| Date | Code | Name | No. of Shares Issued | Issue Price | Total Fund Raised | Type | % of issued shs | Raising Method (Reason) |
|
| 17/10/2025 | 03677 | ZENERGY | 45.921M | HKD 10.980 | HKD 504.210M | H | 1.831 | Placing/Issue (Enlarging the capital base;Business Development) | |
| 17/10/2025 | 00620 | DTXS SILK ROAD | -- | -- | HKD 323.000M | Convertible Bonds | 0.000 | Placing/Issue (Enlarging the capital base;Business Development) | |
| 17/10/2025 | 08612 | WORLD SUPER | 311.040M | HKD 0.100 | HKD 31.100M | Shares | 300.000 | Rights Issue/Open Offer (Enlarging the capital base;Business Development;Debt Repayment Rts 3 for 1 (on non-underwritten basis)) | |
| 17/10/2025 | 01783 | ENVISION GREEN | 50.000M | HKD 3.100 | HKD 155.000M | Shares | 1.782 | Placing/Issue (Business Development) | |
| 16/10/2025 | 02582 | GUOFUHEE | 2.405M | HKD 48.470 | HKD 116.600M | H | 2.208 | Placing/Issue (Enlarging the capital base;Business Development;Debt Repayment) | |
| 16/10/2025 | 02330 | CHINA UPTOWN | 75.474M | HKD 0.180 | HKD 13.590M | Shares | 20.000 | Placing/Issue (Enlarging the capital base) | |
| 16/10/2025 | 00884 | CIFI HOLD GP | 1.315B | HKD 0.400 | HKD 525.862M | Shares | 12.510 | Consideration Issue (Debt Repayment Debt Capitalisation; Consideration equivalent to USD 67.42 mil) | |
| 16/10/2025 | 00884 | CIFI HOLD GP | -- | -- | USD 4.075B | Convertible Bonds | 0.000 | Consideration Issue (Debt Repayment Debt Restructuring) | |
| 15/10/2025 | 01613 | SYNERTONE | 897.483M | HKD 0.135 | HKD 121.200M | Shares | 200.000 | Rights Issue/Open Offer (Enlarging the capital base;Business Development Rts 2 for 1 (on non-underwritten basis)) | |
| 15/10/2025 | 08238 | WINTO GROUP | 17.416M | HKD 0.350 | HKD 6.100M | Shares | 19.997 | Placing/Issue (Enlarging the capital base;Business Development) | |
| 15/10/2025 | 00209 | WINSHINE SCI | 1.300B | HKD 0.140 | HKD 182.000M | Shares | 700.000 | Rights Issue/Open Offer (Enlarging the capital base;Debt Repayment Rts 7 for 1) | |
| 15/10/2025 | 02373 | BEAUTYFARM MED | 15.798M | HKD 28.710 | HKD 453.600M | Shares | 6.703 | Consideration Issue (Acquisition Acquisition of business in aesthetic medical; Consideration equivalent to RMB 414.1 mil) | |
| 15/10/2025 | 01769 | SCHOLAR EDU | 110.000M | HKD 2.200 | HKD 242.000M | Shares | 19.474 | Placing/Issue (Enlarging the capital base;Business Development) | |
| 13/10/2025 | 01050 | KARRIE INT'L | -- | -- | HKD 150.000M | Convertible Bonds | 0.000 | Placing/Issue (Business Development) | |
| 13/10/2025 | 03395 | JX ENERGY | 11.162M | HKD 0.310 | HKD 3.460M | Shares | 1.842 | Placing/Issue (Enlarging the capital base The gross proceeds & net proceeds equivalent to approx CAD 0.62 mil. & CAD 0.60 mil.) | |
| 10/10/2025 | 02577 | INNOSCIENCE | 20.700M | HKD 75.580 | HKD 1.565B | H | 2.314 | Placing/Issue (Enlarging the capital base;Business Development;Debt Repayment) | |
| 10/10/2025 | 02110 | TIAN CHENG HLDG | 60.000M | HKD 0.121 | HKD 7.260M | Shares | 20.000 | Placing/Issue (Enlarging the capital base) | |
| 10/10/2025 | 02216 | BRONCUS-B | 105.108M | HKD 3.110 | HKD 326.900M | Shares | 19.961 | Placing/Issue (Business Development) | |
| 10/10/2025 | 00616 | EMINENCE ENT | -- | -- | HKD 268.400M | Convertible Bonds | 0.000 | Consideration Issue (Acquisition Acquisition of commercial property in Hong Kong) | |
| 10/10/2025 | 00778 | FORTUNE REIT | 4.456M | HKD 5.059 | HKD 22.545M | Shares | 0.218 | Consideration Issue (Fee Payment) | |
