,504, /05/ ,000, ,496, ,000, /05/ ,200, ,200, ,560,000

Similar documents
,800, /07/11 48,000, ,200, ,000, /07/15 210,000, ,692,

/12/ /11/ /05/ /08/ H 2002/11/ H 1994/11/ H 2004/06/ /12/

untitled


untitled

VLACRPD Binnie Hong Kong Limited Binnie & Partners International (Mitchell and MarFarlane, Brentnall & Partners International Limited)

厦门创兴科技股份有限公司

195

t12phip


i

目 錄 頁 次 摘 要 第 一 章 : 第 二 章 : 第 三 章 : 引 言 市 場 回 應 總 結 及 下 一 步 附 錄 附 錄 一 : 附 錄 二 : 最 後 方 案 回 應 人 士 名 單

Cricket Square Hutchins Drive, P.O. Box 2681 Grand Cayman KY Cayman Islands D Royal Bank of Canada Trust Company (Cayman) Limited 4th Floo

754 Asian Company Handbooks Worldscope i. 10% ii. iii. iv. 10% % % % %



untitled

A %

惠 理 基 金 管 理 公 司 (852) (852)


Gongbei Port Avenida Norte do Hipodromo Avenida Leste do Hipodromo Orient Pearl Lotes T+T1 Rua Central da Areia Preta Avenida do Nordeste Macau Ferry

AR b定期报告全文_Word中文版_.DOC

XIAOMI CORPORATION 小米集團 2,179,585,000 1,434,440,000 B 745,145, ,980,000 2,070,605,000 1,325,460,000 B 745,145, % % 0.005%


[ ] [ ] 52 [ ] [ ]

untitled

1638


<4D F736F F D20D6D0BCAFBCAFCDC C4EAC4EAB6C8B1A8B8E6D5AAD2AA2E646F63>


untitled

中 国 外 运 股 份 有 限 公 司 ( 住 所 : 北 京 市 海 淀 区 西 直 门 北 大 街 甲 43 号 金 运 大 厦 A 座 ) 公 开 发 行 2016 年 公 司 债 券 ( 第 一 期 ) 募 集 说 明 书 ( 面 向 合 格 投 资 者 ) 牵 头 主 承 销 商 / 债

85,426,000 39,437,000 45,989, % 30,643,000 (79,340,000 ) 48,697, % 8,794,000 6,086,000 2,708, % 7,171,000 25,573,000 18,402,000 7



untitled

/0 8

Regal International Airport Group Company Limited * 357 H *


ii & iii

4 18,826 7,792 (13,894) (7,205) 4, (16) 510 (856) (922) (17,690) (8,192) (4) (7) 15 (16) (217) 672 2,849 (10,336) (7,424) 7 (34,168) (

i


2004 A

( cn/) (1) 2

HTSC XIVA 13.09(2) 13.10B



(i) (ii) (iii) 1,017,341, (a) (b) (c) (d) (e) % % % % % 2


chi (insert cover).indb

A, _

i


厦门创兴科技股份有限公司

<4D F736F F D A67EB2C432A975A7EBB8EAA448B6B7AABE28B2C4A440B3A1A5F7B0F2AAF7B14DC4DDB8EAB E646F63>

ValenceTech Limited

(1) (2) (3) 1


Full Benefit Caragis Caragis Limited Vicsley Top Trend Developments Hong Kong Hotel REIT Holdings Limited Dorsett International Group Limited 30


untitled

AR C_Longyuan_.pdf

( ) :

144,131,474 Bowenvale Bowenvale 49.50% 50.00% (a) 3,576,836, ,307, (b) 3,747,418, ,307, Bowenvale 291

untitled

untitled




目 錄 第 一 節 重 要 提 示 和 釋 義 2 第 二 節 公 司 簡 介 4 第 三 節 會 計 數 據 和 財 務 指 標 摘 要 7 第 四 節 董 事 會 報 告 10 第 五 節 重 要 事 項 40 第 六 節 股 本 變 動 及 股 東 情 況 43 第 七 節 優 先 股 相 關

untitled

2002年度报告(广州)


重庆长安汽车股份有限公司2013半年度报告全文

untitled

... iii

: O16

Hospital Corporation of China Limited [ ] [] [][] [] [][] [] [][][] [] [][] [] [ ] [] [] [] C [] [][][][] [] [][][][][] [][][]1% %0.

untitled


13970-Sino Haijing 16 AR_C.indb

IMAGI INTERNATIONAL HOLDINGS LIMITED * / *





untitled


公 司 使 命 全 力 向 着 成 為 各 華 人 群 體 之 間, 以 及 華 人 群 體 與 世 界 各 地 之 間 的 華 語 聯 繫 的 願 景 發 展, 鳳 凰 分 享 無 間 的 華 語 節 目, 包 括 娛 樂 評 論 節 目 亞 洲 及 西 方 影 片 平 衡 準 確 的 即 時 新


untitled


% % % 53 Stubbs Road Development Co. Limited ,000, Stubbs Road (Management) Limited ^ ,


1

16 237,500, ,170, ,456,961 68,991,418 7,005,801 2,468, ,174,024 18,370, ,911,728 20,589, ,869 2,820, ,050,

