
16
April, 2018
NEXT DAY DISCLOSURE RETURN
16
April, 2018
COMPLETION OF THE SUBSCRIPTION WITH THE STAR ENTERTAINMENT GROUP LIMITED
13
April, 2018
NEXT DAY DISCLOSURE RETURN
13
April, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
April, 2018
NEXT DAY DISCLOSURE RETURN
11
April, 2018
NEXT DAY DISCLOSURE RETURN
10
April, 2018
NEXT DAY DISCLOSURE RETURN
09
April, 2018
NEXT DAY DISCLOSURE RETURN
06
April, 2018
NEXT DAY DISCLOSURE RETURN
05
April, 2018
DISCLOSEABLE TRANSACTION - AWARD OF TENDER FOR A PROPERTY KNOWN AS THE ESTORIL AT HOLLAND ROAD IN SINGAPORE
04
April, 2018
NEXT DAY DISCLOSURE RETURN
03
April, 2018
NEXT DAY DISCLOSURE RETURN
03
April, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.3.2018
29
March, 2018
Next Day Disclosure Return
28
March, 2018
DISCLOSEABLE TRANSACTION - STRATEGIC ALLIANCE AND SUBSCRIPTION AGREEMENTS WITH THE STAR ENTERTAINMENT GROUP LIMITED AND CHOW TAI FOOK GROUP
23
March, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
16
March, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
05
March, 2018
DISCLOSEABLE TRANSACTION - ACQUISITION OF TRANS WORLD CORPORATION
02
March, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.2.2018
02
March, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
March, 2018
DISCLOSEABLE TRANSACTION - AWARD OF TENDER FOR A PROPERTY AT HOLLAND ROAD IN SINGAPORE
08
February, 2018
NEXT DAY DISCLOSURE RETURN
02
February, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
February, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
February, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.1.2018
19
January, 2018
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
January, 2018
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
08
January, 2018
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2017
02
January, 2018
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2017
01
January, 2018
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
29
December, 2017
RESIGNATION OF NON-EXECUTIVE DIRECTOR
28
December, 2017
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2017
22
December, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
08
December, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
December, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2017
01
December, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
27
November, 2017
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2017
27
November, 2017
TERMS OF REFERENCE OF REMUNERATION COMMITTEE
24
November, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
November, 2017
DATE OF BOARD MEETING
14
November, 2017
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - FAR EAST CONSORTIUM INTERNATIONAL LIMITED - U.S.$150,000,000 4.5 PER CENT. NOTES DUE 2023 UNDER THE US$1,000,000,000 MEDIUM TERM NOTE PROGRAMME
13
November, 2017
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - FAR EAST CONSORTIUM INTERNATIONAL LIMITED - U.S.$150,000,000 4.5 PER CENT. NOTES DUE 2023 UNDER THE US$1,000,000,000 MEDIUM TERM NOTE PROGRAMME
07
November, 2017
PROPOSED ISSUE OF U.S.$150,000,000 4.5 PER CENT. NOTES DUE 2023 BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED UNDER THE U.S.$1,000,000,000 MEDIUM TERM NOTE PROGRAMME
03
November, 2017
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - FAR EAST CONSORTIUM INTERNATIONAL LIMITED - US$1,000,000,000 MEDIUM TERM NOTE PROGRAMME
01
November, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2017
27
October, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
27
October, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
20
October, 2017
CHANGE IN COMPANY SECRETARY
13
October, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
09
October, 2017
NEXT DAY DISCLOSURE RETURN
03
October, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.9.2017
29
September, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
September, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
05
September, 2017
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2017
01
September, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.8.2017
30
August, 2017
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2017
22
August, 2017
NEXT DAY DISCLOSURE RETURN
21
August, 2017
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 21 AUGUST 2017
18
August, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
04
August, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
August, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.7.2017
10
July, 2017
Proxy Form for the Annual General Meeting ("Meeting") to be held on Monday, 21 August 2017 at 11:30 a.m.
10
July, 2017
NOTICE OF ANNUAL GENERAL MEETING
10
July, 2017
PROPOSALS FOR RE-ELECTION OF DIRECTORS,GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
10
July, 2017
REQUEST FORM
10
July, 2017
LETTER TO THE NON-REGISTERED HOLDERS
10
July, 2017
CHANGE REQUEST FORM
10
July, 2017
LETTER TO THE SHAREHOLDERS
05
July, 2017
NEXT DAY DISCLOSURE RETURN
03
July, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.6.2017
23
June, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
23
June, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
13
June, 2017
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2017
02
June, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.5.2017
31
May, 2017
DATE OF BOARD MEETING
19
May, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
12
May, 2017
COMPLETION OF SALE OF SALE SHARE AND LOAN AND ENTERING INTO THE HOTEL MANAGEMENT AGREEMENT
12
May, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
08
May, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
May, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.4.2017
21
April, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
07
April, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
April, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.3.2017
31
March, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
24
March, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
24
March, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
10
March, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
March, 2017
DISCLOSEABLE TRANSACTION INVOLVING SALE OF SALE SHARE AND LOAN
03
March, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
March, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.2.2017
17
February, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
13
February, 2017
NEXT DAY DISCLOSURE RETURN
10
February, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
10
February, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
February, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.1.2017
20
January, 2017
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
January, 2017
Heads of Terms in relation to the Proposed Sale of a Hotel in Hong Kong
09
January, 2017
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2016
09
January, 2017
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
January, 2017
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2016
30
December, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
30
December, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
30
December, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
29
December, 2016
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2016
16
December, 2016
NEXT DAY DISCLOSURE RETURN
05
December, 2016
NEXT DAY DISCLOSURE RETURN
01
December, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2016
25
November, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
25
November, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
23
November, 2016
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2016
18
November, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
09
November, 2016
DATE OF BOARD MEETING
01
November, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2016
21
October, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
14
October, 2016
NEXT DAY DISCLOSURE RETURN
14
October, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
October, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.9.2016
23
September, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
September, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
12
September, 2016
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2016
09
September, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
09
September, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
09
September, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
08
September, 2016
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - US$300,000,000 3.75 PER CENT. NOTES DUE 2021 UNDER THE US$1,000,000,000 MEDIUM TERM NOTE PROGRAMME
06
September, 2016
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2016
02
September, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
September, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.8.2016
01
September, 2016
PROPOSED ISSUE OF U.S.$300,000,000 3.75 PER CENT. NOTES DUE 2021 BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED UNDER THE U.S.$1,000,000,000 MEDIUM TERM NOTE PROGRAMME
26
August, 2016
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 26 AUGUST 2016
26
August, 2016
PROPOSED ISSUE OF U.S. DOLLAR DENOMINATED NOTES under the U.S.$1,000,000,000 MEDIUM TERM NOTE PROGRAMME
25
August, 2016
NOTICE OF LISTING ON THE STOCK EXCHANGE OF HONG KONG LIMITED - US$1,000,000,000 MEDIUM TERM NOTE PROGRAMME
12
August, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
August, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
05
August, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
05
August, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
August, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.7.2016
29
July, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
29
July, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
27
July, 2016
Proxy Form for the Annual General Meeting ("Meeting") to be held on Friday, 26 August 2016 at 11:30 a.m.
