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環球印館控股有限公司: O HKD

Exchange Code Listed Last trade Delisted
HK GEM 08448  2018-03-28    
Stock code:

Adjust for splits and bonus issues: Yes No

Use price on: trading date holding/settlement date

Show: chart & table chart only table only

Table rows with no holding change: include exclude

SINOPAC SECURITIES (ASIA) LIMITED 永豐金證券(亞洲)有限公司

CCASSID: B01497

Data table

Prices, holdings and issued shares are adjusted for splits and bonus issues.

Using prices on the last related trading date, which is 2 trading days before settlement.

Some data are hidden to fit your display. Rotate?

Row Holding
date
Holding Change Stake
%
Issued
shares
Holding
Value
Price @
trade
date
Trade
date
1 2026-07-15 1.250 2026-07-13
2 2026-07-14 1.250 2026-07-10
3 2026-04-23 16,400 -20,000 0.02 99,800,000 28,700 1.750 2026-04-21
4 2026-04-10 36,400 -17,600 0.04 99,800,000 52,780 1.450 2026-04-08
5 2025-09-19 54,000 -20,000 0.05 99,800,000 14,040 0.260 2025-09-17
6 2025-08-01 74,000 20,000 0.07 99,800,000 16,946 0.229 2025-07-30
7 2025-02-17 54,000 -8,000 0.05 99,800,000 9,720 0.180 2025-02-13
8 2024-02-07 62,000 1,200 0.06 99,800,000 49,600 0.800 2024-02-05
9 2023-12-08 60,800 -12,000 0.15 39,920,000 42,560 0.700 2023-12-06
10 2023-10-13 72,800 12,000 0.18 39,920,000 40,040 0.550 2023-10-11
11 2023-05-10 60,800 8,000 0.15 39,920,000 50,160 0.825 2023-05-08
12 2023-01-12 52,800 1,600 0.15 36,000,000 52,800 1.000 2023-01-10
13 2022-12-13 51,200 -2,400 0.14 36,000,000 51,200 1.000 2022-12-09
14 2022-12-12 53,600 800 0.15 36,000,000 53,600 1.000 2022-12-08
15 2022-12-09 52,800 -4,000 0.15 36,000,000 48,840 0.925 2022-12-07
16 2022-12-08 56,800 -4,000 0.16 36,000,000 53,960 0.950 2022-12-06
17 2022-11-18 60,800 -10,400 0.17 36,000,000 54,720 0.900 2022-11-16
18 2022-11-17 71,200 -23,200 0.20 36,000,000 62,300 0.875 2022-11-15
19 2022-11-15 94,400 -800 0.26 36,000,000 89,680 0.950 2022-11-11
20 2022-11-09 95,200 -800 0.26 36,000,000 92,820 0.975 2022-11-07
21 2022-11-02 96,000 -800 0.27 36,000,000 79,200 0.825 2022-10-31
22 2022-09-21 96,800 -40,000 0.27 36,000,000 135,520 1.400 2022-09-19
23 2022-09-15 136,800 -32,000 0.38 36,000,000 201,780 1.475 2022-09-13
24 2022-09-13 168,800 80,000 0.47 36,000,000 257,420 1.525 2022-09-08
25 2022-09-07 88,800 40,000 0.25 36,000,000 135,420 1.525 2022-09-05
26 2022-05-16 48,800 -8,000 0.14 36,000,000 61,000 1.250 2022-05-12
27 2022-05-13 56,800 -32,000 0.16 36,000,000 72,420 1.275 2022-05-11
28 2022-05-12 88,800 40,000 0.25 36,000,000 108,780 1.225 2022-05-10
29 2022-03-10 48,800 -2,400 0.14 36,000,000 29,280 0.600 2022-03-08
30 2022-02-22 51,200 -28,000 0.14 36,000,000 33,280 0.650 2022-02-18
31 2022-02-21 79,200 -24,000 0.22 36,000,000 51,480 0.650 2022-02-17
32 2022-02-08 103,200 -800 0.29 36,000,000 67,080 0.650 2022-02-04
33 2021-11-29 104,000 -800 0.29 36,000,000 65,000 0.625 2021-11-25
34 2021-06-08 104,800 1,600 0.29 36,000,000 78,600 0.750 2021-06-04
35 2021-06-07 103,200 -2,400 0.29 36,000,000 77,400 0.750 2021-06-03
36 2021-06-02 105,600 -4,000 0.29 36,000,000 81,840 0.775 2021-05-31
37 2021-02-02 109,600 3,200 0.30 36,000,000 106,860 0.975 2021-01-29
38 2021-01-29 106,400 104,800 0.30 36,000,000 164,920 1.550 2021-01-27
39 2021-01-28 1,600 -1,600 0.00 36,000,000 8,920 5.575 2021-01-26
40 2021-01-04 3,200 3,200 0.01 36,000,000 7,040 2.200 2020-12-29
41 2020-03-20 0 -16,000 0.00 36,000,000 0 3.375 2020-03-18
42 2019-06-17 16,000 -16,000 0.04 36,000,000 27,200 1.700 2019-06-13
43 2018-09-14 32,000 -4,800 0.09 36,000,000 68,800 2.150 2018-09-12
44 2018-07-05 36,800 -1,600 0.10 36,000,000 122,360 3.325 2018-07-03
45 2018-05-15 38,400 8,000 0.11 36,000,000 133,440 3.475 2018-05-11
46 2018-04-09 30,400 -3,200 0.08 36,000,000 167,200 5.500 2018-04-04
47 2018-04-04 33,600 8,000 0.09 36,000,000 171,360 5.100 2018-03-29
48 2018-04-03 25,600 0.07 36,000,000 146,560 5.725 2018-03-28

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