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CIFI Holdings (Group) Co. Ltd.
(Incorporated in the Cayman Islands with limited liability)

Announcements & Notices       


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  • 2022-July-7
  • Monthly Return of Equity Issuer on Movements in Securities for the month ended 30th June, 2022 (in PDF)
  • 2022-July-5
  • UNAUDITED OPERATING STATISTICS FOR JUNE 2022 (in PDF)
  • 2022-June-30
  • Next Day Disclosure Return (in PDF)
  • 2022-June-30
  • COMPLETION OF BONUS ISSUE AND ADJUSTMENTS RELATING TO THE OUTSTANDING SHARE OPTIONS (in PDF)
  • 2022-June-28
  • VOLUNTARY ANNOUNCEMENT - PURCHASE OF DOMESTIC CORPORATE BONDS BY EXECUTIVE DIRECTOR (in PDF)
  • 2022-June-28
  • VOLUNTARY ANNOUNCEMENT - COMPLETION OF ISSUE OF FIRST TRANCHE OF 2022 PUBLIC DOMESTIC CORPORATE BONDS (in PDF)
  • 2022-June-24
  • VOLUNTARY ANNOUNCEMENT - PURCHASE OF DOMESTIC CORPORATE BONDS BY EXECUTIVE DIRECTOR (in PDF)
  • 2022-June-22
  • ADJUSTMENT TO THE CONVERSION PRICE OF HK$2,545,000,000 6.95 PER CENT. GUARANTEED CONVERTIBLE BONDS DUE 2025 (in PDF)
  • 2022-June-8
  • UNAUDITED OPERATING STATISTICS FOR MAY 2022 (in PDF)
  • 2022-June-8
  • POLL RESULTS OF ANNUAL GENERAL MEETING HELD ON 8 JUNE 2022 AND PAYMENT OF FINAL DIVIDEND (in PDF)
  • 2022-June-6
  • Monthly Return of Equity Issuer on Movements in Securities for the month ended 31st May, 2022 (in PDF)
  • 2022-May-23
  • CHANGE OF VENUE AND PRECAUTIONARY MEASURES FOR ANNUAL GENERAL MEETING TO BE HELD ON 8 JUNE 2022 (in PDF)
  • 2022-May-5
  • UNAUDITED OPERATING STATISTICS FOR APRIL 2022 (in PDF)
  • 2022-May-4
  • Monthly Return of Equity Issuer on Movements in Securities for the month ended 30th April, 2022 (in PDF)
  • 2022-April-29
  • (Revised) Final Dividend for the year ended 31 December 2021 (in PDF)
  • 2022-April-29
  • Bonus Issue for the year ended 31 December 2021 (in PDF)
  • 2022-April-29
  • Final Dividend for the year ended 31 December 2021 (in PDF)
  • 2022-April-29
  • NOTICE OF 2022 ANNUAL GENERAL MEETING (in PDF)
  • 2022-April-25
  • VOLUNTARY ANNOUNCEMENT REDEMPTION AT MATURITY OF 6.70% SENIOR NOTES DUE 2022 (ISIN: XS2031924108, COMMON CODE: 203192410) (in PDF)
  • 2022-April-22
  • OVERSEAS REGULATORY ANNOUNCEMENT (in PDF)
  • 2022-April-21
  • VOLUNTARY ANNOUNCEMENT - INCREASE IN SHAREHOLDINGS BY CONTROLLING SHAREHOLDERS (in PDF)
  • 2022-April-14
  • COMPLETION OF THE OFFER (ISIN: XS2031924108, COMMON CODE: 203192410) (STOCK CODE: 85902) (in PDF)
  • 2022-April-13
  • RESULTS OF OFFER TO PURCHASE THE OUTSTANDING 6.70% SENIOR NOTES DUE 2022 (ISIN: XS2031924108, COMMON CODE: 203192410) (STOCK CODE: 85902) (in PDF)
  • 2022-April-12
  • VOLUNTARY ANNOUNCEMENT - INCREASE IN SHAREHOLDINGS BY CONTROLLING SHAREHOLDERS (in PDF)