27
July, 2016
NOTICE OF ANNUAL GENERAL MEETING
27
July, 2016
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES, USE OF THE COMPANY'S OWN WEBSITE FOR SENDING OR SUPPLYING CORPORATE COMMUNICATION(S) TO SHAREHOLDERS AND NOTICE OF ANNUAL GENERAL MEETING
27
July, 2016
REQUEST FORM
27
July, 2016
LETTER TO THE NON-REGISTERED HOLDERS
27
July, 2016
CHANGE REQUEST FORM
27
July, 2016
LETTER TO THE SHAREHOLDERS
04
July, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.6.2016
30
June, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
24
June, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
23
June, 2016
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2016
17
June, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
07
June, 2016
DATE OF BOARD MEETING
02
June, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.5.2016
01
June, 2016
Choice of Language of Corporate Communications
01
June, 2016
ELECTION OF LANGUAGE OF CORPORATE COMMUNICATIONS
23
May, 2016
APPOINTMENT OF FINANCE DIRECTOR
20
May, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
13
May, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
09
May, 2016
CHANGE OF REGISTERED OFFICE ADDRESS
03
May, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.4.2016
29
April, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
08
April, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
05
April, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.3.2016
01
April, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
18
March, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
March, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 29.2.2016
26
February, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
26
February, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
22
February, 2016
ANNOUNCEMENT PURSUANT TO RULE 13.18 OF THE LISTING RULES
15
February, 2016
NEXT DAY DISCLOSURE RETURN
03
February, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.1.2016
02
February, 2016
CHANGE IN COMPANY SECRETARY
29
January, 2016
NEXT DAY DISCLOSURE RETURN
29
January, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
January, 2016
NEXT DAY DISCLOSURE RETURN
15
January, 2016
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
15
January, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
14
January, 2016
NEXT DAY DISCLOSURE RETURN
13
January, 2016
NEXT DAY DISCLOSURE RETURN
12
January, 2016
NEXT DAY DISCLOSURE RETURN
11
January, 2016
NEXT DAY DISCLOSURE RETURN
08
January, 2016
NEXT DAY DISCLOSURE RETURN
08
January, 2016
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
07
January, 2016
NEXT DAY DISCLOSURE RETURN
07
January, 2016
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2015
06
January, 2016
NEXT DAY DISCLOSURE RETURN
05
January, 2016
NEXT DAY DISCLOSURE RETURN
04
January, 2016
NEXT DAY DISCLOSURE RETURN
04
January, 2016
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2015
04
January, 2016
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
31
December, 2015
NEXT DAY DISCLOSURE RETURN
30
December, 2015
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2015
30
December, 2015
NEXT DAY DISCLOSURE RETURN
29
December, 2015
NEXT DAY DISCLOSURE RETURN
28
December, 2015
NEXT DAY DISCLOSURE RETURN
24
December, 2015
NEXT DAY DISCLOSURE RETURN
23
December, 2015
NEXT DAY DISCLOSURE RETURN
22
December, 2015
NEXT DAY DISCLOSURE RETURN
21
December, 2015
NEXT DAY DISCLOSURE RETURN
18
December, 2015
NEXT DAY DISCLOSURE RETURN
18
December, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
17
December, 2015
NEXT DAY DISCLOSURE RETURN
16
December, 2015
NEXT DAY DISCLOSURE RETURN
15
December, 2015
NEXT DAY DISCLOSURE RETURN
14
December, 2015
NEXT DAY DISCLOSURE RETURN
11
December, 2015
NEXT DAY DISCLOSURE RETURN
11
December, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
10
December, 2015
NEXT DAY DISCLOSURE RETURN
09
December, 2015
NEXT DAY DISCLOSURE RETURN
08
December, 2015
NEXT DAY DISCLOSURE RETURN
07
December, 2015
NEXT DAY DISCLOSURE RETURN
04
December, 2015
NEXT DAY DISCLOSURE RETURN
04
December, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
December, 2015
NEXT DAY DISCLOSURE RETURN
02
December, 2015
NEXT DAY DISCLOSURE RETURN
01
December, 2015
NEXT DAY DISCLOSURE RETURN
01
December, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2015
30
November, 2015
NEXT DAY DISCLOSURE RETURN
27
November, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
25
November, 2015
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2015 AND RE-DESIGNATION OF DIRECTOR
25
November, 2015
TERMS OF REFERENCE OF AUDIT COMMITTEE
17
November, 2015
DISCLOSEABLE TRANSACTION - FORMATION OF JOINT VENTURES AND AWARD OF TENDER FOR LAND PARCEL AT ALEXANDRA VIEW BY THE URBAN REDEVELOPMENT AUTHORITY OF SINGAPORE
16
November, 2015
DISCLOSEABLE TRANSACTION FORMATION OF JOINT VENTURES AND ENTERING INTO DEVELOPMENT AGREEMENTS IN RELATION TO THE DEVELOPMENT OF QUEEN'S WHARF BRISBANE IN AUSTRALIA
13
November, 2015
DATE OF BOARD MEETING
13
November, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
November, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2015
30
October, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
29
October, 2015
JOINT ANNOUNCEMENT PRIVATISATION OF DORSETT HOSPITALITY INTERNATIONAL LIMITED BY THE OFFEROR BY WAY OF A SCHEME OF ARRANGEMENT (UNDER SECTION 86 OF THE COMPANIES LAW) (1) CLOSING AND RESULTS OF THE RULE 13 OFFER AND (2) DISPATCH OF CHEQUES UNDER THE RULE 13 OFFER
28
October, 2015
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2015
22
October, 2015
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2015
16
October, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
October, 2015
JOINT ANNOUNCEMENT PROPOSED PRIVATISATION OF DORSETT HOSPITALITY INTERNATIONAL LIMITED BY THE OFFEROR BY WAY OF A SCHEME OF ARRANGEMENT (UNDER SECTION 86 OF THE COMPANIES LAW) (1) EFFECTIVE DATE OF THE SCHEME (2) DISPATCH OF CHEQUES AND SHARE CERTIFICATES UNDER THE SCHEME (3) RULE 13 OFFER BECAME UNCONDITIONAL (4) DISPATCH OF CHEQUES UNDER THE RULE 13 OFFER (5) WITHDRAWAL OF THE LISTING OF THE DORSETT SHARES AND (6) DISCLOSEABLE TRANSACTION AND CONNECTED TRANSACTIONS FOR FEC
15
October, 2015
NEXT DAY DISCLOSURE RETURN
14
October, 2015
JOINT ANNOUNCEMENT PROPOSED PRIVATISATION OF DORSETT HOSPITALITY INTERNATIONAL LIMITED BY THE OFFEROR BY WAY OF A SCHEME OF ARRANGEMENT (UNDER SECTION 86 OF THE COMPANIES LAW) (1) SANCTION OF THE SCHEME AND CONFIRMATION OF THE CAPITAL REDUCTION BY THE GRAND COURT OF THE CAYMAN ISLANDS (2) THE EXPECTED EFFECTIVE DATE AND (3) PROPOSED WITHDRAWAL OF THE LISTING OF THE DORSETT SHARES AND THE RESUMPTION OF TRADING OF THE DORSETT BONDS
06
October, 2015
JOINT ANNOUNCEMENT CESSATION OF TRADING IN THE SHARES AND SUSPENSION OF TRADING IN THE BONDS OF DORSETT HOSPITALITY INTERNATIONAL LIMITED
02
October, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
October, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.9.2015
29
September, 2015
JOINT ANNOUNCEMENT PROPOSED PRIVATISATION OF DORSETT HOSPITALITY INTERNATIONAL LIMITED BY THE OFFEROR BY WAY OF A SCHEME OF ARRANGEMENT (UNDER SECTION 86 OF THE COMPANIES LAW) (1) RESULTS OF COURT MEETING AND EXTRAORDINARY GENERAL MEETING (2) CLOSURE OF REGISTER OF MEMBERS OF DORSETT (3) RESUMPTION OF TRADING IN FEC SHARES, FEC BONDS, DORSETT SHARES AND DORSETT BONDS AND (4) PROPOSED WITHDRAWAL OF THE LISTING OF THE SHARES OF DORSETT HOSPITALITY INTERNATIONAL LIMITED
29
September, 2015
JOINT ANNOUNCEMENT TRADING HALT
25
September, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
08
September, 2015
JOINT ANNOUNCEMENT - PROPOSED PRIVATISATION OF DORSETT HOSPITALITY INTERNATIONAL LIMITED BY THE OFFEROR BY WAY OF A SCHEME OF ARRANGEMENT (UNDER SECTION 86 OF THE COMPANIES LAW) AND PROPOSED WITHDRAWAL OF THE LISTING OF THE SHARES OF DORSETT HOSPITALITY INTERNATIONAL LIMITED CLARIFICATION ANNOUNCEMENT, REVISED EXPECTED TIMETABLE AND DISPATCH OF THIS ANNOUNCEMENT, NEW COURT MEETING NOTICE, NEW EGM NOTICE, NEW COURT MEETING PROXY FORM, NEW EGM PROXY FORM AND NEW FORM OF ACCEPTANCE
04
September, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
September, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.8.2015
31
August, 2015
JOINT ANNOUNCEMENT- PROPOSED PRIVATISATION OF DORSETT HOSPITALITY INTERNATIONAL LIMITED BY THE OFFEROR BY WAY OF A SCHEME OF ARRANGEMENT (UNDER SECTION 86 OF THE COMPANIES LAW) AND PROPOSED WITHDRAWAL OF THE LISTING OF THE SHARES OF DORSETT HOSPITALITY INTERNATIONAL LIMITED DISPATCH OF SCHEME DOCUMENT AND RULE 13 OFFER LETTER
28
August, 2015
CLOSURE OF REGISTER OF MEMBERS
27
August, 2015
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 27 AUGUST 2015
24
August, 2015
JOINT ANNOUNCEMENT FURTHER DELAY IN DISPATCH OF SCHEME DOCUMENT
21
August, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
14
August, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
07
August, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
04
August, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.7.2015
24
July, 2015
Proxy Form for the Annual General Meeting ("Meeting") to be held on Thursday, 27 August 2015 at 11:30 a.m.
