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Hk electric investments limited stock code

Over the years, we have steadily been increasing the number of services we offer online or via mobile. These e-services, such as e-payment,e-forms and e-billing have proved very useful during this period as customers migrated more of their activities online. We have deployed robotic process automation to handle high-volume and repetitive tasks in our call centre in order to improve customer service through technological innovation.

From January , we have rolled out a platform of five relief measures to support SME customers, especially small catering establishments. Tariff increases were waived for a six-month grace period for more than 70, non-residential customers and subsidies were provided to commercial customers including SMEs to purchase energy-efficient equipment.

Separately, SME caterers benefitted from a two-month electricity payment deferral scheme to ease any short-term cash flow problems. In addition, we have provided a food and beverage subsidy to about 50 NGO-run community centres to organise events for the underprivileged. In June, we joined other Cheung Kong Group companies in raising funds for The Community Chest by matching public contributions, thus doubling total donations to help the community through the pandemic.

While we had to suspend our routine community outreach activities in line with government guidelines, we continued to reach out through mobile devices. The Happy Green Campaign continued to promote environmental messages among younger audiences under the theme "Smart Power for Smart City" via online platforms and social media. We have since finalised internal targets for the three SDGs with their respective actual implementation. This will provide us with a framework with which to keep track of progress of our decarbonisation and innovation efforts.

Thanks in part to our increased proportion of gas-fired generation and a commensurate reduction in our coal-fired electricity generation, we were able to reduce our emissions of nitrogen oxides, sulphur dioxide and respirable suspended particulates as well as carbon emissions. Our suite of Smart Power Services plays an important role in promoting energy efficiency in the Hong Kong community, completing more than audits of businesses for energy efficiency during the period.

We connected another 26 renewable energy installations on customer premises to the grid under the Feed-in Tariff Scheme and sold Renewable Energy Certificates covering 1. The total renewable energy generated by all customer-side installations during the period was about MWh. We have expanded our support of electric vehicles EVs to enable electrification of public transportation in Hong Kong. We participated in initiatives relating to the development of charging stations for electric buses, the launch of electric ferries and a trial of electric mini-buses.

We upgraded two of our free EV charging stations to Multi-standard Quick Chargers to make them accessible to more drivers. Apart from our 12 free EV charging stations, which recorded 8, charging operations during the past six months, we are supporting a pilot subsidy scheme by the Government to install charging facilities at car parks of residential buildings.

In spite of the continued impact of the pandemic on all sectors which is expected throughout the second half of , we remain committed to our pledge to deliver reliable, green energy to the residents of Hong Kong while helping the city decarbonise over the long term. Our priority is to move forward steadfastly with the capital projects under our Development Plan.

Construction works will take place under an accelerated timeline in the coming years to ensure all projects are completed on schedule. Our objective is to serve better by achieving sustainable operations, higher efficiencies and continued progress through innovation.

In closing, my heartfelt thanks go to the board and our dedicated employees who have gone above and beyond during this challenging period. In order to enable the Trust to pay that distribution, the Company Board has declared the payment of a first interim dividend in respect of the Company's ordinary shares held by the Trustee-Manager of HK In determining the distribution amount, the Company Board has taken into account the Group's financial performance achieved during the period under review and its stable cashflow from operations, and consider it appropriate to adjust the distributable income for the six months ended 30 June , as calculated pursuant to the Trust Deed, by the above discretionary amount, pursuant to clause The Trust Group manages its financial risks in accordance with guidelines laid down in its treasury policy which is designed to manage the Trust Group's currency, interest rate and counterparty risks.

Surplus funds, which arise mainly from provision for capital expenditure to be incurred and from electricity bill collection, are placed on short-term deposits denominated in Hong Kong dollars. The Trust Group aims to ensure that adequate financial resources are available for refinancing and business growth whilst maintaining a prudent capital structure.

The proceeds of these issues were either utilised for its general corporate purpose or earmarked for the redemption of notes maturing in December The Trust Group's financial profile remained strong during the period. On 26 February , Standard. The profile of the Trust Group's external borrowings as at 30 June , after taking into account forward foreign exchange contracts, cross currency and interest rate swaps, was as follows:.

The Trust Group's policy is to maintain a portion of its debt at fixed interest rates taking into consideration business and operational needs. Interest rate risk is managed by either securing fixed rate borrowings or by using interest rate derivatives.

