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(06/24) Announcement Of Major Issues Of Listed Companies Tomorrow

2010/6/24 16:45:00 85

Listed Company

  


IPO:


New Daxin timber (300080) has 28 million shares in the market and the issue price is 43.4 yuan.


Jin Tong Ling (300091) is listed on 16 million 800 thousand shares and the issue price is 28.2 yuan.


Sheng Yun shares (300090) listed on the number of 25 million 600 thousand shares, the issue price of 17 yuan.


The Great Wall group (300089) is listed on 20 million shares and the issue price is 20.5 yuan.


Stocks or funds with no rise or fall limits:


New big new material (300080) no limit


Jin Tong Ling (300091) no limit of rise or fall


Sheng Yun shares (300090) no limit


The Great Wall group (300089) no price limit


Listing of treasury bonds:


10 treasury bonds 18 (019018) issued year 2010, actual issuance total 28 billion, issuance time 2010-06-18, issue time 2010-06-23, issuer 2000850, issue of domestic legal person and natural person, interest bearing method, single interest rate, coupon rate 4.03


The national debt 1018 (101018) issued year 2010, the actual total issue 28 billion, the issuing time starts 2010-06-18, the issue time is 2010-06-23, the issuer 2000850, the issue object domestic legal person and the natural person, the interest bearing method is single interest, the coupon rate 4.03


The listing date of the placement of shares in the private placement institutions:


Qilian Mountains (600720) private placement institutions, placing shares, 79 million shares listed and circulating


A share pfer to equity market:


Yantai ice wheel (000811) every 10 shares increased 5 shares to send 1.8 yuan (including tax), after deducting tax 1.62 yuan, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, Hong Kong stock trading day 2010-06-25


The state shares (002139) 10 shares were pferred to 1.5 shares (including tax) for every 10 shares, and 1.35 yuan after tax deduction. The stock registration date is 2010-06-24, the ex dividend date 2010-06-25, dividend date 2010-06-25, the Hong Kong stock listing date 2010-06-25


San Li (002224) every 10 shares increased 5 shares to send 1 yuan (including tax), after deducting tax 0.9 yuan, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, Hong Kong stock trading day 2010-06-25


Shengda forestry (002259) every 10 shares increased 4 shares to send 0.5 yuan (including tax), after deducting tax 0.45 yuan, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, Hong Kong stock trading day 2010-06-25


Huachang Chemical (002274) every 10 shares increased by 3 shares, the stock registration date 2010-06-24, ex dividend date 2010-06-25, Hong Kong stock listed trading day 2010-06-25


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CITIC Securities (600030) 10 shares were pferred to 5 shares (including tax) for every 10 shares, and 4.5 yuan after tax deduction. The date of registration is 2010-06-23, dividend ex dividend date 2010-06-24, dividend date 2010-06-29, Hong Kong stock trading day 2010-06-25


Sany (600031) 10 shares sent 2 shares to 3 shares to send 1.6 yuan (including tax), 1.24 yuan after tax deduction, stock registration date 2010-06-23, ex dividend date 2010-06-24, dividend payday 2010-06-30, Hong Kong stock trading day 2010-06-25


Lei Ming Ke Hua (600985) every 10 shares to 2 shares to send 1.2 yuan (including tax), after deducting tax 1.08 yuan, stock registration day 2010-06-23, ex dividend date 2010-06-24, dividend payment day 2010-06-29, Hong Kong stock trading day 2010-06-25


A share dividend date:


CIMC (000039) 10 yuan per share 1.2 yuan (including tax), 1.08 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Shenzhen Huaqiang (000062) 10 yuan per share 0.5 yuan (including tax), after deducting tax 0.45 yuan, equity registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Liugong (000528) 10 yuan per 10 yuan (including tax), 2.7 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Shan push shares (000680) 10 yuan per share, 1 yuan (including tax), 0.9 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Yantai ice wheel (000811) every 10 shares increased 5 shares to send 1.8 yuan (including tax), after deducting tax 1.62 yuan, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, Hong Kong stock trading day 2010-06-25, dividends annual 2009-12-31


TISCO stainless steel (000825) 10 yuan per share 1 yuan (including tax), 0.9 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Long Ping Tech (000998) 10 yuan per share 0.7 yuan (including tax), 0.63 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Jiangsu three friends (002044) 10 yuan per share 0.8 yuan (including tax), after deducting tax 0.72 yuan, equity registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


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RT Technology (002066) 1.2 yuan (including tax) for every 10 shares, 1.08 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Xinlong Industrial (002105) 10 yuan per share 1.2 yuan (including tax), 1.08 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Three variable technology (002112) 10 yuan per share 0.4 yuan (including tax), 0.36 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Southeast grid (002135) 10 yuan per 0.8 yuan (including tax), after deducting tax 0.72 yuan, equity registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