24
July, 2015
NOTICE OF ANNUAL GENERAL MEETING
24
July, 2015
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
21
July, 2015
DESTINATION BRISBANE CONSORTIUM SELECTED AS THE PREFERRED PROPONENT FOR THE DEVELOPMENT OF QUEEN'S WHARF BRISBANE
10
July, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
10
July, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
July, 2015
JOINT ANNOUNCEMENT PURSUANT TO RULE 3.8 OF THE TAKEOVERS CODE - UPDATE ON THE NUMBER OF RELEVANT SECURITIES
03
July, 2015
NEXT DAY DISCLOSURE RETURN
02
July, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.6.2015
30
June, 2015
JOINT ANNOUNCEMENT DELAY IN DISPATCH OF SCHEME DOCUMENT
26
June, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
24
June, 2015
ANNOUNCEMENT OF RESULTS FOR THE FINANCIAL YEAR ENDED 31 MARCH 2015
15
June, 2015
ADOPTION OF CHINESE STOCK SHORT NAME
12
June, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
12
June, 2015
DATE OF BOARD MEETING
02
June, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.5.2015
29
May, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
27
May, 2015
JOINT ANNOUNCEMENT - (1) POSSIBLE PRIVATISATION OF DORSETT BY THE OFFEROR BY WAY OF A SCHEME OF ARRANGEMENT (UNDER SECTION 86 OF THE COMPANIES LAW); (2) POSSIBLE WITHDRAWAL OF LISTING OF DORSETT SHARES; (3) POSSIBLE DISCLOSEABLE TRANSACTION AND CONNECTED TRANSACTIONS FOR FEC AND (4) RESUMPTION OF TRADING IN FEC SHARES, FEC BONDS, DORSETT SHARES AND DORSETT BONDS
21
May, 2015
JOINT ANNOUNCEMENT - SUSPENSION OF TRADING
05
May, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.4.2015
30
April, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
24
April, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
April, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.3.2015
13
March, 2015
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
March, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.2.2015
27
February, 2015
NEXT DAY DISCLOSURE RETURN
06
February, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
02
February, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.1.2015
23
January, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
14
January, 2015
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2014
09
January, 2015
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
05
January, 2015
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2014
05
January, 2015
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2014
24
December, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
12
December, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
December, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2014
28
November, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
26
November, 2014
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2014
14
November, 2014
DATE OF BOARD MEETING
07
November, 2014
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
November, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2014
24
October, 2014
NEXT DAY DISCLOSURE RETURN
15
October, 2014
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
03
October, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.9.2014
26
September, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
19
September, 2014
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
19
September, 2014
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2014
11
September, 2014
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2014
08
September, 2014
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
01
September, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.8.2014
29
August, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
28
August, 2014
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
28
August, 2014
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 28 AUGUST 2014 AND RETIREMENT OF NON-EXECUTIVE DIRECTOR
22
August, 2014
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
15
August, 2014
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
08
August, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
01
August, 2014
NOTICE OF CANCELLATION OF ORIGINAL SHARE CERTIFICATE AND ISSUE OF NEW CERTIFICATE
01
August, 2014
NEXT DAY DISCLOSURE RETURN
01
August, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.7.2014
29
July, 2014
Proxy Form for the Annual General Meeting to be held on Thursday, 28 August 2014 at 11:30 a.m.
29
July, 2014
NOTICE OF ANNUAL GENERAL MEETING
29
July, 2014
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
18
July, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
11
July, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
03
July, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.6.2014
26
June, 2014
ANNOUNCEMENT - CONNECTED PARTY TRANSACTION IN RELATION TO APPOINTMENT OF MAYLAND CENTURY SDN BHD AS EXCLUSIVE SALES AND MARKETING CONSULTANT FOR DORSETT RESIDENCE SERVICED APARTMENTS IN KUALA LUMPUR, MALAYSIA
26
June, 2014
ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31 MARCH 2014
13
June, 2014
DATE OF BOARD MEETING
03
June, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.5.2014
02
May, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.4.2014
25
April, 2014
NOTICE OF INTENTION TO ISSUE NEW SHARE CERTIFICATE
02
April, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.3.2014
20
March, 2014
NEXT DAY DISCLOSURE RETURN
12
March, 2014
CHANGE OF ADDRESS OF SHARE REGISTRAR AND TRANSFER OFFICE
03
March, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.2.2014
14
February, 2014
NEXT DAY DISCLOSURE RETURN
04
February, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.1.2014
09
January, 2014
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2013
02
January, 2014
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2013
02
January, 2014
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2013
03
December, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2013
27
November, 2013
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2013
26
November, 2013
CONTINUING CONNECTED TRANSACTIONS - HOTEL MANAGEMENT CONTRACTS
15
November, 2013
DATE OF BOARD MEETING
04
November, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2013
24
October, 2013
NEXT DAY DISCLOSURE RETURN
03
October, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.9.2013
17
September, 2013
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2013
09
September, 2013
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2013
05
September, 2013
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
04
September, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.8.2013
29
August, 2013
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 29 AUGUST 2013
06
August, 2013
NEXT DAY DISCLOSURE RETURN
01
August, 2013
NEXT DAY DISCLOSURE RETURN
01
August, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.7.2013
25
July, 2013
Proxy Form for the Annual General Meeting ("Meeting") to be held on Thursday, 29 August 2013 at 11:30 a.m.
