Sany Heavy Industry Co., Ltd. has released updated details for its final dividend for the year ended 31 December 2025.
The board approved a cash distribution of RMB 0.18 per share, equivalent to HKD 0.206689 per share for shareholders on the Hong Kong register, based on an exchange rate of RMB 1 to HKD 1.148274. Shareholders endorsed the payout on 2 June 2026.
Key timetable • Ex-dividend date: 4 June 2026 • Last day for share transfer: 5 June 2026 (16:30) • Book-close period: 8–10 June 2026 • Record date: 10 June 2026 • Payment date: 6 July 2026
Withholding tax framework • Non-resident enterprises: 10% • Non-resident individuals: 10% • Northbound Trading investors: 10% • Southbound Trading mainland individuals: 20% (mainland enterprises to self-report)
Tricor Investor Services Limited remains the Hong Kong share registrar for the dividend process. The announcement clarifies that the default payment currency, exchange rate, and payment date have been updated from the previous notice.
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