HARBOUR CENTRE DEVELOPMENT LIMITED

Exchange Code Listed Last trade Delisted
HK Main 00051  1971-02-15    
Stock code:
From
to

CCASS holding changes from 2011-07-22 to 2011-07-25

Hit the "stake change" to see the holder's history.

Some data are hidden to fit your display. Rotate?

Row CCASS ID Name Holding Change Stake
%
Stake
Δ %
Last
holding
1 C00033 BANK OF CHINA (HONG KONG) LTD 1,232,258 8,000 0.17 0.00 2011-07-25
2 B01558 GOLD FUND SECURITIES CO LTD 4,041,064 5,000 0.57 0.00 2011-07-25
3 B01264 MIB SECURITIES (HONG KONG) LTD 107,000 5,000 0.02 0.00 2011-07-25
4 C00037 SHANGHAI COMMERCIAL BANK LTD 416,500 2,000 0.06 0.00 2011-07-25
5 B01265 OCBC SECURITIES BROKERAGE (HK) LTD 3,000 -2,000 0.00 -0.00 2011-07-25
6 C00019 THE HONGKONG AND SHANGHAI BANKING 9,037,494 -5,000 1.28 -0.00 2011-07-25
7 C00039 STANDARD CHARTERED BANK (HONG KONG) LTD 1,628,400 -6,000 0.23 -0.00 2011-07-25
8 B01115 SHENWAN HONGYUAN SECURITIES (H.K.) LTD 10,000 -7,000 0.00 -0.00 2011-07-25
8 Total changed named holdings 16,475,716 0 2.32 0.00
138 Unchanged named holdings 140,353,654 0 19.80 0.00
146 Total named holdings 156,829,370 0 22.13 0.00
34 Unnamed Investor Participants 2,368,013 0 0.33 0.00
180 Total securities in CCASS 159,197,383 0 22.46 0.00
Securities not in CCASS 549,552,617 0 77.54 0.00
Issued securities 708,750,000 0 100.00 0.00 2011-06-30

Trades that settled in this date range

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

Trading date2011-07-21
Volume20,000
Turnover217,360
Average price10.868

Sign up for our free newsletter

Recommend Renavon to a friend

Copyright & disclaimer, Privacy policy

Back to top