25
July, 2013
NOTICE OF ANNUAL GENERAL MEETING
25
July, 2013
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
02
July, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.6.2013
19
June, 2013
ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31 MARCH 2013
14
June, 2013
DISCLOSEABLE TRANSACTION INVOLVING ACQUISITION OF PROPERTY
03
June, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.5.2013
31
May, 2013
DATE OF BOARD MEETING
02
May, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.4.2013
25
April, 2013
DISCLOSEABLE TRANSACTION INVOLVING SALE OF THE PROPERTY
03
April, 2013
ISSUE OF CNY 850 MILLION 6 PER CENT. BONDS DUE 2018 BY DORSETT HOSPITALITY INTERNATIONAL LIMITED
02
April, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.3.2013
27
March, 2013
GRANT OF SHARE OPTIONS
26
March, 2013
PROPOSED ISSUE OF CNY 850 MILLION 6 PER CENT. BONDS DUE 2018 BY DORSETT HOSPITALITY INTERNATIONAL LIMITED
05
March, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28.2.2013
04
March, 2013
ISSUE OF CNY 1 BILLION 5.875 PER CENT. BONDS DUE 2016 BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED
04
March, 2013
CNY1,000,000,000 5.875 per cent. Bonds due 2016
26
February, 2013
PROPOSED ISSUE OF CNY 1 BILLION 5.875 PER CENT. BONDS DUE 2016 BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED
08
February, 2013
NEXT DAY DISCLOSURE RETURN
01
February, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.1.2013
10
January, 2013
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2012
03
January, 2013
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2012
02
January, 2013
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2012
04
December, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2012
28
November, 2012
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2012
16
November, 2012
DATE OF BOARD MEETING
12
November, 2012
UPDATE ON PROPOSED ISSUE OF US$ BONDS
08
November, 2012
DISCLOSEABLE TRANSACTION ACQUISITION OF PROPERTY INTEREST THROUGH ACQUIRING A TARGET COMPANY
05
November, 2012
PROPOSED ISSUE OF US$ BONDS BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED
02
November, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2012
25
October, 2012
NEXT DAY DISCLOSURE RETURN
04
October, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.9.2012
02
October, 2012
JOINT ANNOUNCEMENT - ACQUISITION OF PROPERTY
28
September, 2012
JOINT ANNOUNCEMENT - COMPLETION OF MAJOR TRANSACTION INVOLVING DISPOSAL OF A PROPERTY-HOLDING SUBSIDIARY
19
September, 2012
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2012
11
September, 2012
FINAL DIVIDEND FOR THE YEAR ENDED 31 MARCH 2012
07
September, 2012
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
04
September, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.8.2012
31
August, 2012
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
31
August, 2012
APPOINTMENT OF EXECUTIVE DIRECTORS
31
August, 2012
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 31 AUGUST 2012 AND ADOPTION OF NEW SHARE OPTION SCHEME
03
August, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.7.2012
30
July, 2012
Proxy Form for the Annual General Meeting ("Meeting") to be held on Friday, 31 August 2012 at 11:00 a.m.
30
July, 2012
NOTICE OF ANNUAL GENERAL MEETING
30
July, 2012
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES, ADOPTION OF NEW SHARE OPTION SCHEME AND NOTICE OF ANNUAL GENERAL MEETING
27
July, 2012
NEXT DAY DISCLOSURE RETURN
25
July, 2012
NEXT DAY DISCLOSURE RETURN
25
July, 2012
COMPLETION OF THE SHARE REPURCHASE
20
July, 2012
POLL RESULTS OF THE EXTRAORDINARY GENERAL MEETINGS HELD ON 20 JULY 2012 AND FULFILLMENT OF CONDITIONS PRECEDENT TO COMPLETION OF THE SHARE REPURCHASE
13
July, 2012
CONNECTED TRANSACTION ACQUISITION OF THE ENTIRE ISSUED SHARE CAPITAL OF CATHAY MOTION PICTURE STUDIOS LIMITED
03
July, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.6.2012
27
June, 2012
DESPATCH OF CIRCULAR IN RELATION TO (1) PROPOSED
OFF-MARKET
SHARE REPURCHASE AND CONNECTED TRANSACTION; AND (2) APPLICATION FOR WHITEWASH WAIVER
26
June, 2012
PROXY FORM
26
June, 2012
NOTICE OF EXTRAORDINARY GENERAL MEETING
26
June, 2012
(1) PROPOSED OFF - MARKET SHARE REPURCHASE AND CONNECTED TRANSACTION; AND (2) APPLICATION FOR WHITEWASH WAIVER
25
June, 2012
NOTICE OF EXTRAORDINARY GENERAL MEETING
25
June, 2012
Form of proxy
25
June, 2012
MAJOR TRANSACTION INVOLVING DISPOSAL OF A PROPERTY-HOLDING SUBSIDIARY AND NOTICE OF EXTRAORDINARY GENERAL MEETING
20
June, 2012
ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31 MARCH 2012
08
June, 2012
DATE OF BOARD MEETING
01
June, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.5.2012
27
May, 2012
JOINT ANNOUNCEMENT - MAJOR TRANSACTION INVOLVING DISPOSAL OF A PROPERTY-HOLDING SUBSIDIARY
16
May, 2012
ANNOUNCEMENT - EXERCISES OF OPTIONS TO SELL SHARES BY MINORITY SHAREHOLDERS OF CARE PARK GROUP PTY LTD AND CONNECTED TRANSACTION IN RELATION TO THE ENTERING INTO THE VARIATION DEED
03
May, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.4.2012
20
April, 2012
APPOINTMENT OF INDEPENDENT FINANCIAL ADVISER
17
April, 2012
JOINT ANNOUNCEMENT - SUPPLEMENTAL AGREEMENT AND COMPLETION OF ACQUISITION OF PROPERTY
16
April, 2012
(1) PROPOSED OFF-MARKET SHARE REPURCHASE AND CONNECTED TRANSACTION; AND (2) APPLICATION FOR WHITEWASH WAIVER
05
April, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.3.2012
30
March, 2012
ANNOUNCEMENT EXERCISE OF OPTION TO PURCHASE FOR SALE AND PURCHASE OF PROPERTY
30
March, 2012
MEMORANDUM AND ARTICLES OF ASSOCIATION
29
March, 2012
LIST OF DIRECTORS AND THEIR ROLE AND FUNCTION
29
March, 2012
TERMS OF REFERENCE OF REMUNERATION OF COMMITTEE
29
March, 2012
TERMS OF REFERENCE OF NOMINATION COMMITTEE
29
March, 2012
TERMS OF REFERENCE OF AUDIT COMMITTEE
16
March, 2012
ANNOUNCEMENT DISCLOSEABLE TRANSACTION INVOLVING SALE OF THE PROPERTY
06
March, 2012
NOTICE TO BONDHOLDERS OF BONDS REDEEMED AND CANCELLED
05
March, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENT IN SECURITIES FOR THE MONTH ENDED 29/2/2012
17
February, 2012
JOINT ANNOUNCEMENT - DISCLOSEABLE TRANSACTION - PROPOSED ACQUISITION OF PROPERTY
10
February, 2012
NEXT DAY DISCLOSURE RETURN (CHANGES IN ISSUED SHARE CAPITAL)
01
February, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.1.2012
09
January, 2012
SCRIP DIVIDEND SCHEME IN RELATION TO THE INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2011
06
January, 2012
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.12.2011
30
December, 2011
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2011
15
December, 2011
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED
05
December, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.11.2011
30
November, 2011
JOINT ANNOUNCEMENT - COMPLETION OF SALE OF PROPERTY AND MANAGEMENT OF THE HOTEL
24
November, 2011
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2011
11
November, 2011
Date of Board Meeting
08
November, 2011
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED
04
November, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.10.2011
31
October, 2011
POLL RESULTS OF THE EXTRAORDINARY GENERAL MEETING HELD ON 31 OCTOBER 2011
31
October, 2011
NEXT DAY DISCLOSURE RETURN - CHANGE IN ISSUED SHARE CAPITAL (31.10.2011)
13
October, 2011
Form of proxy for use at the Extraordinary General Meeting ("EGM") to be held on Monday, 31 October 2011 at 11:30 a.m. (and at any adjournment thereof)
