Parkson Retail Group Limited

Exchange Code Listed Last trade Delisted
HK Main 03368  2005-11-30    
Stock code:
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CCASS holding changes from 2010-06-04 to 2010-06-07

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Row CCASS ID Name Holding Change Stake
%
Stake
Δ %
Last
holding
1 B01274 MORGAN STANLEY HONG KONG SECURITIES LTD 4,298,100 742,000 0.15 0.03 2010-06-07
2 B01491 CREDIT SUISSE SECURITIES (HONG KONG) LTD 19,688,606 219,000 0.70 0.01 2010-06-07
3 C00010 CITIBANK N.A. 71,572,322 206,000 2.55 0.01 2010-06-07
4 B01839 RABO BROKERAGE HK LTD 2,591,500 150,000 0.09 0.01 2010-06-07
5 B01777 DAIWA CAPITAL MARKETS HONG KONG LTD 270,000 64,000 0.01 0.00 2010-06-07
6 B01355 CHINA EVERBRIGHT SECURITIES (HK) LTD 47,000 39,000 0.00 0.00 2010-06-07
7 B01430 CITIGROUP GLOBAL MARKETS ASIA LTD 1,113,703 24,000 0.04 0.00 2010-06-07
8 B01715 PRESIDENT SECURITIES (HONG KONG) LTD 26,000 16,000 0.00 0.00 2010-06-07
9 B01299 BNP PARIBAS SECURITIES (ASIA) LTD 57,475,000 13,500 2.05 0.00 2010-06-07
10 B01224 MERRILL LYNCH FAR EAST LTD 2,361,306 13,125 0.08 0.00 2010-06-07
11 B01347 CGS INTERNATIONAL SECURITIES HK LTD 12,000 3,000 0.00 0.00 2010-06-07
12 B01148 CHINA MERCHANTS SECURITIES (HK) CO LTD 7,500 1,000 0.00 0.00 2010-06-07
13 B01340 LEHIN SECURITIES LTD 230 -76 0.00 -0.00 2010-06-07
14 B01272 FB SECURITIES (HONG KONG) LTD 146,500 -500 0.01 -0.00 2010-06-07
15 B01330 NOMURA SECURITIES (HK) LTD 156,500 -700 0.01 -0.00 2010-06-07
16 B01858 YUANTA SECURITIES (HONG KONG) CO LTD 76,000 -1,000 0.00 -0.00 2010-06-07
17 B01130 BOCI SECURITIES LTD 1,434,500 -3,000 0.05 -0.00 2010-06-07
18 B01610 KGI ASIA LTD 153,500 -3,500 0.01 -0.00 2010-06-07
19 B01289 SOUTH CHINA SECURITIES LTD 3,000 -4,000 0.00 -0.00 2010-06-07
20 B01156 CMB INTERNATIONAL GLOBAL MARKETS LTD 68,500 -5,000 0.00 -0.00 2010-06-07
21 B01508 SOUTHWEST SECURITIES (HK) BROKERAGE LTD 13,000 -5,000 0.00 -0.00 2010-06-07
22 B01086 EVERBRIGHT SECURITIES INVESTMENT 129,000 -6,000 0.00 -0.00 2010-06-07
23 B01284 HANG SENG SECURITIES LTD 870,500 -6,000 0.03 -0.00 2010-06-07
24 B01470 HUNG SING SECURITIES LTD 56,000 -9,500 0.00 -0.00 2010-06-07
25 B01323 DEUTSCHE SECURITIES ASIA LTD 2,859,021 -17,000 0.10 -0.00 2010-06-07
26 C00033 BANK OF CHINA (HONG KONG) LTD 5,972,000 -20,000 0.21 -0.00 2010-06-07
27 C00039 STANDARD CHARTERED BANK (HONG KONG) LTD 326,185,557 -126,404 11.62 -0.00 2010-06-07
28 C00093 BNP PARIBAS 43,601,407 -137,500 1.55 -0.00 2010-06-07
29 C00019 THE HONGKONG AND SHANGHAI BANKING 827,477,194 -209,310 29.47 -0.01 2010-06-07
30 B01451 GOLDMAN SACHS (ASIA) SECURITIES LTD 6,401,884 -346,135 0.23 -0.01 2010-06-07
31 B01169 PUBLIC FINANCIAL SECURITIES LTD 5,000 -590,000 0.00 -0.02 2010-06-07
31 Total changed named holdings 1,375,072,330 0 48.97 0.00
127 Unchanged named holdings 35,092,895 0 1.25 0.00
158 Total named holdings 1,410,165,225 0 50.22 0.00
8 Unnamed Investor Participants 5,385,000 0 0.19 0.00
166 Total securities in CCASS 1,415,550,225 0 50.41 0.00
Securities not in CCASS 1,392,285,525 0 49.59 0.00
Issued securities 2,807,835,750 0 100.00 0.00 2010-05-31

Trades that settled in this date range

These data are not adjusted for splits or bonus issues during the period.

Trading date2010-06-03
Volume3,634,424
Turnover44,846,340
Average price12.339

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