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Share Capital and Treasury Shares - Summary of Reserves Within Equity (Detail) - shares
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Disclosure of reserves within equity [line items]      
Conversion of class B ordinary shares to class A ordinary shares 4,281,379 0 21,243,000
Class A ordinary shares [Member]      
Disclosure of reserves within equity [line items]      
Beginning balance, Number of shares 62,327,851 62,327,851 41,084,851
Convertion of class B ordinary shares to class A ordiniary shares Number of shares     21,243,000
Repurchase of ordinary shares [1]   0  
Issued during the year [2],[3],[4] 77,467,980    
Conversion of class B ordinary shares to class A ordinary shares 4,281,379    
Ending balance, Number of shares 144,077,210 62,327,851 62,327,851
Class B ordinary shares excluding treasury shares [Member]      
Disclosure of reserves within equity [line items]      
Beginning balance, Number of shares 114,138,955 183,283,628 204,526,628
Convertion of class B ordinary shares to class A ordiniary shares Number of shares     (21,243,000)
Repurchase of ordinary shares [1] (36,923,963) (69,144,673)  
Issued during the year [2],[3],[4] 54,524,730    
Conversion of class B ordinary shares to class A ordinary shares (4,281,379)    
Ending balance, Number of shares 127,458,343 114,138,955 183,283,628
Class B treasury shares [Member]      
Disclosure of reserves within equity [line items]      
Beginning balance, Number of shares 69,144,673 0  
Repurchase of ordinary shares [1] 36,923,963 69,144,673  
Issued during the year [2],[3],[4] 0    
Ending balance, Number of shares 106,068,636 69,144,673 0
[1]
On September 30, 2021 and December 31,2022, the Company repurchased 
69,144,673
 
and 36,923,963 ,respectively,
Class B ordinary shares from the immediate holding company, amounting to
HK$5,000,000,000 and HK$2,500,000,000.
 
Details on
N
ote 28. 
[2] During the year ended December 31, 2022, the Company acquired a controlling stake in AMTD Digital by issuing 67,200,330 Class A and 51,253,702 Class B shares to the selling shareholders of AMTD Digital at a consideration of HK$7,756,228,581.
[3] In January 2022, the convertible bond has been converted into 1,856,436 class A ordinary shares at the conversion price of US$8.08 per share.
[4] In January and April 2022, the Company issued 8,411,215 Class A and 3,271,028 Class B shares to the private investors at US$4.28 per share.