The state shares (002139) 10 shares were pferred to 1.5 shares (including tax) for every 10 shares, and 1.35 yuan after tax deduction. The stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend date 2010-06-25, Hong Kong stock trading day 2010-06-25, bonus year 2009-12-31


Guang Lu number Survey (002175) 10 yuan per 1 yuan (including tax), 0.9 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


San Li (002224) every 10 shares increased 5 shares to send 1 yuan (including tax), after deducting tax 0.9 yuan, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, Hong Kong stock trading day 2010-06-25, dividends annual 2009-12-31


Shengda forestry (002259) every 10 shares increased 4 shares to send 0.5 yuan (including tax), after deducting tax 0.45 yuan, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, Hong Kong stock trading day 2010-06-25, dividends annual 2009-12-31


Huachang Chemical (002274) every 10 shares increased by 3 shares, the stock registration date 2010-06-24, ex dividend date 2010-06-25, Hong Kong stock trading day 2010-06-25, dividends 2009-12-31


Zhe Zhong construction (002346) 10 yuan per 0.35 yuan (including tax), 0.315 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Lai Mei Pharmaceutical (300006) 1 yuan (including tax) for every 10 shares, 0.9 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-25, dividends 2009-12-31


Yongding stock (600105) 10 shares sent 2 shares to 2 shares every 2 shares, 2010-06-24, dividend ex dividend date 2010-06-25, Hong Kong stock trading day 2010-06-28, dividend year 2009-12-31


New Sai shares (600540) 10 yuan per share 0.4 yuan (including tax), 0.36 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-07-02, dividends 2009-12-31


Shanxi Fenjiu (600809) 10 yuan per 10 yuan (including tax), 4.5 yuan after tax deduction, stock registration date 2010-06-24, ex dividend date 2010-06-25, dividend payday 2010-06-30, dividends 2009-12-31


B share ex dividend date:


CIC B (200039) 10 yuan per 1.2 yuan, B share registration date 2010-06-29, B shares final trading day 2010-06-24, ex dividend date 2010-06-25, payday 2010-06-29


Income allotted date:


People's livelihood plus silver increased revenue A (690002) 10 yuan per 0.3 yuan, the date of registration: 2010-06-24, ex dividend date: 2010-06-24, income distribution date: 2010-06-25


People's livelihood plus silver increased revenue C (690202) 10 yuan per 0.3 yuan, the date of registration: 2010-06-24, ex dividend date: 2010-06-24, income distribution date: 2010-06-25


Issuance of treasury bonds:


10 treasury bonds 19 (019019) issued year 2010, the issuing time was 2010-06-23, the issue time was 2010-06-28, the issuer 2000850, issued the domestic legal person and natural person, the interest bearing method was simple.


Treasury bonds 1019 (101019) issued year 2010, issuing time 2010-06-23, time of issue 2010-06-28, issuer 2000850, issue of domestic legal persons and natural persons, interest bearing method


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Date of registration of creditor's rights:


06 treasury bonds (9) (010609) issued year: 2006, the total issue amount: 31 billion 90 million yuan, the date of issue date: 2006-06-23, issue deadline: 2006-06-29, the issuing object: domestic legal person and natural person, interest bearing method: single interest, coupon interest rate: 3.7%, creditor's rights registration date: 2010-06-25, ex dividend date: 2010-06-28, interest payment date: 2010-06-28


05 Guangdong pport debt (058009) issue year: 2005, the total issue amount: 1 billion 500 million yuan, the date of issue date: 2005-06-29, issue deadline: 2005-07-12, issue target: national interbank bond market member, interest bearing method: single interest, coupon interest rate: 5.3%, creditor's rights registration date: 2010-06-25, ex dividend date: 2010-06-29, interest payment date: 2010-06-29


06 treasury bonds 09 (060009) issue year: 2006, total actual issuance: 31 billion 90 million yuan, issuing date: 2006-06-23, issue deadline: 2006-06-29, issue target: national interbank bond market member, interest bearing method: single interest, coupon interest rate: 3.7%, debt registration date: 2010-06-25, ex dividend date: 2010-06-28, interest payment date: 2010-06-28


06 Shanghai water debt (068032) issue year: 2006, the total issue amount: 1 billion 500 million yuan, the date of issue date: 2006-06-29, issue deadline: 2006-07-12, issue target: national interbank bond market member, interest bearing method: single interest, coupon interest rate: 4.25%, creditor's rights registration date: 2010-06-25, ex dividend date: 2010-06-29, interest payment date: 2010-06-29


09 Huainan city investment bonds (0980112) issue year: 2009, the total issue amount: 1 billion 500 million yuan, the date of issue date: 2009-06-26, issue deadline: 2009-07-02, the issuing target: national interbank bond market members, interest bearing method: single interest, coupon interest rate: 20090626-20140625, coupon rate: 5.88%; 20140626-20160625, coupon rate: 6.38%, debt registration date: 2010-06-25, ex dividend date: 2010-06-28, interest payment date: 2010-06-28


