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Huitongda Network Co., Ltd. Share Issue/Capital Change 2026

Jan 6, 2026

14887_rns_2026-01-06_602bbe59-763b-4acf-88ed-29ce9dd2fcfa.pdf

Share Issue/Capital Change

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FF301

HKEX

香港交易所

Monthly Return for Equity Issuer and Hong Kong Depositary Receipts listed under Chapter 19B of the Exchange Listing Rules on Movements in Securities

For the month ended: 31 December 2025

Status: New Submission

To : Hong Kong Exchanges and Clearing Limited

Name of Issuer: Huitongda Network Co., Ltd.

Date Submitted: 06 January 2026

I. Movements in Authorised / Registered Share Capital

1. Class of shares Ordinary shares Type of shares H Listed on the Exchange (Note 1) Yes
Stock code (if listed) 09878 Description
Number of authorised/registered shares Par value Authorised/registered share capital
Balance at close of preceding month 180,266,339 RMB 1 RMB 180,266,339
Increase / decrease (-) 0 RMB 0
Balance at close of the month 180,266,339 RMB 1 RMB 180,266,339
2. Class of shares Ordinary shares Type of shares Other type (specify in description) Listed on the Exchange (Note 1) No
Stock code (if listed) - Description Domestic Shares
Number of authorised/registered shares Par value Authorised/registered share capital
Balance at close of preceding month 382,303,498 RMB 1 RMB 382,303,498
Increase / decrease (-) 0 RMB 0
Balance at close of the month 382,303,498 RMB 1 RMB 382,303,498

Total authorised/registered share capital at the end of the month: RMB 562,569,837

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II. Movements in Issued Shares and/or Treasury Shares

1. Class of shares Ordinary shares Type of shares H Listed on the Exchange (Note 1) Yes
Stock code (if listed) 09878 Description
Number of issued shares (excluding treasury shares) Number of treasury shares Total number of issued shares
Balance at close of preceding month 180,066,239 200,100 180,266,339
Increase / decrease (-) -1,145,600 1,145,600
Balance at close of the month 178,920,639 1,345,700 180,266,339
2. Class of shares Ordinary shares Type of shares Other type(specify in description) Listed on the Exchange (Note 1) No
Stock code (if listed) - Description Domestic Shares
Number of issued shares (excluding treasury shares) Number of treasury shares Total number of issued shares
Balance at close of preceding month 382,303,498 0 382,303,498
Increase / decrease (-) 0 0
Balance at close of the month 382,303,498 0 382,303,498

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III. Details of Movements in Issued Shares and/or Treasury Shares

(A). Share Options (under Share Option Schemes of the Issuer)

1. Class of shares Ordinary shares Type of shares H Listed on the Exchange (Note 1) Yes
Stock code (if listed) 09878 Description
Particulars of share option scheme Number of share options outstanding at close of preceding month Movement during the month Number of share options outstanding at close of the month Number of new shares issued during the month pursuant thereto (A1) Number of treasury shares transferred out of treasury during the month pursuant thereto (A2) Number of shares which may be issued or transferred out of treasury pursuant thereto as at close of the month The total number of shares which may be issued or transferred out of treasury upon exercise of all share options to be granted under the scheme at close of the month
1). 2024 H Share Option Scheme (12/11/2024)
Options granted on 21 May 2025
Exercise price: HK$ 19.300 18,000,000 Granted 0 18,000,000 0 0 18,000,000 26,633
Exercised - new shares involved 0
Exercised - treasury shares involved 0
Cancelled 0
Lapsed 0
General Meeting approval date (if applicable) 12 November 2024

Increase in issued shares (excluding treasury shares): 0 Ordinary shares H (AA1)

Decrease in treasury shares: 0 Ordinary shares H (AA2)

Total funds raised during the month from exercise of options: HKD 0

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(B). Warrants to Issue Shares of the Issuer
Not applicable
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(C). Convertibles (i.e. Convertible into Shares of the Issuer)
Not applicable
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(D). Any other Agreements or Arrangements to Issue Shares of the Issuer, including Options (other than Share Option Schemes)
Not applicable
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(E). Other Movements in Issued Shares and/or Treasury Shares