DLC Asia Limited * GEM 200,000, ,000,000 20,000, % %0.005% C

[ ] [ ] [ ] [ ] C ,500,000 30,000, ,000, ,000, ,019, ,019, ,000,000 51,000,000 2

H

Transcription:

0896 10/01/2002 1073# 14/01/2002 0746 16/01/2002 1129 40,000,000 0.500 57.50 17/01/2002 75,000,000 59 0812 5,000,000 1.000 50.00 30/01/2002 45,000,000 13.44 1126 16,250,000 1.200 195.00 07/02/2002 146,250,000 3.4 1002 20,000,000 0.430 94.60 08/02/2002 20,000,000 78.4 180,000,000 1076 20,000,000 0.730 146.00 11/02/2002 180,000,000 1.84 0130 7,000,000 1.000 70.00 11/02/2002 63,000,000 6.6 0228 125,000,000 0.200 50.00 18/02/2002 75,000,000 1.9 50,000,000 0209 30,000,000 0.550 55.00 06/03/2002 20,000,000 45.4 50,000,000 1161 24,480,000 1.080 88.13 11/03/2002 24,480,000 10/01/1900 32,640,000 0916 90,000,000 0.200 60.00 27/03/2002 120,000,000 41.1 90,000,000 0157 50,000,000 0.550 275.00 28/03/2002 450,000,000 0.8912 0646 50,000,000 0.500 50.00 28/03/2002 16,000,000 185 34,000,000 0223 21,600,000 1.000 82.80 10/04/2002 36,000,000 28 25,200,000 2389 33,600,000 0.950 79.80 26/04/2002 50,400,000 91 0928 160,000,000 0.385 141.68 29/04/2002 64,000,000 114 144,000,000 0582 43,750,000 0.800 50.00 30/04/2002 18,750,000 1.13 46 2002

0856 108,504,000 0.250 54.25 09/05/2002 42,000,000 133 66,496,000 0915 78,000,000 1.680 301.39 10/05/2002 31,200,000 144.6 70,200,000 1198 31,560,000 1.000 57.50 15/05/2002 17,250,000 25.8 8,690,000 0766 20,000,000 0.250 50.00 15/05/2002 70,000,000 7.4 110,000,000 2688# 03/06/2002 0169 25,200,000 1.000 96.60 04/06/2002 14,000,000 21 57,400,000 0064 60,000,000 1.000 75.00 06/06/2002 15,000,000 1.3 2323 24,000,000 1.380 253.92 21/06/2002 160,000,000 4.02 0249 24,200,000 1.560 434.15 27/06/2002 25,300,000 3.4 228,800,000 0691 11,000,000 0.750 75.75 28/06/2002 90,000,000 1.07 1094 30,000,000 0.500 50.00 03/07/2002 40,000,000 15.4 30,000,000 0628 16,800,000 0.300 50.40 24/07/2002 151,200,000 5.12 2388 804,452,000 8.075 20,516.42 25/07/2002 1,649,466,500 8.500 27 1211 H 13,000,000 10.950 1,637.03 31/07/2002 136,500,000 2.4 0703 15,000,000 0.340 51.00 15/08/2002 42,000,000 1.07 93,000,000 0364 16,000,000 0.500 80.00 30/08/2002 64,000,000 3.5 80,000,000 0860 18,200,000 0.360 65.52 03/09/2002 52,000,000 13.17 111,800,000 2898 45,000,000 0.340 51.00 05/09/2002 105,000,000 34.4 0912 11,000,000 1.000 50.00 18/09/2002 39,000,000 2.63 47 2002

0395 10,000,000 0.800 80.00 28/10/2002 90,000,000 4.33 0708 28/10/2002 2888 3,829,700 84.000 2,940.00 31/10/2002 31,170,300 1.3 0221 20,240,000 0.250 50.60 7/11/2002 60,720,000 8.26 121,440,000 1142 9,000,000 1.000 60.00 8/11/2002 24,000,000 1.82 27,000,000 2309 9,000,000 1.000 60.00 12/11/2002 24,000,000 1.93 27,000,000 0850 30,600,000 0.500 51.00 13/11/2002 40,800,000 31.4 30,600,000 0379 20,000,000 0.250 50.00 13/11/2002 80,000,000 14.69 100,000,000 0728 H 377,820,000 1.470 11,800.29 15/11/2002 730,494,300 3.7 Merrill Lynch Far East Ltd 6,919,095,700 0357 H 16,470,000 3.780 857.73 18/11/2002 3,700,000 5.1 206,743,000 2883 H 400,396,000 1.680 2,578.55 20/11/2002 Credit Suisse First Boston (Hong Kong Ltd 139,532,000 18.7 Merrill Lynch Far East Ltd 994,924,000 0587 42,600,000 0.770 117.04 10/12/2002 42,600,000 24.7 66,800,000 0607 14,062,500 0.800 75.00 18/12/2002 48,562,500 11.99 31,125,000 44,215.64 48 2002