Currency and interest rate risks are actively managed in accordance with the Trust Group's treasury policy. Derivative financial instruments are used primarily for managing interest rate and foreign currency risks and not for speculative purposes. Treasury transactions are only executed with counterparties with acceptable credit ratings to control counterparty risk exposure. The Trust Group's principal foreign currency transaction exposures arise from the import of fuel and capital equipment.

Foreign currency transaction exposure is managed mainly through forward foreign exchange contracts. The Trust Group is also exposed to foreign currency fluctuation arising from the foreign currency borrowings. Such exposures are, where appropriate, mitigated by the use of either forward foreign exchange contracts or cross currency swaps. As at 30 June , no assets of the Trust Group were pledged to secure its loans and banking facilities 31 December Nil. As at 30 June , the Trust Group had no guarantee or indemnity to external parties 31 December Nil.

The Trust Group maintains a policy of pay-for-performance and the pay levels are monitored to ensure competitiveness is maintained. As at 30 June , the Trust Group employed 1, 31 December 1, permanent employees. No share option scheme is in operation. As explained in note 3, the unaudited consolidated interim financial statements of the Trust and the unaudited consolidated interim financial statements of the Company are presented together.

The adoption of these amendments to HKFRSs does not have a material impact on the Groups' results and financial positions for the current or prior periods. The Groups have not applied any new standard or amendment that is not effective for the current accounting period. The principal activity of the Groups is the generation and supply of electricity to Hong Kong Island and Lamma Island.

Disaggregation of revenue by type of output and services is analysed as follows:. The provision for Hong Kong Profits Tax for this subsidiary was calculated at the same basis in Pursuant to the rules and regulations of the Cayman Islands and the British Virgin Islands, the Groups are exempt from any income tax in these jurisdictions.

The Scheme of Control transfers are mid-year notional transfers. The actual Scheme of Control transfers can only be determined in accordance with the Scheme of Control at the year end. Notional Scheme of Control transfers during the period represent transfer to the following:. The ageing analysis of trade debtors based on invoice date, which are neither individually nor collectively considered to be impaired, is as follows:. Electricity bills issued to residential, small industrial, commercial and miscellaneous customers for electricity supplies are due upon presentation whereas maximum demand customers are allowed a credit period of 16 working days.

Bank loans and other interest-bearing borrowings. The preparation of the interim financial statements in conformity with HKAS 34 requires management to make judgements, estimates and assumptions that affect the application of policies and reported amounts of assets and liabilities, income and expenses on a year to date basis.

Actual results may differ from these estimates. The interim financial statements and selected explanatory notes thereon do not include all of the information required for full set of financial statements prepared in accordance with HKFRSs.

The financial information relating to the financial year ended 31 December that is included in the interim financial statements as comparative information does not constitute the Company's statutory financial statements for that financial year but is derived from those financial statements. Further information relating to these statutory financial statements disclosed in accordance with section of the Hong Kong Companies Ordinance is as follows:.

The Company's financial statements together with the consolidated financial statements of the Trust and of HK Electric Investments Limited for the year ended 31 December will be delivered to the Registrar of Companies in due course. The Company's auditor has reported on the financial statements of the Company for the year ended 31 December The auditor's report was unqualified; did not include a reference to any matters to which the auditor drew attention by way of emphasis without qualifying its report; and did not contain a statement under sections 2 , 2 or 3 of the Hong Kong Companies Ordinance.

The distribution will be payable on Friday, 28 August to Holders of Share Stapled Units whose names appear in the Share Stapled Units Register at the close of business on Wednesday, 19 August , being the record date for determination of entitlement to the interim distribution. Unless and until expressly permitted to do so by the relevant codes and guidelines issued by the Securities and Futures Commission from time to time, the Trustee-Manager shall not repurchase or redeem any Share Stapled Units on behalf of the Trust.

None of the Trust, the Trustee-Manager, the Company nor any of their subsidiaries purchased, sold or redeemed any of the issued Share Stapled Units during the six months ended 30 June The Boards are committed to maintaining high standards of corporate governance, and recognise that sound and effective corporate governance practices are fundamental to the smooth, effective and transparent operation of the Trustee-Manager and the Trust Group, and the ability to attract investment, protect the rights of Holders of Share Stapled Units and other stakeholders, and enhance the value of the Share Stapled Units.

