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AMTD IDEA Group

AMTD

1.005USD

+0.015+1.49%
Market hours ETQuotes delayed by 15 min
414.75MMarket Cap
--P/E TTM

AMTD IDEA Group

1.005

+0.015+1.49%
More Details of AMTD IDEA Group Company
AMTD IDEA Group, formerly AMTD International Inc, is an investment holding company principally engaged in the strategic investments. The Company operates its business through three segments. The Strategic Investment segment engages in proprietary investments and the management of investment portfolios mainly focusing on financial services and asset classes. The Investment Banking segment is involved in raising funds through equity and debt financing, providing underwriting for initial public offerings (IPOs), private placements and debt issuances and providing financial advisory services. The Asset Management segment provides asset management products and services, including in relation to listed equities, fixed income securities, hedge funds, structured products, foreign exchange, private equities, alternative investments, discretionary account services, investment advisory services and external asset management services.
Company Info
Ticker SymbolAMTD
Company nameAMTD IDEA Group
IPO dateAug 05, 2019
CEO- -
Number of employees214
Security typeDepository Receipt
Fiscal year-endAug 05
Address23/F-25/F, Nexxus Building, 41 Connaught Road Central
City
Stock exchangeNYSE Consolidated
CountryHong Kong
Postal code- -
Phone85231633389
Websitehttps://www.amtdinc.com/
Ticker SymbolAMTD
IPO dateAug 05, 2019
CEO- -
Company Executives
Name
Name/Position
Position
Shareholding
Change
,
,
--
--
Name
Name/Position
Position
Shareholding
Change
,
,
--
--
Revenue Breakdown
Currency: USDUpdated: Sun, Jul 6
Currency: USDUpdated: Sun, Jul 6
FY2024
FY2023
FY2022
FY2021
FY2020
FY2019
FY2018
By BusinessUSD
Name
Revenue
Proportion
Net fair value changes on financial assets at fair value through profit or loss
26.39M
58.14%
Fashion and luxury media advertising and marketing services
13.38M
29.47%
Dividend income
8.68M
19.13%
Fashion and luxury media licensing and marketing services income
5.48M
12.08%
Digital solutions
2.56M
5.65%
Other
-11.11M
-24.47%
By RegionUSD
Name
Revenue
Proportion
Other
23.56M
51.91%
Europe
9.66M
21.29%
China (including Hong Kong)
6.63M
14.61%
America
4.87M
10.72%
By Business
By Region
By BusinessUSD
Name
Revenue
Proportion
Net fair value changes on financial assets at fair value through profit or loss
26.39M
58.14%
Fashion and luxury media advertising and marketing services
13.38M
29.47%
Dividend income
8.68M
19.13%
Fashion and luxury media licensing and marketing services income
5.48M
12.08%
Digital solutions
2.56M
5.65%
Other
-11.11M
-24.47%
Shareholding Stats
Updated: Fri, Aug 1
Updated: Fri, Aug 1
Shareholders
Shareholder Types
Shareholders
Shareholders
Proportion
Morgan Stanley Investment Management Inc. (US)
0.17%
AllianceBernstein L.P.
0.16%
Gotham Asset Management, LLC
0.09%
Lazard Asset Management, L.L.C.
0.04%
Buckingham Strategic Partners, LLC
0.03%
Other
99.51%
Shareholders
Shareholders
Proportion
Morgan Stanley Investment Management Inc. (US)
0.17%
AllianceBernstein L.P.
0.16%
Gotham Asset Management, LLC
0.09%
Lazard Asset Management, L.L.C.
0.04%
Buckingham Strategic Partners, LLC
0.03%
Other
99.51%
Shareholder Types
Shareholders
Proportion
Investment Advisor/Hedge Fund
0.47%
Investment Advisor
0.04%
Hedge Fund
0.03%
Other
99.46%
Institutional Shareholding
Updated: Tue, Jul 1
Updated: Tue, Jul 1
Reporting Period
No. of institutions
Shares Held
Proportion
Change
2025Q2
29
732.97K
0.58%
-76.44K
2025Q1
29
759.74K
0.60%
-99.33K
2024Q4
30
741.39K
1.83%
-467.69K
2024Q3
35
883.25K
2.18%
-249.46K
2024Q2
33
794.21K
1.96%
-164.74K
2024Q1
35
515.48K
1.27%
-366.30K
2023Q4
35
407.18K
1.01%
-581.12K
2023Q3
34
574.24K
1.47%
-440.14K
2023Q2
33
603.02K
1.55%
-323.88K
2023Q1
30
491.43K
2.05%
-35.66K
View more
Shareholder Activity
Name
Shares Held
Proportion
Change
Chg %
Date
Morgan Stanley Investment Management Inc. (US)
212.47K
0.17%
--
--
Mar 31, 2025
AllianceBernstein L.P.
209.29K
0.16%
+135.32K
+182.94%
Jun 30, 2024
Gotham Asset Management, LLC
110.58K
0.09%
+64.57K
+140.37%
Mar 31, 2025
Lazard Asset Management, L.L.C.
69.03K
0.05%
-41.09K
-37.31%
May 31, 2025
Allegiance Financial Group Advisory Services LLC
40.74K
0.03%
--
--
Mar 31, 2025
Citadel Advisors LLC
25.83K
0.02%
+25.83K
--
Mar 31, 2025
Renaissance Technologies LLC
13.47K
0.01%
+2.90K
+27.45%
Mar 31, 2025
Osaic Holdings, Inc.
4.44K
0%
-333.00
-6.97%
Mar 31, 2025
SBI Securities Co., Ltd.
3.42K
0%
+100.00
+3.01%
Mar 31, 2025
View more
Related ETFs
Updated: Sat, Aug 2
Updated: Sat, Aug 2
Name
Proportion
ActivePassive International Equity ETF
0.01%
Avantis International Small Cap Value ETF
0%
ActivePassive International Equity ETF
Proportion0.01%
Avantis International Small Cap Value ETF
Proportion0%
Dividend
A total of 0.00 USD has been distributed in dividends over the past 5 years.
Date
Dividend
Record Date
Payment Date
Ex-dividend Date
Jul 21, 2020
AMTD.NB Interim Cash Dividend of gross USD 0.31 paid on Aug 21, 2020 going ex on Aug 06, 2020
Aug 07, 2020
Aug 21, 2020
Aug 06, 2020
Apr 22, 2020
AMTD.NB Interim Cash Dividend of gross USD 0.31 paid on May 20, 2020 going ex on May 05, 2020
May 06, 2020
May 20, 2020
May 05, 2020
Stock Split
Date
Type
Ratio
Nov 07, 2023
Merger
3<1
Nov 07, 2023
Merger
3<1
Nov 07, 2023
Merger
3<1
Nov 07, 2023
Merger
3<1
Nov 09, 2022
Merger
2<1
Nov 09, 2022
Merger
2<1
Date
Type
Ratio
Nov 07, 2023
Merger
3<1
Nov 07, 2023
Merger
3<1
Nov 07, 2023
Merger
3<1
Nov 07, 2023
Merger
3<1
Nov 09, 2022
Merger
2<1
Nov 09, 2022
Merger
2<1
Nov 09, 2022
Merger
2<1
Nov 09, 2022
Merger
2<1
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