0612 6,000,000 0.500 30.00 02/01/2002 54,000,000 2.4 0810 30,000,000 1.000 100.00 28/02/2002 70,000,000 1.1 0901 70,200,000 0.180 126.36 28/02/2002 631,800,000 4.7 1186 Value Partners China Greenchip Fund Ltd 30,500,000 10.000 8.00 08/04/2002 0356 Incutech Investments Ltd 30,000,000 1.000 60.00 07/06/2002 1.06 1217 66,000,000 0.250 14.28 28/08/2002 1.141 1226 16,000,000 0.500 28.10 19/09/2002 40,200,000 1.78 1227 4,400,000 0.500 22.00 27/09/2002 39,600,000 1.0009 2312 21 10,000,000 1.000 100.00 28/10/2002 90,000,000 1.19 488.74 # 0700 17/09/97 06/05/02 0117 30/04/02 07/05/02 0728 12/06/02 20/06/02 0745 11/11/02 20/11/02 49 2002

00010 27/12/01 02/01/02 00101 27/12/01 02/01/02 00649 05/12/01 10/01/02 00563 02/01/02 14/01/02 00285 12/12/01 15/01/02 01169 23/01/02 23/01/02 00298 17/01/02 24/01/02 01109 14/01/02 25/01/02 01207 18/01/02 01/02/02 00070 30/01/02 07/02/02 00875 28/01/02 15/02/02 00102 16/01/02 18/02/02 00655 08/02/02 22/02/02 00164 # 20/03/02 22/03/02 00992 * 28/03/02 08/04/02 00491 27/03/02 12/04/02 00371 IFTA Pacific Holdings Ltd 22/03/02 15/04/02 00094 08/04/02 19/04/02 01051 26/04/02 02/05/02 00300 - H - H 29/03/02 03/05/02 01215 26/04/02 10/05/02 00988 09/05/02 17/05/02 00735 # 13/05/02 23/05/02 01172 28/05/02 06/06/02 00155 14/05/02 11/06/02 00075 29/05/02 12/06/02 00261 22/05/02 13/06/02 00603 03/06/02 18/06/02 00512 17/05/02 19/06/02 00676 # 11/06/02 19/06/02 00431 09/05/02 20/06/02 01104 07/06/02 20/06/02 00764 10/06/02 20/06/02 00307 31/05/02 21/06/02 01192 06/06/02 24/06/02 00285 12/06/02 26/06/02 00554 14/06/02 05/07/02 00702 25/06/02 11/07/02 00322 # 05/07/02 12/07/02 00635 28/06/02 15/07/02 00384 05/07/02 18/07/02 00231 01/07/02 19/07/02 00370 # 22/07/02 22/07/02 00493 20/06/02 23/07/02 00456 14/06/02 26/07/02 00175 02/07/02 26/07/02 00755 22/07/02 02/08/02 00008 * 09/08/02 14/08/02 00397 20/08/02 29/08/02 00067 26/08/02 30/08/02 00897 23/08/02 03/09/02 01202 - H * - H 09/08/02 10/09/02 00959 04/09/02 11/09/02 00233 04/09/02 17/09/02 01105 27/08/02 18/09/02 00899 05/09/02 25/09/02 00432 24/09/02 08/10/02 00412 10/09/02 09/10/02 00970 09/10/02 23/10/02 00336 # 04/11/02 04/11/02 00042 - H - H 04/11/02 04/11/02 00622 08/11/02 11/11/02 00346 01/11/02 15/11/02 01205 31/10/02 20/11/02 00585 IMI Global Holdings Ltd 13/11/02 21/11/02 00183 25/11/02 27/11/02 00575 * 15/11/02 05/12/02 00362 18/11/02 13/12/02 00555 22/11/02 18/12/02 00149 09/12/02 18/12/02 * # 50 2002

0557 e-solutions 29/12/89 0504 18/06/92 0881 JF Japan OTC Fund Inc. 19/01/90 0945 Manulife Financial Corporation 27/09/99 0575 19/05/97 0770 30/11/93 0678 30/11/00 0693 07/07/98 0543 Thai Asset Fund Ltd., The 29/11/89 0540 Thai-Asia Fund Ltd., The 15/11/89 : 00170 15/04/92 00612 02/01/02 00133 22/07/93 00810 28/02/02 00339 26/07/00 00204 12/12/00 01227 27/09/02 01226 19/09/02 02312 21 28/10/02 00310 21/12/92 00428 14/12/93 00905 17/07/98 00504 19/01/90 00356 Incutech Investments Ltd. 07/06/02 01062 ING 10/05/94 00881 JF Japan OTC Fund Inc. 27/12/89 00721 Prime Investments Holdings Ltd. 08/06/01 00901 28/02/02 00770 30/11/93 01217 28/08/02 00543 Thai Asset Fund Ltd., The 29/11/89 00540 Thai-Asia Fund Ltd., The 15/11/89 00768 18/01/00 00913 Unity Investments Holdings Ltd. 27/10/99 01186 Value Partners China Greenchip Fund Ltd. 08/04/02 00666 21/12/90 0945 Manulife Financial Corporation 27/09/99 51 2002

0480 8 1 0554 1 1 0987 J.I.C.Technology Co. Ltd. (JIC) 90 1 JIC JIC 2001/12/14 2002/01/10 2001/12/20 2002/01/16 2002/04/18 2002/06/04 0001 25 1 2.00 2002/06/06 2002/07/16 0632 1 1 2002/06/28 2002/08/28 0159 50 1 2002/07/18 2002/09/19 0419 1 1 2002/07/31 2002/10/23 0261 1 1 2002/09/20 2002/11/07 0117 1.60 2002/04/30 2002/05/07 0728 2.90 2002/06/12 2002/06/21 0745 0.80 2002/11/11 2002/11/20 0092 06/05/02 0632 28/08/02 0159 19/09/02 0419 23/10/02 0085 04/12/02 52 2002