The corporate governance policies of the Trustee-Manager and the Trust Group are designed to achieve these objectives and are maintained through a framework of processes, policies and guidelines. Pursuant to the Trust Deed, the Trustee-Manager is responsible for compliance by the Trust with the Listing Rules applicable to the Trust and other relevant laws and regulations, the Company is responsible for compliance by the Company with the Listing Rules applicable to the Company and other relevant laws and regulations, and each of the Trustee-Manager and the Company will co-operate with each other to ensure that each party complies with the Listing Rules obligations and to co-ordinate disclosure to the Stock Exchange.

The Trust and the Company have complied with the applicable code provisions in the Corporate Governance Code throughout the six months ended 30 June , except as stated hereunder. The Trustee-Manager does not have a remuneration committee as provided for in code provision B. In accordance with code provision A. While its membership comprises all Directors of the Company, the Nomination Committee of the Company is assisted by an ad hoc sub-committee which is chaired by the Chairman of the Company Board and its membership, comprising a majority of Independent Non-executive Directors, is compliant with the requirements under the Listing Rules for a nomination committee when discharging its responsibilities.

The Trustee-Manager does not have a nomination committee as provided for in code provision A. The Trust Group is committed to achieving and maintaining standards of openness, probity and accountability. In line with this commitment and in compliance with the Corporate Governance Code, the Trustee-Manager Audit Committee and the Company Audit Committee have reviewed the procedures for reporting possible improprieties in financial reporting, internal control or other matters.

In addition, the Trustee-Manager and the Company have established a policy relating to inside information and securities dealing for compliance by all employees of the Group. The Boards have adopted the Model Code as their code of conduct regulating directors' securities transactions. All Directors have confirmed following specific enquiry that they have complied with the required standards set out in the Model Code throughout the six months ended 30 June In this interim results announcement, unless the context otherwise requires, the following expressions shall have the following meanings:.

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Our Services. MarketScreener Portfolios. Add to my list. Page 1. Supporting stakeholders during this unprecedented time From January , we have rolled out a platform of five relief measures to support SME customers, especially small catering establishments. Outlook In spite of the continued impact of the pandemic on all sectors which is expected throughout the second half of , we remain committed to our pledge to deliver reliable, green energy to the residents of Hong Kong while helping the city decarbonise over the long term.

Note: Pursuant to clause 1. Sign up. New member. Schweiz DE. Suisse FR. United Kingdom. United States. Latest News. Listed company. Sector News. All Analysis. Stock Picks. All stock picks. My Portfolio. My Watchlists. Investment themes. Top News. Top Fundamentals. Top Technicals. Top Movers. Investment selections.

Technical Rankings. Fundamental Rankings. Stock Screener Home. MarketScreener tools. Dynamic chart. Our Services. MarketScreener Portfolios. Add to my list. Attachments Original document Permalink. More Financials. Period : Day Week. Technical analysis. Income Statement Evolution. Please enable JavaScript in your browser's settings to use dynamic charts. Sell Buy.

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Economic Moat.

Fineco forex spread Bank loans and other interest-bearing borrowings. The Directors of the Trustee-Manager and Directors of the Company vance williams forex market that it is clearer to present the unaudited consolidated interim financial statements of the Trust and of the Company together. That may be why Li Ka-Shing needs to sell this asset through IPO as current valuation is still high enough at this time for him to take good profits. Scheme of Control transfers The Scheme of Control transfers are mid-year notional transfers. SOEs State-owned Enterprises. Add to Your Watchlists New watchlist. The outbreak of COVID and the need to implement extensive precautionary measures have posed challenges to our operations - not only do we have to adhere to safeguarding guidelines, but as an essential utility we also have to ensure uninterrupted supply for our customers.
Moses tembe investments On 26 FebruaryStandard Poor's reaffirmed the "A-"long-term credit rating and "Stable" outlook for the Company which had remained unchanged since September We have expanded our support of electric vehicles EVs to enable electrification of public transportation in Hong Kong. About Us. Forex Quote. Email: support aastocks. The scope of activity of the Trust as provided in the Trust Deed is limited to investing in the Company. World Indices.
Online home jobs without investment or registration fee Prior to the execution of a security trade elnur ahmedov investment upon the Information, you are advised to consult independent professional advice to verify pricing information or to obtain more detailed market information. Contingent liabilities As at 30 Junethe Trust Group had no guarantee or indemnity to external parties 31 December Nil. This will provide us with a framework with which to keep track of progress of our decarbonisation and innovation efforts. Companies with ratings are not formally covered by a Morningstar analyst, but are statistically matched to analyst-rated companies, allowing our models to calculate a quantitative moat, fair value, and uncertainty rating. My Watchlists. All News. GEM All.

