CSOP Hang Seng Index Daily (2x) Leveraged Product

Exchange Code Listed Last trade Delisted
HKCIS 07200  2017-03-14    
Stock code:
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CCASS holding changes from 2019-12-20 to 2019-12-23

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

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Row CCASS ID Name Holding Change Stake
%
Stake
Δ %
Last
holding
1 B01668 BRIGHT SMART SECURITIES INTERNATIONAL 2,106,200 466,500 6.12 1.67 2019-12-23
2 B01413 CORE PACIFIC - YAMAICHI INTERNATIONAL 153,600 100,000 0.45 0.30 2019-12-23
3 B01695 DAH SING SECURITIES LTD 477,800 32,000 1.39 0.18 2019-12-23
4 B01584 CHIEF SECURITIES LTD 651,000 23,200 1.89 0.19 2019-12-23
5 B01939 SOOCHOW SECURITIES INTERNATIONAL 1,148,000 21,500 3.34 0.28 2019-12-23
6 B01345 PHILLIP SECURITIES (HONG KONG) LTD 137,800 20,000 0.40 0.08 2019-12-23
7 C00058 CHINA CITIC BANK INTERNATIONAL LTD 267,800 16,000 0.78 0.09 2019-12-23
8 B01491 CREDIT SUISSE SECURITIES (HONG KONG) LTD 10,000 10,000 0.03 0.03 2019-12-23
9 B01721 HUA NAN SECURITIES (HK) LTD 7,200 7,200 0.02 0.02 2019-12-23
10 B01714 HEAD & SHOULDERS SECURITIES LTD 331,600 4,300 0.96 0.07 2019-12-23
11 B01183 CHONG HING SECURITIES LTD 77,800 3,000 0.23 0.02 2019-12-23
12 B01885 HAFOO SECURITIES LTD 37,000 2,000 0.11 0.01 2019-12-23
13 B01959 ZHONGTAI INTERNATIONAL SECURITIES LTD 10,000 -100 0.03 0.00 2019-12-23
14 C00088 CHINA MERCHANTS BANK CO LTD 21,500 -700 0.06 0.00 2019-12-23
15 B01818 I-ACCESS INVESTORS LTD 241,300 -800 0.70 0.04 2019-12-23
16 B02102 ZINVEST GLOBAL LTD 2,400 -900 0.01 -0.00 2019-12-23
17 B01119 CELESTIAL SECURITIES LTD 0 -1,800 -0.00 2019-12-23
18 B01904 VALUABLE CAPITAL LTD 224,400 -2,100 0.65 0.04 2019-12-23
19 B01666 GLORY SUN SECURITIES LTD 0 -3,000 -0.01 2019-12-23
20 B01869 SYNERWEALTH FINANCIAL LTD 3,000 -3,000 0.01 -0.01 2019-12-23
21 B01940 SOFI SECURITIES (HONG KONG) LTD 33,300 -3,400 0.10 -0.00 2019-12-23
22 B01324 FUNDERSTONE SECURITIES LTD 0 -5,000 -0.01 2019-12-23
23 C00042 CMB WING LUNG BANK LTD 402,000 -5,600 1.17 0.06 2019-12-23
24 B01849 CIS SECURITIES ASSET MANAGEMENT LTD 0 -6,000 -0.02 2019-12-23
25 B02117 FUTURE SECURITIES LTD 0 -6,000 -0.02 2019-12-23
26 B01843 TELECOM KING SECURITIES LTD 21,500 -6,000 0.06 -0.01 2019-12-23
27 B01212 HENYEP SECURITIES LTD 0 -10,000 -0.03 2019-12-23
28 C00002 BANK OF COMMUNICATIONS TRUSTEE LTD 941,400 -18,000 2.74 0.13 2019-12-23
29 B01727 ICBC (ASIA) SECURITIES LTD 670,700 -22,000 1.95 0.07 2019-12-23
30 B01650 KAM LUEN SECURITIES LTD 30,000 -25,000 0.09 -0.06 2019-12-23
31 B02091 STAR RIVER SECURITIES LTD 12,100 -32,900 0.04 -0.09 2019-12-23
32 C00039 STANDARD CHARTERED BANK (HONG KONG) LTD 2,877,700 -40,500 8.37 0.44 2019-12-23
33 C00028 NANYANG COMMERCIAL BANK LTD 40,000 -44,000 0.12 -0.11 2019-12-23
34 B01130 BOCI SECURITIES LTD 1,062,700 -50,000 3.09 0.07 2019-12-23
35 B01086 EVERBRIGHT SECURITIES INVESTMENT 495,400 -69,000 1.44 -0.09 2019-12-23
36 B01590 INTERACTIVE BROKERS HONG KONG LTD 972,500 -102,000 2.83 -0.09 2019-12-23
37 B01284 HANG SENG SECURITIES LTD 1,012,300 -134,400 2.94 -0.17 2019-12-23
38 C00019 THE HONGKONG AND SHANGHAI BANKING 3,268,400 -137,700 9.50 0.25 2019-12-23
39 C00036 CHINA CONSTRUCTION BANK (ASIA) 515,900 -192,000 1.50 -0.42 2019-12-23
40 C00010 CITIBANK N.A. 2,134,101 -237,200 6.20 -0.24 2019-12-23
41 C00033 BANK OF CHINA (HONG KONG) LTD 2,140,600 -338,100 6.22 -0.51 2019-12-23
42 B01955 FUTU SECURITIES INTERNATIONAL 3,127,000 -398,700 9.09 -0.49 2019-12-23
43 B01555 ABN AMRO CLEARING HONG KONG LTD 5,521,000 -2,039,800 16.05 -4.50 2019-12-23
43 Total changed named holdings 31,187,001 -3,230,000 90.66 -2.86
64 Unchanged named holdings 5,551,999 0 16.14 1.05
107 Total named holdings 36,739,000 -3,230,000 106.80 -0.61
3 Unnamed Investor Participants 61,000 30,000 0.18 0.09
110 Total securities in CCASS 36,800,000 -3,200,000 106.98 -1.72
Securities not in CCASS -2,400,000 800,000 -6.98 1.72
Issued securities 34,400,000 -2,400,000 100.00 -6.52 2019-12-23

Trades that settled in this date range

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

Trading date2019-12-19
Volume10,865,900
Turnover107,612,029
Average price9.904

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