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Hui Xian Real Estate Investment Trust (87001.HK)

HKSE Currency in CNY
¥0.58
¥0.00
0.00%
Last Update: 17 Jul 2025, 07:11
¥3.78B
Market Cap
0.00
P/E Ratio (TTM)
0.38%
Forward Dividend Yield
¥0.44 - ¥0.67
52 Week Range

87001.HK Stock Price Chart

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87001.HK Company Profile

Discover essential business fundamentals and corporate details for Hui Xian Real Estate Investment Trust (87001.HK) to support your stock research and investment decisions.

Sector

Real Estate

Industry

REIT - Diversified

IPO Date

29 Apr 2011

Employees

899.00

CEO

Ling Fung Cheung

Description

Hui Xian Real Estate Investment Trust ("Hui Xian REIT") is a Hong Kong collective investment scheme authorised under section 104 of the Securities and Futures Ordinance (Chapter 571 of the Laws of Hong Kong). Hui Xian REIT was established on 1 April 2011 and had not carried on any operation prior to 29 April 2011 (date of listing), and its units were listed on The Stock Exchange of Hong Kong Limited (the "HKSE") since that date. Hui Xian REIT is governed by the Deed of Trust constituting Hui Xian REIT dated 1 April 2011 as amended by four supplemental deeds dated 24 May 2013, 16 May 2014, 28 May 2015 and 19 May 2017 (the "Trust Deed") made between Hui Xian Asset Management Limited (the "Manager") and DB Trustees (Hong Kong) Limited (the "Trustee"), and the Code on Real Estate Investment Trusts (the "REIT Code") issued by the Securities and Futures Commission (the "SFC"). The principal activity of Hui Xian REIT and its controlled entities (the "Group") is to own and invest in high quality commercial properties with the objective of producing stable and sustainable distributions to unitholders and to achieve long term growth in the net asset value per unit.

87001.HK Financial Timeline

Browse a chronological timeline of Hui Xian Real Estate Investment Trust corporate events including earnings releases, dividend announcements, and stock splits.

Upcoming earnings on 7 Aug 2025

Dividend declared on 20 Mar 2025

A dividend of ¥0.00 per share was announced, adjusted to ¥0.00. The dividend was paid on 27 May 2025.

Earnings released on 6 Mar 2025

EPS came in at -¥0.06, while revenue for the quarter reached ¥1.21B.

Dividend declared on 22 Aug 2024

A dividend of ¥0.00 per share was announced, adjusted to ¥0.00. The dividend was paid on 27 Sept 2024.

Earnings released on 10 Aug 2024

EPS came in at -¥0.06, while revenue for the quarter reached ¥1.20B.

Dividend declared on 21 Mar 2024

A dividend of ¥0.00 per share was announced, adjusted to ¥0.00. The dividend was paid on 28 May 2024.

Earnings released on 8 Mar 2024

EPS came in at -¥0.02, while revenue for the quarter reached ¥1.36B, missing expectations by -56.52%.

Dividend declared on 10 Aug 2023

A dividend of ¥0.03 per share was announced, adjusted to ¥0.03. The dividend was paid on 27 Sept 2023.

Earnings released on 29 Jul 2023

EPS came in at -¥0.07, while revenue for the quarter reached ¥953.00M, missing expectations by -69.51%.

Dividend declared on 16 Mar 2023

A dividend of ¥0.03 per share was announced, adjusted to ¥0.03. The dividend was paid on 15 May 2023.

Earnings released on 4 Mar 2023

EPS came in at -¥0.04, while revenue for the quarter reached ¥829.00M, missing expectations by -73.48%.

Dividend declared on 12 Aug 2022

A dividend of ¥0.05 per share was announced, adjusted to ¥0.05. The dividend was paid on 28 Sept 2022.

Earnings released on 30 Jun 2022

EPS came in at ¥1.00, while revenue for the quarter reached ¥845.00M.

Dividend declared on 23 Mar 2022

A dividend of ¥0.03 per share was announced, adjusted to ¥0.03. The dividend was paid on 18 May 2022.

Earnings released on 31 Dec 2021

EPS came in at ¥1.00, while revenue for the quarter reached ¥1.49B.

Dividend declared on 12 Aug 2021

A dividend of ¥0.07 per share was announced, adjusted to ¥0.07. The dividend was paid on 27 Sept 2021.

Earnings released on 30 Jun 2021

EPS came in at ¥1.00, while revenue for the quarter reached ¥1.48B.

Dividend declared on 25 Mar 2021

A dividend of ¥0.07 per share was announced, adjusted to ¥0.07. The dividend was paid on 14 May 2021.

Earnings released on 31 Dec 2020

EPS came in at ¥1.00, while revenue for the quarter reached ¥2.21B.

Dividend declared on 14 Aug 2020

A dividend of ¥0.02 per share was announced, adjusted to ¥0.02. The dividend was paid on 25 Sept 2020.

Earnings released on 3 Aug 2020

EPS came in at ¥1.00, while revenue for the quarter reached ¥1.09B.

87001.HK Stock Performance

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87001.HK
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