0022 0.520 (08/10/02) 09/10/02 1197 0.010 (10/05/01) 11/05/01 0285 0.089 (26/11/02) 26/11/02 1188 0.102 (03/10/02) 04/10/02 0889 0.790 (14/08/02) 15/08/02 0932 0.380 (27/09/02) 30/09/02 0916 0.038 (13/12/02) 16/12/02 0181 0.082 (15/02/01) 16/02/01 0090 0.080 (13/12/02) 16/12/02 0195 'A' 1.810 (03/12/02) 04/12/02 0196 'B' 0.184 (03/12/02) 04/12/02 0240 I-China Holdings Ltd. 0.031 (14/01/02) 15/01/02 0072 0.122 (03/11/00) 06/11/00 0606 0.010 (10/05/01) 11/05/01 0336 0.070 (22/04/02) 23/04/02 1190 0.036 (23/08/02) 26/08/02 0269 0.027 (28/12/01) 28/12/01 1095 0.039 (21/06/02) 24/06/02 0211 0.015 (20/12/02) 23/12/02 1013 0.155 (17/09/02) 18/09/02 0085 0.065 (19/12/02) 20/12/02 0965 1.050 (13/12/02) 16/12/02 0532 28/11/2001 Senta Wong Co Ltd0.30 09/01/2002 0645 21/12/2001 Wonder Star Securities Ltd0.20 12/01/2002 0603 27/12/2001 25/01/2002 Noble Islands Int Ltd0.045 0.0001 0.0001 0034 16/01/2002 Intellinsight Holdings Ltd3.580.58 07/02/2002 0099 07/02/2002 0.072 110,073,150" 01/03/2002 0512 25/02/2002 19/03/2002 Vision Ocean Invetments Ltd0.072 0333 22/01/2002 Van De Velde N.V.0.1638 20/03/2002 0663 04/03/2002 Probest Holdings Inc0.00623 03/04/2002 1223 26/03/2002 Well Success Investment Ltd1.75 09/04/2002 0899 20/03/2002 10/04/2002 Unichina Enterprises Ltd0.0250.01 53 2002

1104 14/03/2002 11/04/2002 Angel Field Ltd0.418 0735 21/02/2002 12/04/2002 Wealth Success Ltd0.0490.01 0493 04/04/2002 25/04/2002 Shinning Crown Holdings Inc.0.10 1196 08/04/2002 Harmony Link Corporation0.24 29/04/2002 1192 11/04/2002 02/05/2002 Great Logistics Holdings Ltd0.040.001 1051 26/04/2002 17/05/2002 Win Channel Investments Ltd Sheung Hai Developments Ltd0.01 0727 24/05/2002 Kim Eng Ong Asia Holdings Ltd Kim Eng Investment Ltd 14/06/2002 5.22 0728 08/04/2002 2.90 17/06/2002 0166 06/06/2002 Kandy Profits Ltd0.67 0.35 20/06/2002 0067 20/06/2002 11/07/2002 Global Town Ltd0.82 0.07 0554 21/06/2002 12/07/2002 Extreme Wise Investments Ltd 0.215 0555 04/07/2002 25/07/2002 Kingly Profits Corporation0.53 0.03 0259 17/07/2002 Antrix Investment Ltd 0.25 07/08/2002 0970 26/07/2002 16/08/2002 Super Empire Investments Ltd1.29 0283 29/07/2002 30/08/2002 Jade Forest Ltd0.25 0346 28/08/2002 18/09/2002 Chance Profit Investments Ltd HK$0.417 0233 13/09/2002 27/09/2002 0.524 0.524 0.001 0835 ehealthcareasia Ltd 07/10/2002 Wealth Generator Ltd0.08 28/10/2002 0745 30/09/2002 Designcase Ltd 0.80 14/11/2002 0195 15/10/2002 A 1.84B 0.184 03/12/2002 0498 06/12/2002 Hollyfield Group Ltd 27/12/2002 0.300.01 54 2002