| 09/10/2025 | 01541 | IMMUNEONCO-B | 24.200M | HKD 14.500 | HKD 350.900M | H | 5.941 | Placing/Issue (Enlarging the capital base;Business Development) | |
| 09/10/2025 | 08431 | HAO BAI INTL | 181.972M | HKD 0.210 | HKD 38.210M | Shares | 400.000 | Rights Issue/Open Offer (Enlarging the capital base;Business Development;Debt Repayment Rts 4 for 1 (on non-underwritten basis)) | |
| 09/10/2025 | 00145 | CCIAM FUTURE EN | 122.067M | HKD 0.153 | HKD 18.676M | Shares | 50.000 | Rights Issue/Open Offer (Business Development;Debt Repayment Rts 1 for 2 (on non-underwritten basis)) | |
| 08/10/2025 | 00197 | HENG TAI | 30.605M | HKD 0.476 | HKD 14.600M | Shares | 17.136 | Top Up Placing (Enlarging the capital base;Business Development) | |
| 08/10/2025 | 01270 | LANGHAM-SS | 46.321M | HKD 0.470 | HKD 21.771M | Shares | 1.345 | Consideration Issue (Fee Payment) | |
| 05/10/2025 | 01909 | FIRE ROCK | 96.000M | HKD 1.580 | HKD 151.680M | Shares | 50.000 | Rights Issue/Open Offer (Enlarging the capital base;Business Development Rts 1 for 2 (on non-underwritten basis)) | |
| 05/10/2025 | 02312 | CH FIN LEASING | 69.379M | HKD 1.250 | HKD 86.724M | Shares | 20.000 | Placing/Issue (Enlarging the capital base;Business Development) | |
| 03/10/2025 | 00810 | CH CASTSON 81 | 33.936M | HKD 0.112 | HKD 3.800M | Shares | 19.997 | Placing/Issue (Enlarging the capital base;Business Development) | |
| 03/10/2025 | 01680 | MACAU LEGEND | 310.059M | HKD 0.300 | HKD 93.000M | Shares | 50.000 | Rights Issue/Open Offer (Enlarging the capital base Rts 1 for 2) | |
| 03/10/2025 | 08246 | ZHONGHUA GAS | 334.000M | HKD 0.075 | HKD 25.050M | Shares | 7.834 | Placing/Issue (Enlarging the capital base) | |
| 03/10/2025 | 00130 | MOISELLE INT'L | -- | -- | HKD 14.900M | Convertible Bonds | 0.000 | Placing/Issue (Enlarging the capital base;Debt Repayment Principal amount of HK$10.08 million will be set off against the outstanding sum due from the company to the creditor) | |
| 02/10/2025 | 00776 | IMPERIUM TEC GP | 74.649M | HKD 0.845 | HKD 63.080M | Shares | 20.000 | Placing/Issue (Enlarging the capital base;Business Development) | |
| 02/10/2025 | 08391 | CORNERSTONE TEC | 127.000M | HKD 0.570 | HKD 72.390M | Shares | 12.885 | Placing/Issue (Enlarging the capital base) | |
| 02/10/2025 | 00080 | CNEWECON FUND | 659.850M | HKD 0.350 | HKD 230.950M | Shares | 50.000 | Rights Issue/Open Offer (Enlarging the capital base;Business Development Rts 1 for 2 (on non-underwritten basis)) | |
| 30/09/2025 | 02340 | ISP HOLDINGS | 127.448M | HKD 0.137 | HKD 17.460M | Shares | 19.999 | Placing/Issue (Enlarging the capital base) | |
| 30/09/2025 | 00264 | CN INT DEV CORP | 15.000M | HKD 1.750 | HKD 26.250M | Shares | 3.358 | Placing/Issue (Enlarging the capital base;Business Development;Debt Repayment) | |
| 30/09/2025 | 01208 | MMG | -- | -- | USD 500.000M | Convertible Bonds | 0.000 | Placing/Issue (Debt Repayment) | |
| 30/09/2025 | 08160 | GOLDWAY EDU | 58.000M | HKD 0.270 | HKD 15.660M | Shares | 39.925 | Consideration Issue (Acquisition Acquisition of properties in Hong Kong) | |
| 30/09/2025 | 08159 | CU VENTURE INV | 70.000M | HKD 0.080 | HKD 5.600M | Shares | 9.943 | Placing/Issue (Enlarging the capital base;Debt Repayment) | |
| 30/09/2025 | 08159 | CU VENTURE INV | 70.800M | HKD 0.080 | HKD 5.664M | Shares | 10.057 | Consideration Issue (Debt Repayment Loan capitalization) | |
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