13
October, 2011
NOTICE OF EXTRAORDINARY GENERAL MEETING
13
October, 2011
DISCLOSEABLE AND CONNECTED TRANSACTION PROPOSED ESTABLISHMENT OF JOINT VENTURE
11
October, 2011
JOINT ANNOUNCEMENT - DISCLOSEABLE AND CONNECTED TRANSACTION - PROPOSED ESTABLISHMENT OF JOINT VENTURE
10
October, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30.9.2011
27
September, 2011
SCRIP DIVIDEND SCHEME IN RELATION TO THE FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2011
26
September, 2011
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED
20
September, 2011
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2011
16
September, 2011
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
09
September, 2011
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED
08
September, 2011
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 8TH SEPTEMBER, 2011 AND CHANGES OF COMPOSITION IN THE BOARD AND AUDIT COMMITTEE
07
September, 2011
JOINT ANNOUNCEMENT DISCLOSEABLE TRANSACTION INVOLVING SALE OF THE PROPERTY
06
September, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.8.2011
12
August, 2011
JOINT ANNOUNCEMENT DISCLOSEABLE TRANSACTION PROPOSED ACQUISITION OF PROPERTY
01
August, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31.7.2011
28
July, 2011
Proxy Form for the Annual General Meeting (the "Meeting") to be held on Thursday, 8th September, 2011
28
July, 2011
NOTICE OF ANNUAL GENERAL MEETING
28
July, 2011
PROPOSALS FOR RE-ELECTION OF DIRECTOR, GRANTING OF GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES AND NOTICE OF ANNUAL GENERAL MEETING
28
July, 2011
CLOSURE OF REGISTER OF MEMBERS
05
July, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30 JUNE 2011
27
June, 2011
ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31ST MARCH, 2011
15
June, 2011
DATE OF BOARD MEETING
07
June, 2011
Monthly Return of Equity Issuer on Movements in Securities for the month ended 31.5.2011
06
May, 2011
MONTHLY RETURN FOR THE MONTH ENDED 30.4.2011
04
April, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST MARCH, 2011
01
March, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28TH FEBRUARY, 2011
16
February, 2011
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED
16
February, 2011
NEXT DAY DISCLOSURE RETURNS
01
February, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST JANUARY, 2011
10
January, 2011
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2010
04
January, 2011
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2010
03
January, 2011
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST DECEMBER, 2010
02
December, 2010
MONTHLY RETUN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30TH NOVEMBER, 2010
28
November, 2010
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER, 2010
16
November, 2010
DATE OF BOARD MEETING
01
November, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENT IN SECURITIES FOR THE MONTH ENDED 31ST OCTOBER, 2010
11
October, 2010
MAJOR TRANSACTION BY WAY OF SPIN-OFF AND SEPARATE LISTING OF KOSMOPOLITO HOTELS INTERNATIONAL LIMITED AND ITS SUBSIDIARIES ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED LISTING OF KOSMOPOLITO HOTELS INTERNATIONAL LIMITED
05
October, 2010
CHANGE OF CHIEF FINANCIAL OFFICER AND COMPANY SECRETARY
05
October, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENT IN SECURITIES FOR THE MONTH ENDED 30TH SEPTEMBER, 2010
05
October, 2010
MAJOR TRANSACTION BY WAY OF SPIN-OFF AND SEPARATE LISTING OF KOSMOPOLITO HOTELS INTERNATIONAL LIMITED AND ITS SUBSIDIARIES ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED PRICE SENSITIVE ANNOUNCEMENT FINAL OFFER PRICE PER KOSMOPOLITO SHARE
28
September, 2010
PRICE SENSITIVE ANNOUNCEMENT PUBLICATION OF THE PROSPECTUS OF KOSMOPOLITO OFFER PRICE RANGE FOR KOSMOPOLITO SHARES UNDER THE GLOBAL OFFERING DESPATCH OF PROSPECTUS IN CD-ROM TO QUALIFYING SHAREHOLDERS
20
September, 2010
PRICE SENSITIVE ANNOUNCEMENT REVISED WEB PROOF INFORMATION PACK
17
September, 2010
MAJOR TRANSACTION IN RELATION TO THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF KOSMOPOLITO HOTELS INTERNATIONAL LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED AND PROPOSED ADOPTION OF KOSMOPOLITO SHARE OPTION SCHEME RESULTS OF THE EGM
08
September, 2010
DISCLOSEABLE TRANSACTION IN RELATION TO THE ACQUISITION OF PROPERTY
07
September, 2010
CLARIFICATION
06
September, 2010
NEXT DAY DISCLOSURE RETURN (CORRECT DOCUMENT REISSUED)
06
September, 2010
NEXT DAY DISCLOSURE RETURNS
02
September, 2010
POSSIBLE MAJOR TRANSACTION IN RELATION TO THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF KOSMOPOLITO HOTELS INTERNATIONAL LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED AND PROPOSED ADOPTION OF THE KOSMOPOLITO SHARE OPTION SCHEME
02
September, 2010
Proxy Form for the Extraordinary General Meeting (Meeting) to be held on Friday, 17 September 2010
02
September, 2010
NOTICE OF EXTRAORDINARY GENERAL MEETING
02
September, 2010
POSSIBLE MAJOR TRANSACTION IN RELATION TO THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF KOSMOPOLITO HOTELS INTERNATIONAL LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED AND PROPOSED ADOPTION OF KOSMOPOLITO SHARE OPTION SCHEME PRICE SENSITIVE ANNOUNCEMENT WEB PROOF INFORMATION PACK
01
September, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENT IN SECURITIES FOR THE MONTH ENDED 31ST AUGUST, 2010
31
August, 2010
CLOSURE OF REGISTER OF MEMBERS
12
August, 2010
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
10
August, 2010
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2010
04
August, 2010
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2010
04
August, 2010
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 4TH AUGUST, 2010
02
August, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENT IN SECURITIES FOR THE MONTH ENDED 31ST JULY, 2010
06
July, 2010
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GENERAL MANDATES TO REPURCHASE SHARES AND ISSUE SHARES, ADJUSTMENT OF TERMS OF SHARE OPTIONS GRANTED AND NOTICE OF ANNUAL GENERAL MEETING
06
July, 2010
Proxy Form for the Annual General Meeting (Meeting) to be held on Wednesday, 4th August, 2010
06
July, 2010
NOTICE OF ANNUAL GENERAL MEETING
06
July, 2010
CLARIFICATION ANNOUNCEMENT
02
July, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENT IN SECURITIES FOR THE MONTH ENDED 30TH JUNE, 2010
30
June, 2010
POSSIBLE MAJOR TRANSACTION IN RELATION TO THE PROPOSED SPIN-OFF AND SEPARATE LISTING OF KOSMOPOLITO HOTELS INTERNATIONAL LIMITED ON THE MAIN BOARD OF THE STOCK EXCHANGE OF HONG KONG LIMITED
27
June, 2010
CLARIFICATION ANNOUNCEMENT
24
June, 2010
ADJUSTMENT OF TERMS OF SHARE OPTIONS GRANTED
15
June, 2010
ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31ST MARCH, 2010
02
June, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST MAY, 2010
27
May, 2010
DATE OF BOARD MEETING
06
May, 2010
NEXT DAY DISCLOSURE RETURN
05
May, 2010
NEXT DAY DISCLOSURE RETURN
03
May, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30TH APRIL, 2010
23
April, 2010
NEXT DAY DISCLOSURE RETURN
21
April, 2010
NEXT DAY DISCLOSURE RETURN
19
April, 2010
NEXT DAY DISCLOSURE RETURN
14
April, 2010
NEXT DAY DISCLOSURE RETURN
13
April, 2010
NEXT DAY DISCLOSURE RETURN
12
April, 2010
NEXT DAY DISCLOSURE RETURN
09
April, 2010
NEXT DAY DISCLOSURE RETURN
08
April, 2010
NEXT DAY DISCLOSURE RETURN
01
April, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST MARCH, 2010
31
March, 2010
NEXT DAY DISCLOSURE RETURN
29
March, 2010
NEXT DAY DISCLOSURE RETURN
26
March, 2010
NEXT DAY DISCLOSURE RETURN
07
March, 2010
ISSUE OF 3.625 PER CENT. CONVERTIBLE BONDS DUE 2015 BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED CONVERTIBLE INTO ORDINARY SHARES OF FAR EAST CONSORTIUM INTERNATIONAL LIMITED
02
March, 2010
NOTICE OF LISTING OF HK$800,000,000 3.625 per cent. Convertible Bonds due 2015 convertible into ordinary shares of the Company
01
March, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28TH FEBRUARY, 2010
25
February, 2010
NEXT DAY DISCLOSURE RETURNS
01
February, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST JANUARY, 2010
20
January, 2010
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2009
15
January, 2010
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2009
08
January, 2010
PROPOSED ISSUE OF 3.625 PER CENT. CONVERTIBLE BONDS DUE 2015 BY FAR EAST CONSORTIUM INTERNATIONAL LIMITED CONVERTIBLE INTO ORDINARY SHARES OF FAR EAST CONSORTIUM INTERNATIONAL LIMITED
05
January, 2010
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST DECEMBER, 2009
17
December, 2009
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2009
04
December, 2009
DATE OF BOARD MEETING
01
December, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30TH NOVEMBER, 2009
02
November, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST OCTOBER, 2009
05
October, 2009
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
05
October, 2009
NEXT DAY DISCLOSURE RETURN
05
October, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30TH SEPTEMBER, 2009
09
September, 2009
DISCLOSEABLE TRANSACTION IN RELATION TO SUCCESSFUL LAND TENDER IN SINGAPORE
07
September, 2009
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2009
01
September, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST AUGUST, 2009
31
August, 2009
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2009
31
August, 2009
POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 31ST AUGUST, 2009
27
August, 2009
DISCLOSEABLE AND CONNECTED TRANSACTIONS IN RELATION TO THE ACQUISITION OF CAR PARK INTERESTS COMPLETION OF THE BEST IMPACT AGREEMENT
27
August, 2009
NEXT DAY DISCLOSURE RETURN
04
August, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST JULY, 2009
30
July, 2009
NOTICE OF ANNUAL GENERAL MEETING
30
July, 2009
Proxy Form for the Annual General Meeting (Meeting) to be held on Monday, 31st August, 2009
30
July, 2009
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GENERAL MANDATE TO REPURCHASE SHARES AND TO ISSUE SHARES, AND NOTICE OF ANNUAL GENERAL MEETING
27
July, 2009
DISCLOSEABLE AND CONNECTED TRANSACTIONS IN RELATION TO THE ACQUISITION OF CAR PARK INTERESTS AND PROPOSED CONVERSION OF CONVERTIBLE BOND COMPLETIONS OF THE CARE PARK IMPLEMENTATION AGREEMENT AND PROPOSED CONVERSION OF CONVERTIBLE BOND
27
July, 2009
NEXT DAY DISCLOSURE RETURN
16
July, 2009
ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31ST MARCH, 2009
06
July, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30TH JUNE, 2009
25
June, 2009
DATE OF BOARD MEETING
19
June, 2009
DISCLOSEABLE AND CONNECTED TRANSACTIONS IN RELATION TO THE ACQUISITION OF CAR PARK INTERESTS, PROPOSED CONVERSION OF CONVERTIBLE BONDS, WHITEWASH WAIVER AND PROPOSED INCREASE IN AUTHORISED SHARE CAPITAL RESULTS OF THE EGM
09
June, 2009
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED Far East Consortium International Limited HK$754,400,000 Zero Coupon Convertible Bonds due 2009 (the "Company" and the "Bonds" respectively) ISIN: XS0205659427
03
June, 2009
Proxy Form for the Extraordinary General Meeting (the "Meeting") to be held on 19 June 2009
03
June, 2009
DISCLOSEABLE AND CONNECTED TRANSACTIONS IN RELATION TO THE ACQUISITION OF CAR PARK INTERESTS, PROPOSED CONVERSION OF CONVERTIBLE BONDS, WHITEWASH WAIVER AND PROPOSED INCREASE IN AUTHORISED SHARE CAPITAL
03
June, 2009
NOTICE OF EGM
02
June, 2009
DISCLOSEABLE AND CONNECTED TRANSACTIONS IN RELATION TO THE ACQUISITION OF CAR PARK INTERESTS, PROPOSED CONVERSION OF CONVERTIBLE BONDS, WHITEWASH WAIVER AND PROPOSED INCREASE IN AUTHORISED SHARE CAPITAL DESPATCH OF CIRCULAR
02
June, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST MAY, 2009
27
May, 2009
DISCLOSEABLE AND CONNECTED TRANSACTIONS IN RELATION TO THE ACQUISITION OF CAR PARK INTERESTS, PROPOSED CONVERSION OF CONVERTIBLE BONDS, WHITEWASH WAIVER AND PROPOSED INCREASE IN AUTHORISED SHARE CAPITAL DELAY IN DESPATCH OF CIRCULAR
08
May, 2009
GRANT OF SHARE OPTION
07
May, 2009
DISCLOSEABLE AND CONNECTED TRANSACTIONS IN RELATION TO THE ACQUISITION OF CAR PARK INTERESTS, PROPOSED CONVERSION OF CONVERTIBLE BONDS, WHITEWASH WAIVER AND PROPOSED INCREASE IN AUTHORISED SHARE CAPITAL
05
May, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 30TH APRIL, 2009
21
April, 2009
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED Far East Consortium International Limited HK$754,400,000 Zero Coupon Convertible Bonds due 2009 (the "Company" and the "Bonds" respectively) ISIN: XS0205659427
01
April, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST MARCH, 2009
02
March, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 28TH FEBRUARY, 2009
27
February, 2009
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
27
February, 2009
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
27
February, 2009
NEXT DAY DISCLOSURE RETURNS
02
February, 2009
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31ST JANUARY, 2009
22
January, 2009
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2008
16
January, 2009
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2008
23
December, 2008
DISCLOSEABLE TRANSACTION IN RELATION TO THE ACQUISITION OF PROPERTY IN AUSTRALIA
19
December, 2008
UNUSUAL PRICE/TURNOVER MOVEMENTS
10
December, 2008
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2008
10
December, 2008
DISCLOSEABLE TRANSACTION IN RELATION TO THE ACQUISITION OF PROPERTY IN AUSTRALIA
01
December, 2008
DATE OF BOARD MEETING
07
November, 2008
COMPLETION OF ACQUISITION
28
October, 2008
CLARIFICATION ANNOUNCEMENT
21
October, 2008
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED
08
October, 2008
NOTICE TO BONDHOLDERS OF BONDS PURCHASED AND CANCELLED
08
October, 2008
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE Far East Consortium International Limited US$66,989,000 Zero Coupon Convertible Bonds due 2009 (the "Company" and the "Bonds" respectively) ISIN: XS0188599988
08
October, 2008
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE Far East Consortium International Limited HK$754,400,000 Zero Coupon Convertible Bonds due 2009 (the "Company" and the "Bonds" respectively) ISIN: XS0205659427
30
September, 2008
SHARE BUYBACK REPORTS
08
September, 2008
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2008
29
August, 2008
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2008
21
August, 2008
A "BLACK" RAINSTORM WARNING OR A TROPICAL CYCLONE WARNING SIGNAL NUMBER 8 OR ABOVE ARRANGEMENT FOR THE ANNUAL GENERAL MEETING TO BE HELD ON 22 AUGUST 2008
18
August, 2008
SHARE BUYBACK REPORTS
15
August, 2008
SHARE BUYBACK REPORTS
12
August, 2008
SHARE BUYBACK REPORTS
11
August, 2008
SHARE BUYBACK REPORTS
08
August, 2008
SHARE BUYBACK REPORTS
07
August, 2008
SHARE BUYBACK REPORTS
05
August, 2008
