Stock Code
   
 
RENAISSANCE ASIA SILK ROAD GROUP LIMITED
Stock Code : 00274
Internet Address : http://www.rasr.com.hk

BUSINESS REVIEW:


SHARE CAPITAL HISTORY:

Date      Issue Price  Shares Issued  Remarks
2000 Dec  @$1.0           50,000,000  New Listing
2001 Jul  @$0.8           10,000,000  Raised HK$8 mil.
2001 Oct  @$1.62          27,000,000  Raised HK$42.5 mil.
2001 Oct  @$1.68          10,000,000  Raised HK$16.5 mil.
2001 Dec                              Issue US$120 mil. convertible bonds with 2.5% p.a.
                                      interest rate due in Dec 2004
2002 Apr                              Issue US$1.78 mil. convertible bonds with 2.5%
                                      p.a. interest rate due in Dec 2004
2002 Jul  @$2.1           54,000,000  Raised HK$110 mil.
2002 Jul                              Issue US$3.84 mil. convertible bonds with 2.5%
                                      p.a. interest rate due in Dec 2004
2003 May  @$1.28         100,000,000  Raised HK$1.24 mil.
2004 Jan                              Issue US$4.08 mil. convertible bonds due in
                                      Dec 2004
2009 Feb  @$0.25         644,620,488  Rights Issue 12 for 25
2009 May                              Issue HK$160 mil. convertible bond with 8% p.a.
                                      interest rate due in 2012
2009 Jul  @$0.44          29,000,000  Exercise of share options
2009 Aug  @$0.44         152,257,000  Exercise of share options
2009 Dec  @$0.36-$0.44   153,090,333  Exercise of share options
2009 Dec                 451,944,444  Conversion of HK$163.3 mil. convertible bonds
2009 Dec  @$0.4          762,022,000  Acquisition of gold mines in Hunan
2009 Dec                              Issue HK$895.19 mil. zero-coupon convertible bond
                                      due in 3 years
2010 Apr                 345,000,000  Conversion of HK$138 mil. convertible bonds
2010 May                  87,500,000  Conversion of HK$35 mil. convertible bonds
2010 Sept                360,000,000  Conversion of HK$144 mil. convertible bonds
2010 Oct  @$0.12         340,000,000  Raised HK$39.8 mil.
2010 Nov                 360,000,000  Conversion of HK$144 mil. convertible bonds
2011 Mar                 360,000,000  Conversion of HK$144 mil. convertible bonds
2012 Apr                              Issue HK$50 mil. zero-coupon rate convertible bonds
                                      due in 1 year
2015 Dec  @$0.05       9,692,022,458  Debt settlement (after share consolidation)
2015 Dec                              Issue HK$53.42 mil. convertible bonds with 10% p.a.
                                      interest rate due in 3 years
2016 Apr                              Consolidation 2 into 1
2016 Apr  @$0.03       5,235,303,300  Rights issue 2 for 1 consolidated sh
2019 Oct  @$0.01995    1,403,508,771  Raised HK$28 mil.
2019 Nov  @$0.018      2,100,000,000  Raised HK$36.5 mil.
2020 Mar                              Consolidation 20 into 1
2020 Aug  @$0.14058       70,789,074  Debt repayment
2020 Nov  @$0.09918      139,500,000  Raised HK$13.7 mil.




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