00498 51 2003 04/02/02 00059 51 2003 06/02/02 01169 101 2003 07/02/02 : 01222 41 21/02/02 00115 51 2005 04/03/02 00720 13 08/03/02 00930 101 2004 02/04/02 00910 1 2 08/04/02 00635 11 2004 12/04/02 : 00809 5 1 17/04/02 00399 51 2003 22/04/02 00003 10 1 22/04/02 01228 1 2, 51 2004 29/04/02 00047 51 2005 10/05/02 00913 Unity Investments Holdings Ltd. 1 1 15/05/02 01168 101 2003 16/05/02 00818 1 1 16/05/02 00762 51 2005 17/05/02 00412 51 2003 28/05/02 : 00353 1 2 30/05/02 00428 51 2004 10/06/02 00619 51 2003 13/06/02 00898 5 1 17/06/02 00855 13 15/07/02 00265 51 2003 18/07/02 00235 53 2003 02/08/02 00262 51 2004 06/08/02 00328 101 2005 15/08/02 00335 1 3 15/08/02 00592 4 1 22/08/02 00326 11 03/09/02 01174 51 2004 06/09/02 00252 2 1 11/09/02 00720 1 10 20/09/02 00274 5 1 17/10/02 00172 124 06/12/02 01073 10 3 09/12/02 00092 51 2004 20/12/02 00563 101 0.100 1 0.100 02/01/02 : 00304 201 0.100 2 0.100 25/01/02 00059 252 0.010 3 0.010 05/02/02 00090 110 0.010 0.001 18/02/02 00970 201 0.100 4 0.010 25/02/02 : 00993 101 0.100 5 0.010 05/03/02 00720 101 0.100 6 0.010 18/03/02 04336 12 n.a. n.a. 18/04/02 00164 15 0.050 0.010 25/04/02 : 01049 201 0.100 0.100 7 26/04/02 00092 251 0.100 0.100 8 06/05/02 00261 101 0.020 9 0.010 21/05/02 00412 401 0.010 10 0.010 27/05/02 : 00381 15 0.100 0.020 29/05/02 00339 15 0.100 0.020 31/05/02 00479 501 0.010 11 0.010 25/06/02 00175 21 0.010 0.020 25/06/02 : 00273 501 0.010 12 0.010 11/07/02 00155 201 0.010 0.010 13 30/07/02 : 00604 12 0.100 0.050 31/07/02 55 2002

00015 14 0.100 0.025 06/08/02 00397 201 0.010 14 0.010 15/08/02 : 00959 81 0.100 0.001 15 23/08/02 : 17 01218 101 0.010 0.100 23/08/02 00059 251 0.010 16 0.010 30/08/02 00296 251 0.020 0.500 03/09/02 00090 201 0.001 0.020 03/09/02 00926 101 0.050 0.500 05/09/02 00048 101 0.100 1.000 05/09/02 00389 51 0.100 0.500 09/09/02 00326 501 0.050 17 0.050 10/09/02 00109 801 0.010 0.010 18 10/09/02 01166 1001 0.010 19 0.100 17/09/02 00052 101 0.100 1.000 19/09/02 00720 101 0.010 0.100 19/09/02 00965 2001 0.010 20 0.010 30/09/02 00952 501 0.010 21 0.010 04/10/02 01222 1001 0.010 0.100 22 07/10/02 00970 15 0.010 0.002 08/10/02 : 00673 2001 0.005 1.000 08/10/02 00140 201 0.200 23 0.020 21/10/02 00214 501 0.005 0.100 24 12/11/02 00585 IMI Global Holdings Ltd. 251 0.020 0.500 21/11/02 : 00245 1001 0.025 25 0.100 21/11/02 00524 e-kong Group Ltd. 201 0.020 26 0.010 22/11/02 01215 101 0.010 0.100 25/11/02 : 00401 401 Holdings Ltd. 501 0.010 0.100 27 28/11/02 01220 101 0.100 1.000 29/11/02 00094 1001 0.010 28 0.010 02/12/02 : 00661 2001 0.025 29 0.050 16/12/02 01060 501 0.010 30 0.250 20/12/02 01141 501 0.010 0.010 31 31/12/02 00729 201 0.100 32 0.010 31/12/02 1 0.100.09 0.01 2 0.100.095 0.005 3 0.010.0092 0.0008 4 0.100.0995 0.0005 5 0.100.099 0.001 6 0.100.099 0.001 7 2.001.90 0.10 8 2.502.40 0.10 9 0.020.019 0.001 10 0.010.00975 0.00025 11 0.010.0098 0.0002 12 0.010.0098 0.0002 13 0.200.19 0.01 14 0.010.0095 0.0005 15 0.8000.793 0.007 16 0.010.0096 0.0004 17 0.050.049 0.001 18 0.790.800 0.010 19 0.010.0099 0.0001 20 0.010.00995 0.00005 21 0.010.0098 0.0002 22 1.000.90 0.10 23 0.2000.199 0.001 24 0.250.15 0.10 25 0.0250.024 0.001 26 0.020.0195 0.0005 27 0.500.40 0.10 28 0.010.0099 0.0001 29 0.0250.02475 0.00025 30 0.010.005 0.005 31 0.500.49 0.01 32 0.100.0995 0.0005 56 2002

