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久泰邦達能源控股有限公司: O HKD

Exchange Code Listed Last trade Delisted
HK Main 02798  2018-12-12    
Stock code:

Table rows with no holding change: include exclude

Estimated securities not in CCASS

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Row Holding
date
Holding Change Stake
%
Issued
shares
As at date
1 2025-12-12 734,335,230 -10,000 45.90 1,600,000,000 2025-09-30
2 2025-11-26 734,345,230 -1,800,000 45.90 1,600,000,000 2025-09-30
3 2025-10-31 736,145,230 10,000 46.01 1,600,000,000 2025-09-30
4 2025-10-30 736,135,230 1,800,000 46.01 1,600,000,000 2025-09-30
5 2025-07-02 734,335,230 100 45.90 1,600,000,000 2025-06-30
6 2025-03-04 734,335,130 8,660,000 45.90 1,600,000,000 2025-02-28
7 2025-02-18 725,675,130 14,785,000 45.35 1,600,000,000 2025-01-31
8 2024-11-25 710,890,130 1,100,000 44.43 1,600,000,000 2024-10-31
9 2024-08-30 709,790,130 -26,295,000 44.36 1,600,000,000 2024-07-31
10 2024-08-09 736,085,130 26,295,000 46.01 1,600,000,000 2024-07-31
11 2024-05-07 709,790,130 37,000,000 44.36 1,600,000,000 2024-04-30
12 2023-08-14 672,790,130 -5,000 42.05 1,600,000,000 2023-07-31
13 2023-04-25 672,795,130 1,375,000 42.05 1,600,000,000 2023-03-31
14 2023-04-04 671,420,130 -37,000,000 41.96 1,600,000,000 2023-03-31
15 2023-03-31 708,420,130 1,345,000 44.28 1,600,000,000 2023-03-31
16 2023-03-29 707,075,130 5,000 44.19 1,600,000,000 2023-02-28
17 2022-09-28 707,070,130 -1,530,000 44.19 1,600,000,000 2022-08-31
18 2022-09-22 708,600,130 -72,000,000 44.29 1,600,000,000 2022-08-31
19 2022-09-16 780,600,130 -1,445,000 48.79 1,600,000,000 2022-08-31
20 2022-09-14 782,045,130 -2,000,000 48.88 1,600,000,000 2022-08-31
21 2022-09-13 784,045,130 -2,000,000 49.00 1,600,000,000 2022-08-31
22 2022-08-29 786,045,130 -6,500,000 49.13 1,600,000,000 2022-07-31
23 2022-08-26 792,545,130 -6,000,000 49.53 1,600,000,000 2022-07-31
24 2022-08-24 798,545,130 -5,875,000 49.91 1,600,000,000 2022-07-31
25 2022-08-18 804,420,130 -5,735,000 50.28 1,600,000,000 2022-07-31
26 2022-08-12 810,155,130 -6,000,000 50.63 1,600,000,000 2022-07-31
27 2022-08-01 816,155,130 -4,510,000 51.01 1,600,000,000 2022-07-31
28 2022-07-04 820,665,130 10,000 51.29 1,600,000,000 2022-06-30
29 2022-06-29 820,655,130 -5,000 51.29 1,600,000,000 2022-05-31
30 2022-06-27 820,660,130 26,970,000 51.29 1,600,000,000 2022-05-31
31 2022-05-26 793,690,130 -5,000 49.61 1,600,000,000 2022-04-30
32 2022-04-04 793,695,130 5,000 49.61 1,600,000,000 2022-03-31
33 2021-11-22 793,690,130 -10,000 49.61 1,600,000,000 2021-10-31
34 2021-11-01 793,700,130 10,000 49.61 1,600,000,000 2021-10-31
35 2021-10-05 793,690,130 -5,000 49.61 1,600,000,000 2021-09-30
36 2021-05-26 793,695,130 -2,000,000 49.61 1,600,000,000 2021-04-30
37 2021-05-21 795,695,130 1,530,000 49.73 1,600,000,000 2021-04-30
38 2021-04-21 794,165,130 -5,000 49.64 1,600,000,000 2021-03-31
39 2021-04-16 794,170,130 -7,000,000 49.64 1,600,000,000 2021-03-31
40 2021-04-08 801,170,130 -30,000,000 50.07 1,600,000,000 2021-03-31
41 2021-03-17 831,170,130 -5,110,000 51.95 1,600,000,000 2021-02-28
42 2021-03-11 836,280,130 -10,800,000 52.27 1,600,000,000 2021-02-28
