IMPORTANT
The copies of announcements, circulars and other documents below are included or made available in this website pursuant to legal or regulatory requirements, including those under the Rules Governing the Listing of Securities on The Stock Exchange of Hong Kong Limited and/or applicable rules or codes of the Securities and Futures Commission. Those documents are included or made available in this website for reference and information only. In no circumstance shall the inclusion of or access to those documents in this website constitute an offer for sale or subscription of, or solicitation or invitation of any offer to buy or subscribe for, units of Hui Xian Real Estate Investment Trust or any other securities, whether in Hong Kong or in any other jurisdiction.
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Monthly Return for the Month Ended 30 November 2011
Monthly Return for the Month Ended 31 October 2011
Next Day Disclosure Returns
Payment of Base Fee and Variable Fee to the Manager by Way of Units in Hui Xian Real Estate Investment Trust and Cash
Monthly Return for the Month Ended 30 September 2011
Payment of Base Fee and Variable Fee to Hui Xian Asset Management Limited by way of units in Hui Xian Real Estate Investment Trust and Cash
Next Day Disclosure Return
Monthly Return for the Month Ended 31 August 2011
Adjustment Payment for Transfer and Assignment of Hui Xian BVI Share and Interests in Assigned Indebtedness under Reorganisation Agreement
Change of Address of Registered Office of the Manager
Monthly Return for the Month Ended 31 July 2011
Date of Board Meeting
Announcement - Stabilising Actions, End of Stabilising Period and Lapse of Over-allotment Option
Initial Offering - Announcement of Allotment Results
Formal Notice
Offering Circular
Application Forms - White Application Form
Application Forms - Yellow Application Form
Application Forms - Green Application Form