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In spite of the continued impact of the pandemic on all sectors which is expected throughout the second half of , we remain committed to our pledge to deliver reliable, green energy to the residents of Hong Kong while helping the city decarbonise over the long term.

Our priority is to move forward steadfastly with the capital projects under our Development Plan. Construction works will take place under an accelerated timeline in the coming years to ensure all projects are completed on schedule. Our objective is to serve better by achieving sustainable operations, higher efficiencies and continued progress through innovation.

In closing, my heartfelt thanks go to the board and our dedicated employees who have gone above and beyond during this challenging period. In order to enable the Trust to pay that distribution, the Company Board has declared the payment of a first interim dividend in respect of the Company's ordinary shares held by the Trustee-Manager of HK In determining the distribution amount, the Company Board has taken into account the Group's financial performance achieved during the period under review and its stable cashflow from operations, and consider it appropriate to adjust the distributable income for the six months ended 30 June , as calculated pursuant to the Trust Deed, by the above discretionary amount, pursuant to clause The Trust Group manages its financial risks in accordance with guidelines laid down in its treasury policy which is designed to manage the Trust Group's currency, interest rate and counterparty risks.

Surplus funds, which arise mainly from provision for capital expenditure to be incurred and from electricity bill collection, are placed on short-term deposits denominated in Hong Kong dollars. The Trust Group aims to ensure that adequate financial resources are available for refinancing and business growth whilst maintaining a prudent capital structure. The proceeds of these issues were either utilised for its general corporate purpose or earmarked for the redemption of notes maturing in December The Trust Group's financial profile remained strong during the period.

On 26 February , Standard. The profile of the Trust Group's external borrowings as at 30 June , after taking into account forward foreign exchange contracts, cross currency and interest rate swaps, was as follows:. The Trust Group's policy is to maintain a portion of its debt at fixed interest rates taking into consideration business and operational needs. Interest rate risk is managed by either securing fixed rate borrowings or by using interest rate derivatives.

Currency and interest rate risks are actively managed in accordance with the Trust Group's treasury policy. Derivative financial instruments are used primarily for managing interest rate and foreign currency risks and not for speculative purposes.

Treasury transactions are only executed with counterparties with acceptable credit ratings to control counterparty risk exposure. The Trust Group's principal foreign currency transaction exposures arise from the import of fuel and capital equipment. Foreign currency transaction exposure is managed mainly through forward foreign exchange contracts. The Trust Group is also exposed to foreign currency fluctuation arising from the foreign currency borrowings.

Such exposures are, where appropriate, mitigated by the use of either forward foreign exchange contracts or cross currency swaps. As at 30 June , no assets of the Trust Group were pledged to secure its loans and banking facilities 31 December Nil.

As at 30 June , the Trust Group had no guarantee or indemnity to external parties 31 December Nil. The Trust Group maintains a policy of pay-for-performance and the pay levels are monitored to ensure competitiveness is maintained. As at 30 June , the Trust Group employed 1, 31 December 1, permanent employees. No share option scheme is in operation.

As explained in note 3, the unaudited consolidated interim financial statements of the Trust and the unaudited consolidated interim financial statements of the Company are presented together. The adoption of these amendments to HKFRSs does not have a material impact on the Groups' results and financial positions for the current or prior periods.

The Groups have not applied any new standard or amendment that is not effective for the current accounting period. The principal activity of the Groups is the generation and supply of electricity to Hong Kong Island and Lamma Island. Disaggregation of revenue by type of output and services is analysed as follows:. The provision for Hong Kong Profits Tax for this subsidiary was calculated at the same basis in Pursuant to the rules and regulations of the Cayman Islands and the British Virgin Islands, the Groups are exempt from any income tax in these jurisdictions.

The Scheme of Control transfers are mid-year notional transfers. The actual Scheme of Control transfers can only be determined in accordance with the Scheme of Control at the year end. Notional Scheme of Control transfers during the period represent transfer to the following:.

The ageing analysis of trade debtors based on invoice date, which are neither individually nor collectively considered to be impaired, is as follows:. Electricity bills issued to residential, small industrial, commercial and miscellaneous customers for electricity supplies are due upon presentation whereas maximum demand customers are allowed a credit period of 16 working days.

