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PW Medtech Group Limited — Investor Relations & Filings

Ticker · 1358 ISIN · KYG7306W1087 LEI · 894500L18EYHNJR6VJ41 HKEX Manufacturing
Filings indexed 765 across all filing types
Latest filing 2025-09-04 Regulatory Filings
Country KY Cayman Islands
Listing HKEX 1358

About PW Medtech Group Limited

http://www.pwmedtech.com

PW Medtech Group Limited is a medical device company engaged in the research, development, production, and sale of advanced infusion therapy products. The company's core portfolio includes specialized infusion sets and related accessories, such as non-PVC and DEHP-free infusion systems, precision filter infusion sets, light-resistant infusion sets, and safety IV catheters. Operating primarily in China, India, the Americas, and Africa, the Group emphasizes patient and clinician safety. Key innovations include positive pressure needleless connectors designed to prevent blood backflow and contamination, and safety-engineered devices utilizing double-layer tubing (TPU/PVC) and high-precision filtration to mitigate needlestick injuries and adverse infusion reactions.

Recent filings

Filing Released Lang Actions
MONTHLY RETURN OF EQUITY ISSUER ON MOVEMENTS IN SECURITIES FOR THE MONTH ENDED 31 AUGUST 2025
Regulatory Filings Classification · 1% confidence The document is a standard HKEX “Monthly Return for Equity Issuer” under Chapter 19B, detailing movements in authorized share capital, issued shares, treasury shares, repurchases and cancellations. It is not an annual or interim report, earnings release, management discussion, or a specific one-off event notice, but rather a routine regulatory filing. It does not merely announce publication of another report, nor is it limited to board changes or dividend notices. As such, it falls under the general category of “Regulatory Filings” for miscellaneous listing rule returns.
2025-09-04 English
Next Day Disclosure Return
Transaction in Own Shares Classification · 1% confidence The document is a regulatory disclosure (HKEx Form FF305) detailing changes in issued shares and treasury shares, specifically reporting on share repurchases (buybacks) including volumes, prices, and confirmation of compliance with listing rules. This is a direct report of the company’s own share transactions (repurchases and treasury share movements). According to the classification, this falls under Transaction in Own Shares (Code: POS).
2025-09-03 English
Next Day Disclosure Return
Transaction in Own Shares Classification · 1% confidence The document is a regulatory disclosure (Form FF305 – Next Day Disclosure Return) under the Hong Kong Listing Rules that details changes in issued shares, treasury shares, and specific share repurchases made by the issuer on the exchange, including share quantities, prices, and confirmation of compliance. This is a company buying back its own shares, matching the definition of a Transaction in Own Shares (Code: POS).
2025-09-02 English
Next Day Disclosure Return
Transaction in Own Shares Classification · 1% confidence The document is a Hong Kong Stock Exchange "Next Day Disclosure Return (FF305)" covering changes in issued shares, treasury shares and detailing a share repurchase report under Main Board Rule 13.25A/10.06 and GEM rules. It is a mandatory regulatory disclosure of the company’s own share transactions (buybacks, treasury changes). This aligns precisely with the “Transaction in Own Shares” category (POS), which covers share repurchases and disposals of treasury shares.
2025-09-01 English
TERMS OF REFERENCE FOR THE NOMINATION COMMITTEE
Governance Information Classification · 1% confidence The document is entitled "Terms of Reference for the Nomination Committee" and outlines the constitution, membership, duties, authority, and reporting procedures of a board committee. It provides internal governance rules, board structure, and committee responsibilities. It is not an announcement or summary, but the actual governance charter. Therefore it should be classified under Governance Information (CGR).
2025-08-29 English
INTERIM DIVIDEND FOR THE SIX MONTHS ENDED 30 JUNE 2025
Notice of Dividend Amount Classification · 1% confidence The document is titled “Cash Dividend Announcement for Equity Issuer” and provides detailed information on an interim dividend: type, amount per share, ex-dividend date, record date, payment date, book closure, withholding tax, and share registrar. This aligns directly with the definition for a Notice of Dividend Amount, which announces dividend details and payment information. Thus, it should be classified as DIV.
2025-08-29 English

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