0183 6 1, 1.68 726.74 03/12/2001 02/01/2002 0131 2 1, 0.02 32.33 03/12/2001 02/01/2002 0835 ehealthcareasia Ltd 2 1, 0.25 36.86 20/12/2001 101 14/01/2002 0649 2 1, 0.65 101.83 18/12/2001 14/01/2002 0563 2 1, 0.13 37.96 18/12/2001 101 16/01/2002 1139 2 1, 0.10 7.35 28/12/2001 24/01/2002 0689 1 4, 0.01 64.61 21/01/2002 15/02/2002 1131 1 1, 0.04 77.33 28/01/2002 22/02/2002 0059 2 17, 0.016 109.13 06/02/2002 51 2003 01/03/2002 252 0876 1 1, 0.50 28.00 29/01/2002 01/03/2002 1218 1 1, 0.08 88.24 06/02/2002 05/03/2002 0592 2 1, 0.46 63.09 07/02/2002 12/03/2002 0109 1 11, 0.015 108.68 15/02/2002 13/03/2002 1222 1 4, 0.03 197.29 21/02/2002 41 15/03/2002 0649 10 7, 0.65 213.88 11/03/2002 03/04/2002 0720 1 1, 0.35 49.31 08/03/2002 13 04/04/2002 0276 2 1, 0.05 97.08 12/03/2002 08/04/2002 0132 5 1, 0.21 27.98 12/03/2002 08/04/2002 0472 1 1, 0.073 41.95 25/03/2002 22/04/2002 0063 1 1, 0.195 145.75 08/04/2002 29/04/2002 0326 2 1, 0.05 52.90 02/04/2002 29/04/2002 0635 5 1, 0.26 52.47 12/04/2002 11 2004 02/05/2002 0155 2 1, 0.018 111.94 15/04/2002 08/05/2002 0242 4 1, 1.00 388.49 23/04/2002 15/05/2002 0535 2 1, 0.42 350.27 26/04/2002 23/05/2002 1141 2 3, 0.01 40.26 08/05/2002 27/05/2002 0595 2 1, 0.26 31.07 07/05/2002 03/06/2002 0090 2 1, 0.016 32.00 14/05/2002 05/06/2002 0412 1 10, 0.084 102.79 28/05/2002 51 2003 19/06/2002 401 0943 2 1, 0.127 74.66 29/05/2002 19/06/2002 1125 4 1, 0.10 76.77 27/05/2002 20/06/2002 0085 5 2, 0.115 51.21 17/06/2002 08/07/2002 0273 1 10, 0.02 111.70 12/07/2002 51 05/08/2002 0855 3 1, 0.10 43.75 15/07/2002 13 05/08/2002 0952 5 3, 0.015 29.01 11/07/2002 16/08/2002 0304 1 2, 0.18 66.21 09/07/2002 20/08/2002 0235 2 1, 0.15 41.47 02/08/2002 53 2003 21/08/2002 0718 1 1, 0.022 31.36 12/08/2002 30/08/2002 1218 1 3, 0.12 79.42 15/08/2002 101 05/09/2002 0268 4 1, 0.35 234.07 30/08/2002 24/09/2002 0326 1 1, 1.25 95.22 03/09/2002 501 24/09/2002 0234 2 1, 0.30 83.14 30/10/2002 20/11/2002 0620 2 1, 0.025 7.57 22/10/2002 27/11/2002 0678 50 7, 1.95 1,184.47 30/10/2002 02/12/2002 0524 e-kong Group Ltd 1 1, 0.12 28.25 25/11/2002 201 13/12/2002 0818 2 1, 0.63 69.94 28/11/2002 19/12/2002 0172 20 1, 0.25 18.42 06/12/2002 124 31/12/2002 5,744.23 57 2002

01169 1,120,000,000 0.3000 336.00 02/01/02 00925 66,710,000 0.3300 22.01 07/01/02 00063 63,000,000 0.1750 11.03 08/01/02 00297 50,000,000 0.4000 20.00 09/01/02 00070 254,000,000 0.0660 16.76 11/01/02 00399 4,740,000 1.6450 7.80 16/01/02 01169 368,000,000 0.3000 110.40 16/01/02 01182 208,800,000 0.4770 99.60 16/01/02 00855 218,754,000 0.1000 21.88 17/01/02 00648 80,000,000 0.3000 24.00 18/01/02 00148 60,000,000 5.3500 321.00 21/01/02 00094 280,000,000 0.0650 18.20 21/01/02 00385 550,000,000 0.0250 13.75 22/01/02 00412 1,000,000,000 0.0180 18.00 25/01/02 00286 53,900,000 0.1250 6.74 29/01/02 01120 18,500,000 1.7000 31.45 31/01/02 00094 270,000,000 0.0500 13.50 06/02/02 00164 74,980,000 0.6000 44.99 06/02/02 00340 70,000,000 0.1000 7.00 11/02/02 00681 143,081,399 0.1000 14.31 11/02/02 00070 305,000,000 0.0800 24.40 11/02/02 00885 40,000,000 2.9500 118.00 15/02/02 00922 40,000,000 0.1000 4.00 26/02/02 00286 73,400,000 0.1050 7.71 06/03/02 00078 90,000,000 0.1400 12.60 07/03/02 00326 352,653,393 0.0950 33.50 15/03/02 00899 1,100,000,000 0.0250 27.50 18/03/02 00603 932,700,000 0.0450 41.97 20/03/02 00639 230,000,000 0.1500 34.50 20/03/02 00307 1,000,000,000 0.1050 105.00 21/03/02 00412 815,800,000 0.0130 10.61 25/03/02 01100 20,000,000 1.7500 35.00 25/03/02 00627 120,000,000 0.6900 82.80 26/03/02 00905 20,000,000 0.3500 7.00 27/03/02 00922 11,600,000 0.1200 1.39 27/03/02 00493 1,350,000,000 0.1000 135.00 28/03/02 00500 18,571,429 2.1000 39.00 28/03/02 00760 178,000,000 0.1500 26.70 28/03/02 01207 100,000,000 0.9900 99.00 03/04/02 00094 230,000,000 0.0650 14.95 04/04/02 00970 11,900,000 0.8000 9.52 08/04/02 00735 280,000,000 0.1000 28.00 10/04/02 00897 26,370,000 0.1000 2.64 15/04/02 00993 45,350,000 0.2400 10.88 17/04/02 00234 80,000,000 0.2500 20.00 18/04/02 01189 4,800,000,000 0.0270 129.60 19/04/02 00164 89,946,000 0.8000 71.96 23/04/02 00370 370,000,000 0.0500 18.50 24/04/02 00925 78,000,000 0.3000 23.40 24/04/02 00231 50,000,000 0.1000 5.00 26/04/02 01104 33,800,000 0.5300 17.91 26/04/02 01163 40,500,000 0.7700 31.19 29/04/02 01051 4,500,000,000 0.0100 45.00 30/04/02 00120 9,000,000 0.5800 5.22 06/05/02 00340 155,500,000 0.1000 15.55 06/05/02 00603 1,119,000,000 0.1300 145.47 07/05/02 00669 60,000,000 6.2750 376.50 09/05/02 00862 159,121,700 0.1332 21.20 10/05/02 00897 31,650,000 0.1000 3.17 13/05/02 00281 268,091,085 0.2000 53.62 14/05/02 01104 6,200,000 0.6200 3.84 15/05/02 01222 1,950,000,000 0.0200 39.00 15/05/02 00231 50,000,000 0.1000 5.00 16/05/02 01141 3,000,000,000 0.0100 30.00 16/05/02 58 2002