Bank loans and other interest-bearing borrowings. The preparation of the interim financial statements in conformity with HKAS 34 requires management to make judgements, estimates and assumptions that affect the application of policies and reported amounts of assets and liabilities, income and expenses on a year to date basis. Actual results may differ from these estimates. The interim financial statements and selected explanatory notes thereon do not include all of the information required for full set of financial statements prepared in accordance with HKFRSs.

The financial information relating to the financial year ended 31 December that is included in the interim financial statements as comparative information does not constitute the Company's statutory financial statements for that financial year but is derived from those financial statements.

Further information relating to these statutory financial statements disclosed in accordance with section of the Hong Kong Companies Ordinance is as follows:. The Company's financial statements together with the consolidated financial statements of the Trust and of HK Electric Investments Limited for the year ended 31 December will be delivered to the Registrar of Companies in due course. The Company's auditor has reported on the financial statements of the Company for the year ended 31 December The auditor's report was unqualified; did not include a reference to any matters to which the auditor drew attention by way of emphasis without qualifying its report; and did not contain a statement under sections 2 , 2 or 3 of the Hong Kong Companies Ordinance.

The distribution will be payable on Friday, 28 August to Holders of Share Stapled Units whose names appear in the Share Stapled Units Register at the close of business on Wednesday, 19 August , being the record date for determination of entitlement to the interim distribution. Unless and until expressly permitted to do so by the relevant codes and guidelines issued by the Securities and Futures Commission from time to time, the Trustee-Manager shall not repurchase or redeem any Share Stapled Units on behalf of the Trust.

None of the Trust, the Trustee-Manager, the Company nor any of their subsidiaries purchased, sold or redeemed any of the issued Share Stapled Units during the six months ended 30 June The Boards are committed to maintaining high standards of corporate governance, and recognise that sound and effective corporate governance practices are fundamental to the smooth, effective and transparent operation of the Trustee-Manager and the Trust Group, and the ability to attract investment, protect the rights of Holders of Share Stapled Units and other stakeholders, and enhance the value of the Share Stapled Units.

The corporate governance policies of the Trustee-Manager and the Trust Group are designed to achieve these objectives and are maintained through a framework of processes, policies and guidelines. Pursuant to the Trust Deed, the Trustee-Manager is responsible for compliance by the Trust with the Listing Rules applicable to the Trust and other relevant laws and regulations, the Company is responsible for compliance by the Company with the Listing Rules applicable to the Company and other relevant laws and regulations, and each of the Trustee-Manager and the Company will co-operate with each other to ensure that each party complies with the Listing Rules obligations and to co-ordinate disclosure to the Stock Exchange.

The Trust and the Company have complied with the applicable code provisions in the Corporate Governance Code throughout the six months ended 30 June , except as stated hereunder. The Trustee-Manager does not have a remuneration committee as provided for in code provision B. In accordance with code provision A. While its membership comprises all Directors of the Company, the Nomination Committee of the Company is assisted by an ad hoc sub-committee which is chaired by the Chairman of the Company Board and its membership, comprising a majority of Independent Non-executive Directors, is compliant with the requirements under the Listing Rules for a nomination committee when discharging its responsibilities.

The Trustee-Manager does not have a nomination committee as provided for in code provision A. The Trust Group is committed to achieving and maintaining standards of openness, probity and accountability. In line with this commitment and in compliance with the Corporate Governance Code, the Trustee-Manager Audit Committee and the Company Audit Committee have reviewed the procedures for reporting possible improprieties in financial reporting, internal control or other matters.

In addition, the Trustee-Manager and the Company have established a policy relating to inside information and securities dealing for compliance by all employees of the Group. The Boards have adopted the Model Code as their code of conduct regulating directors' securities transactions. All Directors have confirmed following specific enquiry that they have complied with the required standards set out in the Model Code throughout the six months ended 30 June In this interim results announcement, unless the context otherwise requires, the following expressions shall have the following meanings:.

HK Electric Investments Ltd. Log in. E-mail Password Remember Forgot password? Sign up. New member. Schweiz DE. Suisse FR. United Kingdom. United States. Latest News. Listed company. Sector News. All Analysis. Stock Picks. All stock picks.

My Portfolio. My Watchlists. Investment themes. Top News. Top Fundamentals. Top Technicals. Top Movers. Investment selections. Technical Rankings. Fundamental Rankings. Stock Screener Home. MarketScreener tools. Dynamic chart.

