Its initial public offering of 7 . 5 million american depositary shares was priced at 15 each , topping the expected pricing range of 11 to 13 新东方通过首次公开招股共发行750万股美国存托凭证,每股发行价为15美元,超过了此前预期的11至13美元。
Its initial public offering of 7 . 5 million american depositary shares was priced at $ 15 each , topping the expected pricing range of $ 11 to $ 13 新东方通过首次公开招股共发行750万股美国存托凭证,每股发行价为15美元,超过了此前预期的11至13美元。
Beijing jingkelong , a small but fast - growing store operator , sold $ 76mworth of shares in an offering in which demand outstripped supply by 540 times 北京的京客隆,一个规模虽小但成长迅速的从事零售的超市,发行价值7千6百万的股票,超额认购率达540倍。
And , having approved tens of billions of dollars - worth of bonds to pay for everything from stem - cell research to road mending , it is racking up ever more debt 议会同意发行价值达数百亿美圆的债券,以支付从干细胞研究到修路等项目的一切费用,债台越筑越高了。
Article 10 the financial institution within the territory of china and the underwriting institution shall determine the interest rate or price for the issuance of rmb bonds through negotiations 第十条人民币债券发行利率或发行价格由境内金融机构和承销机构协商确定。
The group issued a total of 70 million new shares at an offer price of hk $ 1 per share , on the basis of which the group s market capitalisation will amount to hk $ 280 million 集团待售及新发行合共70 , 000 , 000股集团股份;以发行价每股1港元计算,集团总市值为280 , 000 , 000港元。
The company completed a rights issue exercise in may 2005 on the basis of one rights share for every one ordinary share held at an issue price of hk 0 . 02 per rights share 本公司于二零零五年五月完成一项供股活动,基准为每持有一股普通股获配一股供股股份,每股供股股份的发行价为0 . 02港元。
The net asset value per share of the fund as at the relevant dealing day will be used as the issue price and realisation price of the fund , i . e . no bid ask spread will be involved 客户认购及赎回本基金均毋须缴付任何买卖差价,有关交易日的资产净值价格将同时为认购的发行价及赎回的变现价。
The company is actively exploring the feasibility of and has been carrying out steps in relation to the proposed spin - off and the proposed listing of dmx , including the appointment of a sponsor and auditors 股份发行价0 . 562港元相对公司在协议签署前十个交易日之平均收市价0 . 569港元约有1
The issue price of units of a constituent fund on a valuation date will be calculated by reference to the net asset value per unit of that constituent fund as at the close of business on that valuation date 而单位的发行价格将参照该成分基金的每一基金单位,于该估值日收市时的资产净值计算。