00094 600,000,000 0.0720 43.20 16/05/02 00198 350,000,000 0.0800 28.00 16/05/02 01130 160,000,000 0.0700 11.20 17/05/02 00261 4,000,000,000 0.0100 40.00 21/05/02 00349 93,055,000 8.1600 759.33 21/05/02 00451 105,400,000 0.1000 10.54 22/05/02 01193 170,000,000 0.9400 159.80 23/05/02 00399 60,000,000 2.4500 147.00 23/05/02 01180 280,000,000 0.2900 81.20 23/05/02 00979 290,000,000 0.1030 29.87 23/05/02 00875 251,000,000 0.1100 27.61 28/05/02 00286 239,000,000 0.0610 14.58 29/05/02 00295 300,000,000 0.3200 96.00 29/05/02 00061 60,000,000 0.5300 31.80 30/05/02 01139 44,000,000 0.1150 5.06 05/06/02 00858 120,000,000 0.4500 54.00 06/06/02 00232 600,000,000 0.1600 96.00 10/06/02 00755 350,000,000 0.3200 112.00 10/06/02 01207 226,000,000 1.1800 266.68 11/06/02 00903 105,000,000 2.9200 306.60 11/06/02 00199 390,000,000 0.1000 39.00 12/06/02 00678 189,091,000 3.3000 624.00 12/06/02 00198 350,000,000 0.0800 28.00 12/06/02 00082 50,900,000 1.4000 71.26 12/06/02 00326 634,776,107 0.0630 39.99 14/06/02 00261 1,780,000,000 0.0100 17.80 17/06/02 00384 33,333,333 0.9000 30.00 17/06/02 00941 236,634,212 24.7217 5,850.00 18/06/02 00616 i100 Ltd 100,000,000 0.3000 30.00 18/06/02 00076 14,500,000 0.2320 3.36 18/06/02 00290 23,800,000 5.1300 122.09 19/06/02 00235 92,000,000 0.2000 18.40 20/06/02 00758 10,000,000 1.1000 11.00 21/06/02 00627 45,000,000 0.8100 36.45 21/06/02 00024 100,000,000 0.9000 90.00 21/06/02 00313 79,200,000 0.1200 9.50 28/06/02 00735 240,000,000 0.1000 24.00 28/06/02 00231 50,000,000 0.1000 5.00 04/07/02 01189 500,000,000 0.0800 40.00 09/07/02 00175 3,000,000,000 0.0220 66.00 09/07/02 00988 2,571,428,571 0.0350 90.00 09/07/02 00433 228,971,960 0.3000 68.69 11/07/02 01192 515,000,000 0.2700 139.05 11/07/02 00090 480,000,000 0.0110 5.28 12/07/02 00274 54,000,000 2.1000 113.40 17/07/02 00818 20,000,000 0.8200 16.40 17/07/02 00231 50,000,000 0.1000 5.00 29/07/02 00286 143,300,000 0.0380 5.45 31/07/02 00376 197,500,000 0.2000 39.50 06/08/02 00673 1,750,000,000 0.0100 17.50 09/08/02 00185 80,000,000 0.2500 20.00 12/08/02 00164 539,870,000 0.2180 117.69 14/08/02 00959 10,000,000,000 0.0040 40.00 23/08/02 00260 270,000,000 0.0530 14.31 29/08/02 01043 35,000,000 2.1500 75.25 30/08/02 00639 120,000,000 0.2600 31.20 30/08/02 00159 325,500,000 0.1000 32.55 30/08/02 00159 74,500,000 0.4250 31.66 30/08/02 00200 24,200,000 1.4500 35.09 31/08/02 00554 165,000,000 0.2300 37.95 03/09/02 00211 100,000,000 0.0720 7.20 03/09/02 01189 500,000,000 0.0800 40.00 04/09/02 00339 60,000,000 0.0200 1.20 09/09/02 01105 124,500,000 0.6388 79.53 09/09/02 00491 1,150,000,000 0.0152 17.48 10/09/02 00384 10,000,000 1.0000 10.00 17/09/02 01031 270,000,000 0.0100 2.70 17/09/02 01104 48,000,000 0.4180 20.06 17/09/02 00432 45,000,000,000 0.0100 450.00 20/09/02 01041 784,500,000 0.0320 25.10 30/09/02 00281 1,000,000,000 0.2500 250.00 30/09/02 00376 17,200,000 0.2150 3.70 03/10/02 00376 10,000,000 0.2500 2.50 03/10/02 00835 ehealthcareasia Ltd 4,999,998,000 0.0100 50.00 04/10/02 00835 ehealthcareasia Ltd 2,000 0.0800 0.00 04/10/02 00340 199,300,000 0.1000 19.93 04/10/02 00673 1,800,000,000 0.0050 9.00 05/10/02 00988 2,683,607,960 0.0160 42.94 07/10/02 00070 240,000,000 0.0500 12.00 15/10/02 00993 80,000,000 0.2000 16.00 16/10/02 00993 60,000,000 0.2500 15.00 16/10/02 00283 117,800,000 0.2000 23.56 17/10/02 59 2002

