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Synagistics Limited — Investor Relations & Filings

Ticker · 2562 ISIN · KYG4515L1068 HKEX Telecommunications, computer programming, consultancy, computing infrastructure, and other information service activities
Filings indexed 1,205 across all filing types
Latest filing 2013-06-03 Regulatory Filings
Country HK Hong Kong
Listing HKEX 2562

About Synagistics Limited

https://www.synagistics.com

Synagistics Limited is an artificial intelligence (AI) and big data company providing data-driven digital solutions and integrated commerce platforms. The company operates an AI-driven Digital Commerce Platform and Trade Ecosystem, serving over 600 enterprises and global brands across Southeast Asia and Greater China. Synagistics utilizes a direct-to-brands (D2B) model, offering solutions such as its flagship commerce platform, Synagie, and the enterprise-grade generative AI platform, Geene. Leveraging its technological infrastructure, the company is expanding its capabilities into digital finance, focusing on scalable, compliant solutions for multi-currency stablecoins and asset tokenization, thereby connecting commerce, data, and programmable financial services. Synagistics drives digital transformation by enabling businesses to thrive in an AI-powered digital future.

Recent filings

Filing Released Lang Actions
Date of Board Meeting
Regulatory Filings Classification · 95% confidence The document is a short announcement from OP Financial Investments Limited regarding the scheduling of a Board meeting to consider and approve the final results for the year ended 31 March 2013, as well as the payment of a final dividend. It does not contain any financial data or detailed report content but merely informs about the upcoming meeting and its agenda. The document length is only 1489 characters, which is quite short and fits the pattern of an announcement rather than a full report. According to the rules, such announcements about meetings and report approvals are classified as Regulatory Filings (RNS) because they do not contain the actual report or financial statements themselves, nor detailed management discussion or voting results. Therefore, the appropriate classification is Regulatory Filings (RNS).
2013-06-03 English
Net Asset Value
Net Asset Value Classification · 100% confidence The document is an announcement from OP Financial Investments Limited stating the unaudited Net Asset Value (NAV) per share as of a specific date (30 April 2013). The document is short (1119 characters) and provides a specific financial metric (NAV per share) without detailed financial statements or analysis. It is not a full report but a regular update of NAV, which is typical for investment funds. Therefore, the document fits the category of Net Asset Value (NAV) update.
2013-05-15 English
Monthly Return of Equity Issuer on Movements in Securities for the month ended 30 April 2013
Share Issue/Capital Change Classification · 100% confidence The document is titled 'Monthly Return of Equity Issuer on Movements in Securities' for the month ended 30 April 2013. It details movements in authorized share capital, issued share capital, share options, warrants, convertibles, and other share-related activities. The content is focused on share capital changes and movements rather than financial performance, earnings, or management commentary. It is a regulatory filing reporting share capital movements to the Hong Kong Exchanges and Clearing Limited. The document is not an announcement of a report but a detailed monthly return. This fits the category of Share Issue/Capital Change (SHA) as it reports on share capital movements, share options, warrants, and related capital changes.
2013-05-02 English
Net Asset Value
Net Asset Value Classification · 100% confidence The document is a short announcement from OP Financial Investments Limited stating the unaudited Net Asset Value (NAV) per share as of a specific date (31 March 2013). It is brief (1118 characters) and provides a NAV update rather than a full report or detailed financial statements. The content matches the definition of a Net Asset Value update, which is typically a regular update of NAV primarily for investment funds. There is no indication that this is a full annual or interim report, nor is it an announcement of a report publication. Therefore, the appropriate classification is NAV.
2013-04-15 English
Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 March 2013
Share Issue/Capital Change Classification · 95% confidence The document is titled 'Monthly Return of Equity Issuer on Movements in Securities' for the month ended 31 March 2013. It details movements in authorized share capital, issued share capital, share options, warrants, convertibles, and other share-related activities. The content is focused on share capital changes and movements rather than financial performance, earnings, or management commentary. It is a regulatory filing reporting share capital movements to the Hong Kong Exchanges and Clearing Limited. The document is not an annual or interim report, earnings release, or management discussion. It is a formal regulatory disclosure about share capital movements, fitting the category of Major Shareholding Notification or Share Issue/Capital Change. However, since it reports movements in securities and share capital changes, the most appropriate classification is Share Issue/Capital Change (SHA). The document length is substantial and contains detailed data, so it is not a mere announcement or report publication notice.
2013-04-02 English
Net Asset Value
Net Asset Value Classification · 100% confidence The document is a short announcement from OP Financial Investments Limited stating the unaudited Net Asset Value (NAV) per share as of a specific date (28 February 2013). It is brief (1126 characters) and provides a specific NAV figure without detailed financial statements or analysis. The document does not contain a full report but rather a snapshot update of NAV. This fits the definition of a Net Asset Value (NAV) update, which is a regular update primarily for investment funds. Therefore, the appropriate classification is NAV.
2013-03-15 English

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