Our Services. MarketScreener Portfolios. Add to my list. Page 1. Supporting stakeholders during this unprecedented time From January , we have rolled out a platform of five relief measures to support SME customers, especially small catering establishments. Outlook In spite of the continued impact of the pandemic on all sectors which is expected throughout the second half of , we remain committed to our pledge to deliver reliable, green energy to the residents of Hong Kong while helping the city decarbonise over the long term.

Note: Pursuant to clause 1. The Trustee-Manager Board has confirmed, in accordance with the Trust Deed, that i the auditors of the Trust Group have reviewed and verified the Trustee-Manager's calculation of the above distribution entitlement per SSU and ii having made all reasonable enquiries, immediately after making the above distribution to the registered unit holders of the Trust, the Trustee-Manager will be able to fulfill, from the Trust Property as defined in the Trust Deed , the liabilities of the Trust as they fall due.

Treasury policy, financing activities, capital and debt structure The Trust Group manages its financial risks in accordance with guidelines laid down in its treasury policy which is designed to manage the Trust Group's currency, interest rate and counterparty risks. On 26 February , Standard Poor's reaffirmed the "A-"long-term credit rating and "Stable" outlook for the Company which had remained unchanged since September Charge on assets As at 30 June , no assets of the Trust Group were pledged to secure its loans and banking facilities 31 December Nil.

Contingent liabilities As at 30 June , the Trust Group had no guarantee or indemnity to external parties 31 December Nil. Employees The Trust Group maintains a policy of pay-for-performance and the pay levels are monitored to ensure competitiveness is maintained. Page General information HK Electric Investments Limited the "Company" was incorporated in the Cayman Islands on 23 September as an exempted company with limited liability under the Companies Law as consolidated and revised of the Cayman Islands.

The scope of activity of the Trust as provided in the Trust Deed is limited to investing in the Company. Basis of presentation Pursuant to the Trust Deed, the Trust and the Company are each required to prepare their own sets of interim financial statements on a consolidated basis.

The unaudited consolidated interim financial statements of the Trust for the period ended 30 June comprise the unaudited consolidated interim financial statements of the Trust, the Company and its subsidiaries together the "Trust Group" and the Trust Group's interest in a joint venture.

The unaudited consolidated interim financial statements of the Company for the period ended 30 June comprise the unaudited consolidated interim financial statements of the Company and its subsidiaries together the "Group" and the Group's interest in a joint venture. The Trust controls the Company and the sole activity of the Trust during the six months period ended 30 June was investing in the Company.

Therefore, the consolidated results and financial position that would be presented in the unaudited consolidated interim financial statements of the Trust are identical to the consolidated financial results and financial position of the Company with the only differences being disclosures of share capital of the Company. The Directors of the Trustee-Manager and Directors of the Company believe that it is clearer to present the unaudited consolidated interim financial statements of the Trust and of the Company together.

The unaudited consolidated interim financial statements of the Trust and the unaudited consolidated interim financial statements of the Company are presented together to the extent they are identical and are hereinafter referred as the "unaudited consolidated interim financial statements of the Trust and of the Company".

The Trust Group and the Group are referred as the "Groups". The interim financial statements have been prepared in accordance with the same accounting policies adopted in and should be read in conjunction with the annual financial statements, except for the accounting policy changes that are expected to be reflected in the annual financial statements. Details of these changes in accounting policies are set out in note 5.

All segment assets are located in Hong Kong. The Notes have not been and will not be registered under the U. Securities Act of , as amended the " Securities Act " and may not be offered or sold within the United States or to, or for the account or benefit of, U. The Notes are being offered and sold outside the United States to non-U.

This announcement is not for distribution, directly or indirectly, in or into the United States. Application has been made to The Stock Exchange of Hong Kong Limited for the listing of, and permission to deal in, the Notes as described in both the Offering Circular dated 11 August and the pricing supplement dated 20 August The listing of the Notes is expected to become effective on or about 28 August ZHU Guangchao.

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Stock analysis for HK Electric Investments & HK Electric Investments Ltd (​Hong Kong) including stock price, stock chart, company news, key statistics. HK Electric Investments and HK Electric Investments Limited (HKG) stock is about to trade ex-dividend in 4 days CNW Group•8 months ago. HK Electric Investments Ltd. Actions. Add to watchlist; Add to portfolio Launch date, Price currency, HKD. Domicile, Symbol, Manager & start date.