00164 292,210,000 0.2500 73.05 25/10/02 00286 172,000,000 0.0100 1.72 30/10/02 00295 81,900,000 0.2100 17.20 04/11/02 01215 4,370,000,000 0.0110 48.07 06/11/02 00243 29,000,000 1.5000 43.50 06/11/02 00371 150,000,000 0.1000 15.00 11/11/02 00307 300,000,000 0.1000 30.00 12/11/02 00205 379,746,836 0.1580 60.00 13/11/02 00307 940,000,000 0.0600 56.40 15/11/02 00109 19,196,783 0.1380 2.65 18/11/02 00079 344,160,000 0.0145 4.99 22/11/02 00988 3,734,615,266 0.0120 44.82 25/11/02 00149 45,000,000 0.2000 9.00 29/11/02 00397 74,600,000 0.0150 1.12 29/11/02 00149 1,000,000,000 0.3000 300.00 02/12/02 00401 401 Holdings Ltd 31,500,000 0.1500 4.73 04/12/02 00193 96,400,000 0.0590 5.69 06/12/02 00078 310,000,000 0.0650 20.15 09/12/02 00965 1,300,000 0.8000 1.04 12/12/02 00491 1,550,000,000 0.0110 17.05 16/12/02 00059 307,586,193 0.0310 9.54 23/12/02 00661 960,000,000 0.0500 48.00 23/12/02 00925 102,323,000 0.2000 20.46 27/12/02 00109 23,600,000 0.1800 4.25 30/12/02 00729 6,500,000,000 0.0100 65.00 31/12/02 00430 235,000,000 0.0450 10.58 31/12/02 15,555.39 60 2002

1998 1999 2000 2001 2002 3,681.51 2,669.52 11,770.81 2,228.18 2,755.51 135.13 71.88 227.60 2,483.15 22,404.74 2,137.21 12,815.79 105,304.83 16,887.22 19,813.36 16,399.51 69,318.13 106,247.34 11,610.64 15,555.39 5,301.51 7,357.99 11,712.86 2,986.83 5,236.93 83.62 709.00 937.27 949.85 507.30 9,695.36 50,106.22 205,020.66 14,263.82 27,534.66 310.57 2,506.84 2,687.35 273.39 692.47 512.59 2,564.71 7,372.10 6,909.72 6,879.38 38,257.01 148,120.08 451,280.80 58,592.81 101,379.74 87,984.78 52,954.02 23,835.24 28,595.27 19,347.50 33,333.34 257.64 351.58 15,631.57 17,679.80 29,791.41 15,838.81 62,164.00 241.15 343.56 234.28 103.93 2,100.58 500,000 450,000 451,280.80 400,000 350,000 300,000 250,000 247,577.27 200,000 150,000 148,120.08 100,000 90,005.30 100,018.25 101,379.74 50,000 51,860.73 39,201.90 38,257.01 58,592.81 0 1993 1994 1995 1996 1997 1998 1999 2000 2001 2002 61 2002

1998 1999 2000 2001 2002 H 2,072.36 703.70 2,500.03 654.99 1,432.67 - - - 342.49 1,322.23-3,559.99 49,250.65 4,573.36 14,118.71 1,480.16 - - 497.25 - - - - - - - - - - - - - - - - - - - - - - - - - - 3,552.52 4,263.69 51,750.69 6,068.09 16,873.60 1998 1999 2000 2001 2002 47.46 194.73 1,969.13 639.90 37.75 - - 48.77 1,776.45 20,555.88 94.92 1,790.80 42,078.56 9,643.72 356.93 10,710.11 18,614.64 61,795.28 2,541.03 6,887.68 381.77 1,086.06 183.68-960.82 - - - 773.08-5,931.42 33,042.93 186,109.25 2,937.10 22,944.29 109.15 41.56 672.01 98.34 3.05 100.02 406.63 801.99 671.64 975.84 17,374.85 55,177.35 293,658.67 19,081.27 52,722.23 62 2002