  • 2022-April-12
  • OVERSEAS REGULATORY ANNOUNCEMENT (in PDF)
  • 2022-April-12
  • PROPOSED ADDITIONAL ISSUE OF HK$588,000,000 6.95 PER CENT. GUARANTEED CONVERTIBLE BONDS DUE 2025 (TO BE CONSOLIDATED AND FORM A SINGLE SERIES WITH THE HK$1,957,000,000 6.95 PER CENT. GUARANTEED CONVERTIBLE BONDS DUE 2025 ISSUED ON 8 APRIL 2022) UNDER GENERAL MANDATE (in PDF)
  • 2022-April-6
  • UNAUDITED OPERATING STATISTICS FOR MARCH 2022 (in PDF)
  • 2022-April-6
  • OFFER TO PURCHASE THE OUTSTANDING 6.70% SENIOR NOTES DUE 2022 (ISIN: XS2031924108, COMMON CODE: 203192410, STOCK CODE: 85902) (in PDF)
  • 2022-April-6
  • Monthly Return of Equity Issuer on Movements in Securities for the month ended 31st March, 2022 (in PDF)
  • 2022-April-1
  • VOLUNTARY ANNOUNCEMENT PURCHASE OF SENIOR NOTES BY CONTROLLING SHAREHOLDERS (in PDF)
  • 2022-April-1
  • PROPOSED ISSUE OF HK$1,957 MILLION 6.95% COUPON GUARANTEED CONVERTIBLE BONDS DUE 2025 UNDER GENERAL MANDATE (in PDF)
  • 2022-March-30
  • VOLUNTARY ANNOUNCEMENT - INCREASE IN SHAREHOLDINGS BY CONTROLLING SHAREHOLDERS (in PDF)
  • 2022-March-29
  • VOLUNTARY ANNOUNCEMENT - INCREASE IN SHAREHOLDINGS BY CONTROLLING SHAREHOLDERS (in PDF)
  • 2022-March-28
  • VOLUNTARY ANNOUNCEMENT - INCREASE IN SHAREHOLDINGS BY CONTROLLING SHAREHOLDERS (in PDF)
  • 2022-March-25
  • VOLUNTARY ANNOUNCEMENT - INCREASE IN SHAREHOLDINGS BY CONTROLLING SHAREHOLDERS (in PDF)
  • 2022-March-24
  • Bonus Issue for the year ended 31 December 2021 (in PDF)
  • 2022-March-24
  • Final Dividend for the year ended 31 December 2021 (in PDF)
  • 2022-March-24
  • ANNOUNCEMENT OF ANNUAL RESULTS FOR THE YEAR ENDED 31 DECEMBER 2021 (in PDF)
  • 2022-March-16
  • VOLUNTARY ANNOUNCEMENT (in PDF)
  • 2022-March-14
  • COMPLETION OF ISSUE OF FIRST TRANCHE OF 2022 MEDIUM-TERM NOTES IN THE PRC AND UNAUDITED FINANCIAL INFORMATION OF CIFI GROUP CO., LTD. FOR THE NINE MONTHS ENDED 30 SEPTEMBER 2021 (in PDF)
  • 2022-March-14
  • DATE OF BOARD MEETING (in PDF)
  • 2022-March-9
  • VOLUNTARY ANNOUNCEMENT - (1) FUNDS DEPOSITED INTO DESIGNATED ACCOUNT IN FULL FOR REDEMPTION OF NON-PUBLIC DOMESTIC CORPORATE BONDS AT MATURITY AND (2) ENTERING INTO A STRATEGIC COOPERATION AGREEMENT WITH PING AN BANK (in PDF)
  • 2022-March-8
  • PARTIAL REPURCHASE AND CANCELLATION OF 6.70% SENIOR NOTES DUE IN APRIL 2022 (Stock Code: 85902) (in PDF)
  • 2022-March-3
  • UNAUDITED OPERATING STATISTICS FOR FEBRUARY 2022 (in PDF)
  • 2022-March-3
  • Monthly Return of Equity Issuer on Movements in Securities for the month ended 28th February, 2022 (in PDF)
  • 2022-February-25
  • PARTIAL REPURCHASE AND CANCELLATION OF 6.70% SENIOR NOTES DUE IN APRIL 2022 (Stock Code: 85902) (in PDF)
  • 2022-February-24