09 Huaneng hydropower debt (0980113) issue year: 2009, the total issue amount: 988 million yuan, the date of issue date: 2009-06-29, issue time cut-off date: 2009-07-03, issue target: national interbank bond market member, interest bearing method: single interest, coupon interest rate: 5%, creditor's rights registration date: 2010-06-25, ex dividend date: 2010-06-29, interest payment date: 2010-06-29


09 Sinochem USD1 (09821709) issue year: 2009, the total issue amount: 500 million yuan, the date of issue date: 2009-12-24, issue deadline: 2009-12-28, issue object: national interbank bond market member, interest bearing method: single interest, coupon interest rate: 6 months, US dollar Libor+1.0000%, debt registration date: 2010-06-25, ex dividend date: 2010-06-28, interest payment date: 2010-06-28


Treasury bonds 0609 (100609) issue year: 2006, the total issue amount: 31 billion 90 million yuan, the date of issue date: 2006-06-23, issue time cut-off date: 2006-06-29, issue object: domestic legal person and natural person, interest bearing method: single interest, coupon interest rate: 3.7%, creditor's rights registration date: 2010-06-25, ex dividend date: 2010-06-28, interest payment date: 2010-06-28


09 Huaicheng investment (122951) issue year: 2009, the total issue amount: 1 billion 500 million yuan, the date of issue date: 2009-06-26, issue deadline: 2009-06-30, the issuing object: domestic legal person and natural person, interest bearing method: single interest, coupon interest rate: 20090626-20140625, coupon rate: 5.88%; 20140626-20160625, coupon rate: 6.38%, creditor's rights registration date: 2010-06-25, ex dividend date: 2010-06-28, interest payment date: 2010-06-28


Benchmark date:


07 treasury bonds (10) (010710) issue year: 2007, total actual issuance: 35 billion 70 million yuan, issuing time: 2007-06-22, issue time: 2007-06-28, issue object: domestic legal person and natural person, interest bearing method: single interest, coupon interest rate: 4.4%, creditor's rights registration date: 2010-06-24, ex dividend date: 2010-06-25, interest payment date: 2010-06-25


09 treasury bonds 13 (019913) issue year: 2009, total actual issuance: 28 billion yuan, issuing time: 2009-06-24, issue time: 2009-06-29, issue object: domestic legal person and natural person, interest bearing method: single interest, coupon interest rate: 2.82%, creditor's rights registration date: 2010-06-24, ex dividend date: 2010-06-25, interest payment date: 2010-06-25


07 treasury bonds 10 (070010) issued year: 2007, total actual issuance: 35 billion 70 million yuan, issuing time: 2007-06-22, issue time: 2007-06-28, issue target: national interbank bond market member, interest bearing method: single interest, coupon interest rate: 4.4%, debt registration date: 2010-06-24, ex dividend date: 2010-06-25, interest payment date: 2010-06-25


07 Zhongguancun debt (078089) issue year: 2007, the actual total issue: 305 million yuan, issuing time: 2007-12-25, issue time cut-off: 2007-12-28, issue target: national interbank bond market member, interest bearing method: single interest, coupon interest rate: 6.68%, debt registration date: 2010-06-24, ex dividend date: 2010-06-25, interest payment date: 2010-06-25


09 interest bearing treasury bonds 13 (090013) issued year: 2009, total actual issuance: 28 billion yuan, issuing time: 2009-06-24, issue time cut-off: 2009-06-29, issue target: national interbank bond market member, interest bearing method: single interest, coupon interest rate: 2.82%, debt registration date: 2010-06-24, ex dividend date: 2010-06-25, interest payment date: 2010-06-25


Treasury bonds 0710 (100710) issue year: 2007, total actual issuance: 35 billion 70 million yuan, issuing time: 2007-06-22, issue time: 2007-06-28, issue object: domestic legal person and natural person, interest bearing method: single interest, coupon interest rate: 4.4%, creditor's rights registration date: 2010-06-24, ex dividend date: 2010-06-25, interest payment date: 2010-06-25


Treasury bonds 0913 (100913) issue year: 2009, total actual issuance: 28 billion yuan, issuing time: 2009-06-24, issue time: 2009-06-29, issue object: domestic legal person and natural person, interest bearing method: single interest, coupon interest rate: 2.82%, creditor's rights registration date: 2010-06-24, ex dividend date: 2010-06-25, interest payment date: 2010-06-25


07 Zhongguancun (111036) issue year: 2007, the total issue amount: 305 million yuan, issuing time: 2007-12-25, issue time: 2007-12-28, issue object: domestic legal person and natural person, interest bearing method: single interest, coupon interest rate: 6.68%, creditor's rights registration date: 2010-06-24, ex dividend date: 2010-06-25, interest payment date: 2010-06-25


 


  

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