LENOVO GROUP

SEHK: 00992 | RMB: 80992 | ADR: LNVGY

SEHK: 00992 RMB: 80992 ADR: LNVGY

Stock Quote

Last32.36 HKD
Change-0.04
Change %-0.12
Open-
Prev close32.40
High33.12
Low31.76
Volume60.98M
Turnover1.97B
Bid-
Ask-
52w high36.16
52w low8.52
Market cap-
P/E-
2026-09-07 16:08 (HKT) (as of, 15 mins delayed)

Chart

1M 6M 1Y 5Y

2026-09-07 16:08 (HKT) (as of, 15 mins delayed)

News

2020-11-17
12:10
Debt and Structured Products - [Adjustment to Terms and Conditions - Debt Securities]
NOTICE OF ADJUSTMENT OF CONVERSION PRICE OF US$675 MILLION 3.375% CONVERTIBLE BONDS DUE 2024
2020-11-17
07:06
Announcements and Notices - [Issue of Shares under a Specific Mandate]
COMPLETION OF ISSUANCE OF WARRANT SHARES
2020-11-04
15:03
Monthly Returns
Monthly Return of Equity Issuer on Movements in Securities (for the month ended October 31, 2020)
2020-11-03
12:15
Announcements and Notices - [Interim Results / Dividend or Distribution / Closure of Books or Change of Book Closure Period]
FY2020/21 Interim Results Announcement
2020-11-03
07:06
Debt and Structured Products - [Redemption or Repurchase - Debt Securities]
SETTLEMENT OF TENDER OFFER TO PURCHASE THE PREFERRED SHARES (ISIN:XS1575529539), THE 2022 NOTES (STOCK CODE: 5404; ISIN:XS1573181440) AND THE 2023 NOTES (STOCK CODE: 4455; ISIN:XS1765886244)
2020-11-02
17:45
Debt and Structured Products - [Formal Notice - Debt Securities]
Lenovo Group Limited - Notice of Listing on The Stock Exchange of Hong Kong Limited of US$1,000,000,000 3.421 per cent. Notes due 2030 (Notes Stock Code: 40454)
2020-10-30
12:26
Debt and Structured Products - [Redemption or Repurchase - Debt Securities]
FINAL RESULTS OF TENDER OFFER TO PURCHASE THE PREFERRED SHARES (ISIN: XS1575529539), THE 2022 NOTES (STOCK CODE: 5404; ISIN: XS1573181440) AND THE 2023 NOTES (STOCK CODE: 4455; ISIN: XS1765886244)
2020-10-29
17:39
Debt and Structured Products - [Redemption or Repurchase - Debt Securities]
TENDER OFFER TO PURCHASE THE PREFERRED SHARES (ISIN: XS1575529539), THE 2022 NOTES (STOCK CODE: 5404; ISIN: XS1573181440) AND THE 2023 NOTES (STOCK CODE: 4455; ISIN: XS1765886244)
2020-10-29
07:33
Debt and Structured Products - [Redemption or Repurchase - Debt Securities]
TENDER OFFER TO PURCHASE THE PREFERRED SHARES (ISIN:XS1575529539), THE 2022 NOTES (STOCK CODE: 5404; ISIN:XS1573181440) AND THE 2023 NOTES (STOCK CODE: 4455; ISIN:XS1765886244) ANNOUNCEMENT OF THE AMENDED TENDER CAP AND AMENDED PREFERRED SHARES TENDER PRICE
2020-10-28
15:14
Debt and Structured Products - [Redemption or Repurchase - Debt Securities]
TENDER OFFER TO PURCHASE THE PREFERRED SHARES (ISIN:XS1575529539), THE 2022 NOTES (STOCK CODE: 5404; ISIN:XS1573181440) AND THE 2023 NOTES (STOCK CODE: 4455; ISIN:XS1765886244) ANNOUNCEMENT OF EXTENDED TENDER OFFER EXPIRATION DEADLINE AND REVISED TENDER OFFER TIMETABLE
2020-10-22
16:31
Debt and Structured Products - [Inside Information - Debt Securities]
(RE-PUBLISHED FOR DEBT HOLDERS INFORMATION) (1) PROPOSED ISSUANCE OF U.S. DOLLAR-DENOMINATED NOTES (2) CONCURRENT TENDER OFFER TO PURCHASE THE PREFERRED SHARES, THE 2022 NOTES AND THE 2023 NOTES AND (3) EXTRACT OF FINANCIAL INFORMATION
2020-10-22
12:12
Announcements and Notices - [Issue of Debt Securities / Inside Information]
(1) PROPOSED ISSUANCE OF U.S. DOLLAR-DENOMINATED NOTES (2) CONCURRENT TENDER OFFER TO PURCHASE THE PREFERRED SHARES, THE 2022 NOTES AND THE 2023 NOTES AND (3) EXTRACT OF FINANCIAL INFORMATION
2020-10-07
15:46
Monthly Returns
Monthly Return of Equity Issuer on Movements in Securities (for the month ended September 30, 2020)
2020-10-05
16:30
Announcements and Notices - [Date of Board Meeting]
Notification of Board Meeting
2020-09-02
11:17
Monthly Returns
Monthly Return of Equity Issuer on Movements in Securities (for the month ended August 31, 2020)
2020-08-28
16:25
Financial Statements/ESG Information - [Environmental, Social and Governance Information/Report]
2019/20 Environmental, Social and Governance Report
2020-08-13
12:01
Announcements and Notices - [Quarterly Results]
FY2020/2021 First Quarter Results Announcement
2020-08-04
11:20
Monthly Returns
Monthly Return of Equity Issuer on Movements in Securities (for the month ended July 31, 2020)
2020-07-13
17:30
Announcements and Notices - [Date of Board Meeting]
NOTIFICATION OF BOARD MEETING
2020-07-09
17:25
Debt and Structured Products - [Adjustment to Terms and Conditions - Debt Securities]
NOTICE OF ADJUSTMENT OF CONVERSION PRICE OF US$675 MILLION 3.375% CONVERTIBLE BONDS DUE 2024