HKBN Ltd. has disclosed internal dealings under Rule 22 of the Hong Kong Code on Takeovers and Mergers. J.P. Morgan Securities PLC issued derivatives related to HKBN Ltd. on 25 July 2025, with a maturity date of 16 January 2029. The transactions involved 7,000 reference securities with a total amount of $35,080.5000, resulting in a balance of 27,518,125 securities. J.P. Morgan Securities PLC, a Class (5) associate connected with the Offeree company, conducted these dealings for its own account.
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