SHARE BUYBACK REPORTS
01
August, 2008
SHARE BUYBACK REPORTS
31
July, 2008
SHARE BUYBACK REPORTS
30
July, 2008
NOTICE OF ANNUAL GENERAL MEETING
30
July, 2008
Proxy Form for the Annual General Meeting to be held on Friday, 22nd August, 2008
30
July, 2008
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GENERAL MANDATE TO REPURCHASE SHARES AND TO ISSUE SHARES, AND NOTICE OF ANNUAL GENERAL MEETING
30
July, 2008
SHARE BUYBACK REPORTS
29
July, 2008
SHARE BUYBACK REPORTS
25
July, 2008
SHARE BUYBACK REPORTS
22
July, 2008
SHARE BUYBACK REPORTS
21
July, 2008
CLARIFICATION ANNOUNCEMENT
21
July, 2008
SHARE BUYBACK REPORTS
20
July, 2008
ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31ST MARCH, 2008
08
July, 2008
Date of Board Meeting
30
June, 2008
Share Buyback Reports (Revised)
20
June, 2008
DISCLOSEABLE TRANSACTION IN RELATION TO THE ACQUISITION OF JIANHUA ORIENTAL APARTMENT
05
June, 2008
DISCLOSEABLE TRANSACTION IN RELATION TO THE ACQUISITION OF JIANHUA ORIENTAL APARTMENT
05
June, 2008
Share Buyback Reports
22
May, 2008
Share Buyback Reports
16
May, 2008
Share Buyback Reports
09
May, 2008
Share Buyback Reports
17
April, 2008
Share Buyback Reports
16
April, 2008
Share Buyback Reports
15
April, 2008
Share Buyback Reports
14
April, 2008
Share Buyback Reports
10
April, 2008
SHARE BUYBACK REPORTS
26
March, 2008
SHARE BUYBACK REPORTS
25
March, 2008
SHARE BUYBACK REPORTS
20
March, 2008
SHARE BUYBACK REPORTS
19
March, 2008
VERY SUBSTANTIAL DISPOSAL IN RELATION TO THE PROPOSED SPIN-OFF OF HONG KONG HOTEL REAL ESTATE INVESTMENT TRUST ON THE MAIN BOARD OF THE STOCK EXCHANGE - POSTPONEMENT
19
March, 2008
SHARE BUYBACK REPORTS
13
March, 2008
SHARE BUYBACK REPORTS
28
February, 2008
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE Far East Consortium International Limited HK$754,400,000 Zero Coupon Convertible Bonds due 2009 (the "Company" and the "Bonds" respectively) ISIN: XS0205659427
28
February, 2008
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE Far East Consortium International Limited US$66,989,000 Zero Coupon Convertible Bonds due 2009 (the "Company" and the "Bonds" respectively) ISIN: XS0188599988
21
February, 2008
VERY SUBSTANTIAL DISPOSAL IN RELATION TO THE PROPOSED SPIN-OFF OF HONG KONG HOTEL REAL ESTATE INVESTMENT TRUST ON THE MAIN BOARD OF THE STOCK EXCHANGE EXECUTION OF THE TRUST DEED AND FORMAL APPLICATION
04
February, 2008
VERY SUBSTANTIAL DISPOSAL IN RELATION TO THE PROPOSED SPIN-OFF OF HONG KONG HOTEL REAL ESTATE INVESTMENT TRUST ON THE MAIN BOARD OF THE STOCK EXCHANGE RESULTS OF THE EXTRAORDINARY GENERAL MEETING
28
January, 2008
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2007
22
January, 2008
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2007
18
January, 2008
Proxy Form for the Extraordinary General Meeting to be held on Monday, 4 February 2008
18
January, 2008
VERY SUBSTANTIAL DISPOSAL IN RELATION TO THE PROPOSED SPIN-OFF OF HONG KONG HOTEL REAL ESTATE INVESTMENT TRUST ON THE MAIN BOARD OF THE STOCK EXCHANGE
18
January, 2008
NOTICE OF THE EGM
17
January, 2008
ANNOUNCEMENT
15
January, 2008
VERY SUBSTANTIAL DISPOSAL IN RELATION TO THE PROPOSED SPIN-OFF OF HONG KONG HOTEL REAL ESTATE INVESTMENT TRUST ON THE MAIN BOARD OF THE STOCK EXCHANGE AND RESUMPTION OF TRADING
14
January, 2008
SUSPENSION OF TRADING
18
December, 2007
SHARE BUYBACK REPORTS
17
December, 2007
Share Buyback Reports
16
December, 2007
ANNOUNCEMENT OF RESULTS FOR THE SIX MONTHS ENDED 30TH SEPTEMBER, 2007
03
December, 2007
Date of Board Meeting
28
September, 2007
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
28
September, 2007
NOTICE TO BONDHOLDERS OF ADJUSTMENT TO CONVERSION PRICE
30
August, 2007
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2007
24
August, 2007
FINAL DIVIDEND FOR THE YEAR ENDED 31ST MARCH, 2007
30
July, 2007
Proxy Form for the Annual General Meeting to be held on Thursday, 23rd August, 2007
30
July, 2007
PROPOSALS FOR RE-ELECTION OF DIRECTORS, GENERAL MANDATE TO REPURCHASE SHARES AND TO ISSUE SHARES, AND NOTICE OF ANNUAL GENERAL MEETING
30
July, 2007
NOTICE OF ANNUAL GENERAL MEETING
26
July, 2007
DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITION OF A BUILDING COMPLEX IN THE PRC
19
July, 2007
ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31ST MARCH, 2007
06
July, 2007
DATE OF BOARD MEETING
04
July, 2007
DISCLOSEABLE TRANSACTION IN RELATION TO ACQUISITION OF A BUILDING COMPLEX IN THE PRC
04
July, 2007
RESIGNATION OF DIRECTORS
03
July, 2007
EXTENSION OF LONG STOP DATE IN RESPECT OF THE AGREEMENT REGARDING THE ACQUISITION OF FURTHER HOTEL INTERESTS
21
May, 2007
Circular (Discloseable transaction in relation to acquisition of a building project in the PRC)
02
May, 2007
Appointment of Independent Non-Executive Director
24
April, 2007
Discloseable Transaction in relation to Acquisition of a Building Project in the PRC
27
February, 2007
US$66,989,000 Zero Coupon Convertible Bonds due 2009
27
February, 2007
HK$754,400,000 Zero Coupon Convertible Bonds due 2009
05
February, 2007
Results of the Extraordinary General Meeting
25
January, 2007
Interim Dividend for the Six Months Ended 30th September, 2006
22
January, 2007
Interim Dividend for the Six Months Ended 30th September, 2006
19
January, 2007
Discloseable and Connected Transaction - Acquisition of Further Hotel Interests
19
January, 2007
Proxy Form
19
January, 2007
Notice of Extraordinary General Meeting
12
January, 2007
Delay in despatch of Circular
08
January, 2007
Discloseable Transaction
21
December, 2006
Discloseable and Connected Transaction - Acquisition of Further Hotel Interests
18
December, 2006
Announcement of Results for the Six Months Ended 30th September, 2006
15
December, 2006
Discloseable Transaction
17
October, 2006
HK$754,400,000 Zero Coupon Convertible Bonds due 2009
17
October, 2006
US$66,989,000 Zero Coupon Convertible Bonds due 2009
16
October, 2006
Unusual Price & Volume Movements
05
October, 2006
Discloseable Transaction
05
October, 2006
Discloseable Transaction
15
September, 2006
Final Dividend for the Year Ended 31st March, 2006
14
September, 2006
Discloseable Transaction
12
September, 2006
Final Dividend for the Year Ended 31st March, 2006
31
August, 2006
Delay in Despatch of Circular
25
August, 2006
Final Dividend for the Year Ended 31st March, 2006
07
August, 2006
Announcement
27
July, 2006
Notice of Annual General Meeting
24
July, 2006
Proposals for Re-Election of Directors, General Mandate to Repurchase Shares and to Issue Shares, and Notice of Annual General Meeting
15
July, 2006
Announcement of Results for the Year Ended 31st March, 2006
16
June, 2006
Clarification Announcement
16
June, 2006
Change of Directors
14
March, 2006
US$66,989,000 Zero Coupon Convertible Bonds due 2009
14
March, 2006
HK$754,400,000 Zero Coupon Convertible Bonds due 2009
09
February, 2006
Interim Dividend for the Six Months Ended 30th September, 2005 and Adjustment to Conversion Price of the Bonds HK$754,400,000 Zero Coupon Convertible Bonds Due 2009
02
February, 2006
Unusual Price and Volume Movements
26
January, 2006
Interim Dividend for the Six Months Ended 30th September, 2005
19
January, 2006
Notice to Bondholders of Adjustment to Conversion Price - HK$754,400,000 Zero Coupon Convertible Bonds Due 2009 (the "Bonds")
22
December, 2005
Announcement
20
December, 2005
Interim Results for the Six Months Ended 30th September, 2005