43 2021-02-09 847,080,130 -1,000,000 52.94 1,600,000,000 2021-01-31
44 2021-01-26 848,080,130 -360,000,000 53.01 1,600,000,000 2020-12-31
45 2020-12-07 1,208,080,130 2,650,000 75.51 1,600,000,000 2020-11-30
46 2020-12-02 1,205,430,130 -30,000,000 75.34 1,600,000,000 2020-11-30
47 2020-11-24 1,235,430,130 -3,800,000 77.21 1,600,000,000 2020-10-31
48 2020-11-20 1,239,230,130 -4,000,000 77.45 1,600,000,000 2020-10-31
49 2020-11-13 1,243,230,130 -4,000,000 77.70 1,600,000,000 2020-10-31
50 2020-10-20 1,247,230,130 10 77.95 1,600,000,000 2020-09-30
51 2020-10-09 1,247,230,120 10 77.95 1,600,000,000 2020-09-30
52 2020-09-28 1,247,230,110 1,390,000 77.95 1,600,000,000 2020-08-31
53 2020-09-25 1,245,840,110 10 77.87 1,600,000,000 2020-08-31
54 2020-09-17 1,245,840,100 20,000,000 77.87 1,600,000,000 2020-08-31
55 2020-09-14 1,225,840,100 -5,000 76.62 1,600,000,000 2020-08-31
56 2020-08-26 1,225,845,100 8,300,000 76.62 1,600,000,000 2020-07-31
57 2020-08-25 1,217,545,100 3,030,000 76.10 1,600,000,000 2020-07-31
58 2020-08-06 1,214,515,100 -5,000 75.91 1,600,000,000 2020-07-31
59 2020-06-04 1,214,520,100 -5,000 75.91 1,600,000,000 2020-05-31
60 2020-05-15 1,214,525,100 25,250,000 75.91 1,600,000,000 2020-04-30
61 2020-05-12 1,189,275,100 5,735,000 74.33 1,600,000,000 2020-04-30
62 2020-03-30 1,183,540,100 1,000,000 73.97 1,600,000,000 2020-02-29
63 2020-03-25 1,182,540,100 1,000,000 73.91 1,600,000,000 2020-02-29
64 2020-03-24 1,181,540,100 1,000,000 73.85 1,600,000,000 2020-02-29
65 2020-03-23 1,180,540,100 1,000,000 73.78 1,600,000,000 2020-02-29
66 2020-03-13 1,179,540,100 3,110,000 73.72 1,600,000,000 2020-02-29
67 2020-02-11 1,176,430,100 -120,000,000 73.53 1,600,000,000 2020-01-31
68 2019-12-13 1,296,430,100 10,030,000 81.03 1,600,000,000 2019-11-30
69 2019-12-10 1,286,400,100 4,870,000 80.40 1,600,000,000 2019-11-30
70 2019-09-10 1,281,530,100 500,000 80.10 1,600,000,000 2019-08-31
71 2019-09-06 1,281,030,100 8,000,000 80.06 1,600,000,000 2019-08-31
72 2019-08-05 1,273,030,100 5,875,000 79.56 1,600,000,000 2019-07-31
73 2019-07-19 1,267,155,100 25,000,000 79.20 1,600,000,000 2019-06-30
74 2019-07-09 1,242,155,100 7,000,000 77.63 1,600,000,000 2019-06-30
75 2019-06-20 1,235,155,100 1,445,000 77.20 1,600,000,000 2019-05-31
76 2019-06-18 1,233,710,100 3,000,000 77.11 1,600,000,000 2019-05-31
77 2019-04-25 1,230,710,100 -5,000 76.92 1,600,000,000 2019-03-31
78 2019-04-17 1,230,715,100 -5,000 76.92 1,600,000,000 2019-03-31
79 2019-03-27 1,230,720,100 -5,000 76.92 1,600,000,000 2019-02-28
80 2019-03-12 1,230,725,100 16,250,000 76.92 1,600,000,000 2019-02-28
81 2019-01-18 1,214,475,100 -5,000 75.90 1,600,000,000 2018-12-31
82 2019-01-10 1,214,480,100 10,110,000 75.91 1,600,000,000 2018-12-31
83 2019-01-08 1,204,370,100 100 75.27 1,600,000,000 2018-12-31
84 2019-01-07 1,204,370,000 4,300,000 75.27 1,600,000,000 2018-12-31
85 2019-01-04 1,200,070,000 -5,000 75.00 1,600,000,000 2018-12-31
86 2018-12-20 1,200,075,000 -5,000 75.00 1,600,000,000 2018-12-12
87 2018-12-17 1,200,080,000 -5,000 75.01 1,600,000,000 2018-12-12
88 2018-12-14 1,200,085,000 -10,000 75.01 1,600,000,000 2018-12-12

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