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Year: 2012 | 2011 | 2010 |2009 |2008 | 2007 | 2006

2011
30 DecemberRESIGNATION OF NON-EXECUTIVE DIRECTOR
20 DecemberDISCLOSEABLE AND CONNECTED TRANSACTIONS - Disposal of the 49% interests in Value Land to Mitsui and future buyback of Mitsui’s interests in Value Land - DELAY IN DISPATCH OF CIRCULAR
9 DecemberCONTINUING CONNECTED TRANSACTIONS – NEW FRAMEWORK AGREEMENT
6 DecemberMonthly Return of Equity Issuer on Movements in Securities for the Month ended 30 November 2011
29 NovemberDISCLOSEABLE AND CONNECTED TRANSACTIONS - Disposal of the 49% interests in Value Land to Mitsui and future buyback of Mitsui’s interests in Value Land
7 NovemberCLARIFICATION ANNOUNCEMENT
7 NovemberDISCLOSEABLE TRANSACTION - DISPOSAL OF PROPERTIES IN THE YANGPU DISTRICT, SHANGHAI, THE PRC RELATING TO THE KIC PROJECT
3 NovemberRESIGNATION OF INDEPENDENT NON-EXECUTIVE DIRECTOR
3 NovemberMonthly Return of Equity Issuer on Movements in Securities for the Month ended 31 October 2011
31 OctoberPOLL RESULTS OF THE EXTRAORDINARY GENERAL MEETING HELD ON 31 OCTOBER 2011
7 OctoberRMB2,720 MILLION USD SETTLED 4.50% CONVERTIBLE BONDS DUE 2015 (THE “BONDS”) - ADJUSTMENT TO CONVERSION PRICE OF THE BONDS
6 OctoberNOTICE OF THE EXTRAORDINARY GENERAL MEETING
3 OctoberMonthly Return of Equity Issuer on Movements in Securities for the Month ended 30 September 2011
30 SeptemberDISCLOSEABLE AND CONNECTED TRANSACTION IN RELATION TO THE ACQUISITION OF THE ISSUED SHARE CAPITAL IN RIMMER AND MAGIC GARDEN AND CONNECTED TRANSACTION IN RELATION TO THE FINANCIAL ASSISTANCE TO MEMBERS OF THE SELLERS’ GROUP AND CONTINUING CONNECTED TRANSACTIONS IN RELATION TO LANGHAM XINTIANDI HOTEL RELATED TRANSACTIONS - DELAY IN DISPATCH OF CIRCULAR
9 September (1) DISCLOSEABLE AND CONNECTED TRANSACTION IN RELATION TO THE ACQUISITION OF THE ISSUED SHARE CAPITAL IN RIMMER AND MAGIC GARDEN AND (2) CONNECTED TRANSACTION IN RELATION TO THE FINANCIAL ASSISTANCE TO MEMBERS OF THE SELLERS’ GROUP AND (3) CONTINUING CONNECTED TRANSACTIONS IN RELATION TO LANGHAM XINTIANDI HOTEL RELATED TRANSACTIONS
5 September Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 August 2011
22 August (1) CONNECTED TRANSACTION – Shareholders’ Deed for the JV Project and (2) CONTINUING CONNECTED TRANSACTIONS - Master Agreement for the JV Brand
17 August ANNOUNCEMENT OF 2011 INTERIM RESULTS
17 August APPOINTMENT OF NON-EXECUTIVE DIRECTOR
4 August Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 July 2011
3 August DATE OF BOARD MEETING
6 July Monthly Return of Equity Issuer on Movements in Securities for the Month ended 30 June 2011
30 June ANNOUNCEMENT - PRICE-SENSITIVE INFORMATION REGARDING 2011 INTERIM RESULTS
7 June Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 May 2011
24 May CONTINUING CONNECTED TRANSACTIONS - Project Services Framework Agreement in relation to the Super High Rise Project of Chongqing Tiandi
20 May RMB2,720 MILLION USD SETTLED 4.50% CONVERTIBLE BONDS DUE 2015 (THE “BONDS”) - ADJUSTMENT TO CONVERSION PRICE OF THE BONDS
19 May POLL RESULTS OF THE ANNUAL GENERAL MEETING HELD ON 19 MAY 2011
6 May Monthly Return of Equity Issuer on Movements in Securities for the Month ended 30 April 2011
20 April ANNOUNCEMENT PURSUANT TO RULE 13.18 OF THE LISTING RULES
12 April NOTICE OF ANNUAL GENERAL MEETING
7 April Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 March 2011
1 April CONNECTED TRANSACTION - Acquisition of 24.75% effective rights and interests pertaining to the Non-Retail Portion of Lot 6 of the Rui Hong Xin Cheng Project
16 March Announcement of 2010 Annual Results
16 March APPOINTMENT OF NEW CHIEF EXECUTIVE OFFICER AND RETIREMENT OF EXECUTIVE DIRECTOR
3 March Monthly Return of Equity Issuer on Movements in Securities for the Month ended 28 February 2011
3 March DATE OF BOARD MEETING
28 February CONNECTED TRANSACTION – PROVISION OF GUARANTEE AND COUNTER INDEMNITY
1 February Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 January 2011
26 January OVERSEAS REGULATORY ANNOUNCEMENT, COMPLETION OF NOTES ISSUE AND DISCLOSURE PURSUANT TO RULE 13.18 OF THE LISTING RULES
20 January RMB3,500,000,000 US$ SETTLED 7.625% SENIOR NOTES DUE 2015 TO BE GUARANTEED BY THE COMPANY
18 January PROPOSED NOTES ISSUE TO BE GUARANTEED BY THE COMPANY
5 January Monthly Return of Equity Issuer on Movements in Securities for the Month ended 31 December 2010
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