1. Class of shares Ordinary shares Type of shares H Listed on the Exchange (Note 1) Yes
Stock code (if listed) 09878 Description
Events At price (if applicable) Date of event (Note 2) General Meeting approval date (if applicable) Increase/ decrease (-) in issued shares (excluding treasury shares) during the month pursuant thereto (E1) Increase/ decrease (-) in treasury shares during the month pursuant thereto (E2) Number of shares redeemed or repurchased for cancellation but not yet cancelled as at close of the month (Note 3)
Currency Amount
1). Repurchase of shares (shares held as treasury shares) HKD 9.9242 02 December 2025 21 May 2025 -50,000 50,000
2). Repurchase of shares (shares held as treasury shares) HKD 10.18953 08 December 2025 21 May 2025 -20,400 20,400
3). Repurchase of shares (shares held as treasury shares) HKD 10.38442 11 December 2025 21 May 2025 -45,900 45,900
4). Repurchase of shares (shares held as treasury shares) HKD 10.66832 12 December 2025 21 May 2025 -66,200 66,200
5). Repurchase of shares (shares held as treasury shares) HKD 10.62238 15 December 2025 21 May 2025 -29,800 29,800
6). Repurchase of shares (shares held as treasury shares) HKD 10.60362 16 December 2025 21 May 2025 -42,600 42,600
7). Repurchase of shares (shares held as treasury shares) HKD 10.49514 17 December 2025 21 May 2025 -32,300 32,300
8). Repurchase of shares (shares held as treasury shares) HKD 10.47709 18 December 2025 21 May 2025 -38,100 38,100
9). Repurchase of shares (shares held as treasury shares) HKD 10.47064 19 December 2025 21 May 2025 -35,900 35,900
10). Repurchase of shares (shares held as treasury shares) HKD 10.59688 22 December 2025 21 May 2025 -16,000 16,000
11). Repurchase of shares (shares held as treasury shares) HKD 10.41921 23 December 2025 21 May 2025 -89,400 89,400
12). Repurchase of shares (shares held as treasury shares) HKD 10.51963 24 December 2025 21 May 2025 -65,000 65,000
13). Repurchase of shares (shares held as treasury shares) HKD 10.194 29 December 2025 21 May 2025 -300,000 300,000
14). Repurchase of shares (shares held as treasury shares) HKD 9.9958 30 December 2025 21 May 2025 -81,500 81,500
15). Repurchase of shares (shares held as treasury shares) HKD 9.86914 31 December 2025 21 May 2025 -232,500 232,500

Increase/ decrease (-) in issued shares (excluding treasury shares): -1,145,600 Ordinary shares H (EE1)

Increase/ decrease (-) in treasury shares: 1,145,600 Ordinary shares H (EE2)

Total increase/ decrease (-) in issued shares (excluding treasury shares) during the month (i.e. Total of AA1 to EE1): -1,145,600 Ordinary shares H

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Total increase/ decrease (-) in treasury shares during the month (i.e. Total of AA2 to EE2): 1,145,600 Ordinary shares H

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IV. Information about Hong Kong Depositary Receipt (HDR) Not applicable

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V. Confirmations Not applicable

Submitted by: Tang Min

Title: Joint Company Secretary
(Director, Secretary or other Duly Authorised Officer)

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Notes

  1. The Exchange refers to The Stock Exchange of Hong Kong Limited.
  2. In the case of repurchase of shares (shares repurchased and cancelled) and redemption of shares (shares redeemed and cancelled), "date of event" should be construed as "cancellation date".

In the case of repurchase of shares (shares held as treasury shares), "date of event" should be construed as "date on which shares were repurchased and held by the issuer in treasury".

  1. The information is required in the case of repurchase of shares (shares repurchased for cancellation but not yet cancelled) and redemption of shares (shares redeemed but not yet cancelled). Please state the number of shares repurchased or redeemed during the month or in preceding month(s) but pending cancellation as at close of the month as a negative number.
  2. Items (i) to (viii) are suggested forms of confirmation. The listed issuer may amend the item(s) that is/are not applicable to meet individual cases. Where the issuer has already made the relevant confirmations in a return published under Main Board Rule 13.25A / GEM Rule 17.27A in relation to the securities issued, or the treasury shares sold or transferred, no further confirmation is required to be made in this return.
  3. "Identical" means in this context:

  4. the securities are of the same nominal value with the same amount called up or paid up;

  5. they are entitled to dividend/interest at the same rate and for the same period, so that at the next ensuing distribution, the dividend/interest payable per unit will amount to exactly the same sum (gross and net); and
  6. they carry the same rights as to unrestricted transfer, attendance and voting at meetings and rank pari passu in all other respects.

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