  • VOLUNTARY ANNOUNCEMENT - ACCEPTANCE OF REGISTRATION OF MEDIUM-TERM NOTES IN THE PRC (in PDF)
  • 2022-February-8
  • UNAUDITED OPERATING STATISTICS FOR JANUARY 2022 (in PDF)
  • 2022-February-8
  • Monthly Return of Equity Issuer on Movements in Securities for the month ended 31st January, 2022 (in PDF)
  • 2022-January-28
  • CONNECTED TRANSACTION - FORMATION OF JOINT VENTURE IN RELATION TO A PROPERTY DEVELOPMENT PROJECT IN SUZHOU, THE PRC (in PDF)
  • 2022-January-24
  • VOLUNTARY ANNOUNCEMENT REDEMPTION AT MATURITY OF 5.5% SENIOR NOTES DUE 2022 (ISIN: XS1513700127, COMMON CODE: 151370012) (in PDF)
  • 2022-January-19
  • PARTIAL REPURCHASE AND CANCELLATION OF 6.70% SENIOR NOTES DUE IN APRIL 2022 (Stock Code: 85902) (in PDF)
  • 2022-January-19
  • VOLUNTARY ANNOUNCEMENT FUNDS DEPOSITED INTO DESIGNATED ACCOUNT FOR REDEMPTION OF 5.5% SENIOR NOTES DUE 2022 AT MATURITY (ISIN: XS1513700127, COMMON CODE: 151370012, STOCK CODE: 5340) (in PDF)
  • 2022-January-12
  • COMPLETION OF THE OFFER (ISIN: XS1513700127, COMMON CODE: 151370012, STOCK CODE: 5340) (in PDF)
  • 2022-January-11
  • CIFI Holdings (Group) Co. Ltd. - US$150,000,000 4.45% SENIOR NOTES DUE 2026 (CONSOLIDATED AND FORM A SINGLE CLASS WITH THE US$350,000,000 4.45% SENIOR NOTES DUE 2026 ISSUED ON 17 MAY 2021) (in PDF)
  • 2022-January-10
  • CIFI Holdings (Group) Co. Ltd. - US$150,000,000 4.45% SENIOR NOTES DUE 2026 (TO BE CONSOLIDATED AND FORM A SINGLE CLASS WITH THE US$350,000,000 4.45% SENIOR NOTES DUE 2026 ISSUED ON 17 MAY 2021) (in PDF)
  • 2022-January-10
  • RESULTS OF OFFER TO PURCHASE THE OUTSTANDING 5.5% SENIOR NOTES DUE 2022 (ISIN: XS1513700127, COMMON CODE: 151370012, STOCK CODE: 5340) (in PDF)
  • 2022-January-6
  • Monthly Return of Equity Issuer on Movements in Securities for the month ended 31st December, 2021 (in PDF)
  • 2022-January-5
  • UNAUDITED OPERATING STATISTICS FOR DECEMBER 2021 (in PDF)
  • 2022-January-3
  • ISSUANCE OF ADDITIONAL US$150,000,000 4.45% SENIOR NOTES DUE 2026 (to be consolidated and form a single class with the US$350,000,000 4.45% senior notes due 2026 issued on 17 May 2021) (in PDF)
  • 2022-January-3
  • OFFER TO PURCHASE THE OUTSTANDING 5.5% SENIOR NOTES DUE 2022 (ISIN: XS1513700127, COMMON CODE: 151370012, STOCK CODE: 5340) (in PDF)
  • 2021
  • 2021 Announcements & Notices
  • 2020
  • 2020 Announcements & Notices
  • 2019
  • 2019 Announcements & Notices
  • 2018
  • 2018 Announcements & Notices
  • 2017
  • 2017 Announcements & Notices
  • 2016
  • 2016 Announcements & Notices
  • 2015
  • 2015 Announcements & Notices
  • 2014
  • 2014 Announcements & Notices
  • 2013
  • 2013 Announcements & Notices
  • 2012
  • 2012 Announcements & Notices


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