18
November, 2005
Appointment of Independent Non-Executive Director
29
August, 2005
Clarification Announcement
26
August, 2005
Final Dividend for the Year Ended 31st March, 2005
22
August, 2005
Clarification Announcement
19
August, 2005
Final Dividend for the Year Ended 31st March, 2005 and Retirement of Independent Non-Executive Director
27
July, 2005
Proposals for Re-Election of Directors, General Mandate to Repurchase Shares and to Issue Shares, and Notice of Annual General Meeting
27
July, 2005
Proxy Form for the Annual General Meeting to be Held on Friday, 19th August, 2005
27
July, 2005
Notice of Annual General Meeting
13
July, 2005
Announcement
13
July, 2005
Announcement of Results for the Year Ended 31st March, 2005
20
June, 2005
Announcement
03
June, 2005
Announcement
12
May, 2005
Change of Company Secretary
15
March, 2005
Clarification Announcement
17
January, 2005
Interim Dividend for the Six Months Ended 30th September, 2004
13
January, 2005
Interim Dividend for the Six Months Ended 30th September, 2004
11
December, 2004
Issue of Zero Coupon Convertible Bonds Due 2009 by Far East Consortium International Limited Convertible into Ordinary Shares of Far East Consortium International Limited
09
December, 2004
Interim Results for the Six Months Ended 30th September, 2004
26
November, 2004
Further Announcement on the Proposed Issue of Zero Coupon Convertible Bonds Due 2009 by Far East Consortium International Limited Convertible into Ordinary Shares of Far East Consortium International Limited
10
November, 2004
Proposed Issue of Zero Coupon Convertible Bonds Due 2009 by Far East Consortium International Limited Convertible into Ordinary Shares of Far East Consortium International Limited and Resumption of Trading of Shares
04
November, 2004
Far East Consortium International Limited, Far East Technology International Limited and Far East Hotels & Entertainment Limited - Joint Announcement
02
November, 2004
Discloseable Transaction Disposal of Dorsett Garden Hotel
12
October, 2004
Discloseable Transaction
04
October, 2004
Change of Company Secretary
15
September, 2004
Proxy Form for the Extraordinary General Meeting to be Held on Tuesday, 12 October 2004
15
September, 2004
Notice of Extraordinary General Meeting
15
September, 2004
Major and Discloseable Transactions and Increase of Authorised Share Capital
02
September, 2004
Final Dividend for the Year Ended 31st March, 2004
31
August, 2004
Delay in Despatch of Circular
25
August, 2004
Final Dividend for the Year Ended 31st March, 2004 and Clarification of Recent Turnover of the Company's Shares
18
August, 2004
Major Transaction - Disposal of Property of Far East Bank Mongkok Building Signing of the Formal Agreement Postponed
12
August, 2004
Delay in Despatch of Circular
02
August, 2004
Proxy Form for the Annual General Meeting to be Held on Wednesday, 25th August, 2004
02
August, 2004
Discloseable Transaction - Acquisition of Property at 263 Hollywood Road Signing of the Formal Agreement Postponed
30
July, 2004
Notice of Annual General Meeting
30
July, 2004
General Mandate to Repurchase Shares and to Issue Shares Notice of Annual General Meeting Re-Election of Directors and Amendments to Articles of Association of the Company
27
July, 2004
Appointment of Director
21
July, 2004
Major and Discloseable Transactions - Resumption of Trading
15
July, 2004
Announcement of Results for the Year Ended 31st March, 2004
13
April, 2004
Issue of Zero Coupon Convertible Bonds Due 2009 by Far East Consortium International Limited Convertible into Ordinary Shares of Far East Consortium International Limited
11
March, 2004
Proposed Issue of Zero Coupon Convertible Bonds Due 2009 by Far East Consortium International Limited Convertible into Ordinary Shares of Far East Consortium International Limited and Resumption of Trading of Shares
01
March, 2004
Retirement of Director
17
February, 2004
Far East Consortium International Limited and Far East Technology International Limited - Joint Announcement
27
January, 2004
Interim Dividend for the Six Months Ended 30th September, 2003
21
January, 2004
Interim Dividend for the Six Months Ended 30th September, 2003
21
January, 2004
General Mandate to Issue Shares
16
January, 2004
Connected Transaction in Relation to the Acquisition of Tang City Properties Pte Ltd
30
December, 2003
Announcement
24
December, 2003
Far East Consortium International Limited and Far East Technology International Limited - Joint Announcement
17
December, 2003
Interim Results for the Six Months Ended 30th September, 2003
05
September, 2003
Final Dividend for the Year Ended 31st March, 2003
04
September, 2003
Placing of Existing Shares and Top-Up Subscription for New Shares and Resumption of Trading of Shares
29
August, 2003
Final Dividend for the Year Ended 31st March, 2003
31
July, 2003
General Mandates to Repurchase Shares and to Issue Shares
25
July, 2003
Announcement of Results for the Year Ended 31st March, 2003 and Notice of Annual General Meeting
20
March, 2003
Announcement
24
January, 2003
Announcement
20
December, 2002
Interim Results for the Six Months Ended 30th September, 2002
03
September, 2002
Final Dividend for the Year Ended 31st March, 2002
28
August, 2002
Final Dividend for the Year Ended 31st March, 2002; Adoption of New Share Option Scheme
31
July, 2002
General Mandates to Repurchase Shares and to Issue Shares Adoption of New Share Option Scheme and Termination of Existing Share Option Scheme
24
July, 2002
Announcement of Results for the Year Ended 31st March, 2002 & Notice of Annual General Meeting
18
December, 2001
Interim Results for the Six Months Ended 30th September, 2001
27
August, 2001
Final Dividend for the Year Ended 31st March, 2001
18
July, 2001
Announcement of Results for the Year Ended 31 March 2001 & Notice of Annual General Meeting
10
April, 2001
Connected Transaction
28
March, 2001
Supplemental Agreement to the Connected Transaction
08
February, 2001
Adjournment of an Extraordinary General Meeting
22
January, 2001
Connected Transaction
19
January, 2001
Dispatch of Circular
04
January, 2001
Delay in Despatch of Circular in Relation to a Connected Transaction
18
December, 2000
Interim Results for the Six Months Ended 30th September, 2000
14
December, 2000
Proposed Connected Transactions
21
November, 2000
Notice of Expiry of Subscription Rights Attaching to the 2000 Warrants
21
November, 2000
Notice of Expiry of Subscription Rights Attaching to the 2000 Warrants
14
November, 2000
Discloseable Transaction - Acquisition of Pearl Garden Hotel and Pearl Seaview Hotel
24
October, 2000
Discloseable Transaction
28
September, 2000
Final Dividend for the Year Ended 31st March, 2000
23
August, 2000
Announcement of Results for the Year Ended 31st March, 2000 and Notice of Annual General Meeting
13
April, 2000
Debt Restructuring Proposal for Chi Cheung Investment Company, Limited (the "Proposal")
11
March, 2000
Spin-Off and Separate Listing of New China Homes, Ltd. on the NASDAQ Stock Market
03
February, 2000
Announcement
29
January, 2000
Announcement
12
January, 2000
Proposed Financial Restructuring of Chi Cheung Investment Company, Limited
04
January, 2000
Rescue and Debt Restructuring Proposal for Chi Cheung Investment Company, Limited (the "Proposal")
17
September, 1999
Interim Results for the Six Months Ended 30th September, 1999
No data Found!