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維力生活科技有限公司: O HKD

Exchange Code Listed Last trade Delisted
HK Main 01703  2019-02-15    
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 2026-02-20 123,497,600 -1,935,000 10.74 1,150,000,000 2026-01-31
2 2025-07-28 125,432,600 160,000 10.91 1,150,000,000 2025-06-30
3 2024-05-07 125,272,600 8,310,000 10.89 1,150,000,000 2024-04-30
4 2023-11-30 116,962,600 115,000,000 10.17 1,150,000,000 2023-11-30
5 2023-10-16 1,962,600 -100,000 0.17 1,150,000,000 2023-09-30
6 2023-10-12 2,062,600 1,935,000 0.18 1,150,000,000 2023-09-30
7 2023-08-23 127,600 100,000 0.01 1,150,000,000 2023-07-31
8 2023-07-24 27,600 2,000 0.00 1,150,000,000 2023-06-30
9 2023-07-05 25,600 -25,150,000 0.00 1,150,000,000 2023-06-30
10 2023-06-27 25,175,600 -2,000,000 2.19 1,150,000,000 2023-05-31
11 2023-06-16 27,175,600 2,000,000 2.36 1,150,000,000 2023-05-31
12 2023-06-12 25,175,600 -2,000,000 2.19 1,150,000,000 2023-05-31
13 2023-06-05 27,175,600 25,150,000 2.36 1,150,000,000 2023-05-31
14 2023-05-05 2,025,600 2,000,000 0.18 1,150,000,000 2023-04-30
15 2023-04-27 25,600 -24,000,000 0.00 1,150,000,000 2023-03-31
16 2023-03-31 24,025,600 24,000,000 2.09 1,150,000,000 2023-03-31
17 2023-03-08 25,600 -1,000,000 0.00 1,150,000,000 2023-02-28
18 2023-02-22 1,025,600 -1,000,000 0.09 1,150,000,000 2023-01-31
19 2022-12-20 2,025,600 -1,205,000 0.18 1,150,000,000 2022-11-30
20 2022-12-02 3,230,600 -3,000,000 0.28 1,150,000,000 2022-11-30
21 2022-11-24 6,230,600 2,205,000 0.54 1,150,000,000 2022-10-31
22 2022-11-02 4,025,600 -2,000,000 0.35 1,150,000,000 2022-10-31
23 2022-10-27 6,025,600 -1,000,000 0.52 1,150,000,000 2022-09-30
24 2022-10-20 7,025,600 -1,000,000 0.61 1,150,000,000 2022-09-30
25 2022-10-11 8,025,600 -2,000,000 0.70 1,150,000,000 2022-09-30
26 2022-10-05 10,025,600 -5,000,000 0.87 1,150,000,000 2022-09-30
27 2022-09-26 15,025,600 -5,000,000 1.31 1,150,000,000 2022-08-31
28 2022-09-02 20,025,600 20,000,000 1.74 1,150,000,000 2022-08-31
29 2022-07-15 25,600 -14,000,000 0.00 1,150,000,000 2022-06-30
30 2022-07-12 14,025,600 -5,000,000 1.22 1,150,000,000 2022-06-30
31 2022-07-05 19,025,600 12,000,000 1.65 1,150,000,000 2022-06-30
32 2022-06-09 7,025,600 7,000,000 0.61 1,150,000,000 2022-05-31
33 2022-03-28 25,600 -4,000,000 0.00 1,150,000,000 2022-02-28
34 2022-03-18 4,025,600 -10,000,000 0.35 1,150,000,000 2022-02-28
35 2022-03-03 14,025,600 14,000,000 1.22 1,150,000,000 2022-02-28
36 2021-10-20 25,600 -685,000,000 0.00 1,150,000,000 2021-09-30
37 2021-08-05 685,025,600 -5,000 59.57 1,150,000,000 2021-07-31
38 2021-07-06 685,030,600 -6,235,000 59.57 1,150,000,000 2021-06-30
39 2021-06-01 691,265,600 6,235,000 60.11 1,150,000,000 2021-05-31
40 2021-04-07 685,030,600 -1,000,000 59.57 1,150,000,000 2021-03-31
41 2021-04-01 686,030,600 -1,000,000 59.65 1,150,000,000 2021-03-31
42 2021-01-22 687,030,600 2,000,000 59.74 1,150,000,000 2020-12-31
43 2021-01-20 685,030,600 -5,000 59.57 1,150,000,000 2020-12-31
44 2020-12-04 685,035,600 -2,000,000 59.57 1,150,000,000 2020-11-30
45 2020-11-03 687,035,600 2,000,000 59.74 1,150,000,000 2020-10-31
46 2020-10-20 685,035,600 -15,000,000 59.57 1,150,000,000 2020-10-06
47 2019-10-04 700,035,600 -5,000 70.00 1,000,000,000 2019-09-30
48 2019-08-05 700,040,600 5,000 70.00 1,000,000,000 2019-07-31
49 2019-07-30 700,035,600 500 70.00 1,000,000,000 2019-06-30
50 2019-07-08 700,035,100 5,000 70.00 1,000,000,000 2019-06-30
51 2019-03-20 700,030,100 10,000 70.00 1,000,000,000 2019-02-28
52 2019-03-05 700,020,100 50 70.00 1,000,000,000 2019-02-28
53 2019-03-01 700,020,050 -5,000 70.00 1,000,000,000 2019-02-28
54 2019-02-26 700,025,050 -4,950 70.00 1,000,000,000 2019-02-15
55 2019-02-20 700,030,000 -5,000 70.00 1,000,000,000 2019-02-15
56 2019-02-19 700,035,000 -10,000 70.00 1,000,000,000 2019-02-15
57 2019-02-18 700,045,000 -5,000 70.00 1,000,000,000 2019-02-15

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