China NT Pharma Group Company Limited

Exchange Code Listed Last trade Delisted
HK Main 01011  2011-04-20    
Stock code:
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CCASS holding changes from 2022-06-06 to 2022-06-07

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Row CCASS ID Name Holding Change Stake
%
Stake
Δ %
Last
holding
1 B01345 PHILLIP SECURITIES (HONG KONG) LTD 4,244,000 1,440,000 0.22 0.08 2022-06-07
2 B01955 FUTU SECURITIES INTERNATIONAL 39,686,687 744,500 2.08 0.04 2022-06-07
3 B01826 GF SECURITIES (HONG KONG) BROKERAGE LTD 2,980,333 519,500 0.16 0.03 2022-06-07
4 B01130 BOCI SECURITIES LTD 30,833,000 506,000 1.62 0.03 2022-06-07
5 B01284 HANG SENG SECURITIES LTD 38,013,000 340,000 2.00 0.02 2022-06-07
6 B01555 ABN AMRO CLEARING HONG KONG LTD 300,000 300,000 0.02 0.02 2022-06-07
7 B01433 HING WAI ALLIED SECURITIES LTD 1,500,000 300,000 0.08 0.02 2022-06-07
8 B01590 INTERACTIVE BROKERS HONG KONG LTD 6,014,500 300,000 0.32 0.02 2022-06-07
9 B01423 PRUDENTIAL BROKERAGE LTD 14,403,500 300,000 0.76 0.02 2022-06-07
10 C00010 CITIBANK N.A. 12,177,539 286,000 0.64 0.02 2022-06-07
11 B01606 EWARTON SECURITIES LTD 910,000 211,500 0.05 0.01 2022-06-07
12 B01086 EVERBRIGHT SECURITIES INVESTMENT 30,431,500 200,000 1.60 0.01 2022-06-07
13 B01523 EVER-LONG SECURITIES CO LTD 200,000 200,000 0.01 0.01 2022-06-07
14 B01890 GUOSEN SECURITIES (HK) BROKERAGE CO LTD 3,867,966 200,000 0.20 0.01 2022-06-07
15 B01209 MASON SECURITIES LTD 895,000 200,000 0.05 0.01 2022-06-07
16 B01700 REALINK FINANCIAL TRADE LTD 565,000 200,000 0.03 0.01 2022-06-07
17 B01511 TAT LEE SECURITIES CO LTD 545,000 200,000 0.03 0.01 2022-06-07
18 B01584 CHIEF SECURITIES LTD 6,427,500 156,500 0.34 0.01 2022-06-07
19 B01588 LEI SHING HONG SECURITIES LTD 1,752,000 150,000 0.09 0.01 2022-06-07
20 B01676 TAI SHING STOCK INVESTMENT CO LTD 284,000 100,000 0.01 0.01 2022-06-07
21 B01814 WELL LINK SECURITIES LTD 572,000 100,000 0.03 0.01 2022-06-07
22 B01695 DAH SING SECURITIES LTD 8,736,000 98,500 0.46 0.01 2022-06-07
23 B01610 KGI ASIA LTD 3,330,000 80,000 0.17 0.00 2022-06-07
24 B01905 SDICS INTERNATIONAL SECURITIES (HONG 798,500 72,000 0.04 0.00 2022-06-07
25 B01564 ABCI SECURITIES CO LTD 670,500 60,000 0.04 0.00 2022-06-07
26 B01450 DL BROKERAGE LTD 2,350,000 56,500 0.12 0.00 2022-06-07
27 B01885 HAFOO SECURITIES LTD 2,600,500 56,000 0.14 0.00 2022-06-07
28 C00003 THE BANK OF EAST ASIA LTD 5,945,500 32,000 0.31 0.00 2022-06-07
29 B01184 QUAM SECURITIES LTD 1,000,000 30,000 0.05 0.00 2022-06-07
30 C00039 STANDARD CHARTERED BANK (HONG KONG) LTD 115,552,500 25,000 6.07 0.00 2022-06-07
31 B02159 USMART SECURITIES LTD 68,500 25,000 0.00 0.00 2022-06-07
32 B01714 HEAD & SHOULDERS SECURITIES LTD 40,000 10,000 0.00 0.00 2022-06-07
33 C00042 CMB WING LUNG BANK LTD 9,754,500 7,000 0.51 0.00 2022-06-07
34 C00100 JPMORGAN CHASE BANK, NATIONAL 282,005,000 5,000 14.81 0.00 2022-06-07
35 B01858 YUANTA SECURITIES (HONG KONG) CO LTD 297,500 4,500 0.02 0.00 2022-06-07
36 B01947 FUBON SECURITIES (HONG KONG) LTD 42,500 500 0.00 0.00 2022-06-07
37 B01829 HUATAI FINANCIAL HOLDINGS (HONG KONG) 1,000,500 -14,500 0.05 -0.00 2022-06-07
38 C00036 CHINA CONSTRUCTION BANK (ASIA) 5,413,858 -50,000 0.28 -0.00 2022-06-07
39 C00028 NANYANG COMMERCIAL BANK LTD 14,750,000 -50,000 0.77 -0.00 2022-06-07
40 B01608 OPEN SECURITIES LTD 0 -50,000 -0.00 2022-06-07
41 B01623 TAI FUNG KUENTAI SECURITIES CO LTD 3,941,000 -50,000 0.21 -0.00 2022-06-07
42 B01551 YUE XIU SECURITIES CO LTD 170,000 -50,000 0.01 -0.00 2022-06-07
43 B02102 ZINVEST GLOBAL LTD 699,500 -106,000 0.04 -0.01 2022-06-07
44 B01921 GONG PING SECURITIES LTD 16,500 -120,000 0.00 -0.01 2022-06-07
45 B01289 SOUTH CHINA SECURITIES LTD 303,000 -120,000 0.02 -0.01 2022-06-07
46 C00033 BANK OF CHINA (HONG KONG) LTD 102,386,925 -127,000 5.38 -0.01 2022-06-07
47 B01904 VALUABLE CAPITAL LTD 5,329,000 -133,000 0.28 -0.01 2022-06-07
48 B01581 KINGSWAY FINANCIAL SERVICES GROUP LTD 250,000 -154,500 0.01 -0.01 2022-06-07
49 C00093 BNP PARIBAS 2,223,000 -182,000 0.12 -0.01 2022-06-07
50 B01119 CELESTIAL SECURITIES LTD 455,000 -200,000 0.02 -0.01 2022-06-07
51 C00037 SHANGHAI COMMERCIAL BANK LTD 7,713,000 -250,000 0.40 -0.01 2022-06-07
52 B01491 CREDIT SUISSE SECURITIES (HONG KONG) LTD 258,500 -351,000 0.01 -0.02 2022-06-07
53 B01727 ICBC (ASIA) SECURITIES LTD 30,757,000 -478,500 1.61 -0.03 2022-06-07
54 B01668 BRIGHT SMART SECURITIES INTERNATIONAL 18,864,000 -503,000 0.99 -0.03 2022-06-07
55 B01843 TELECOM KING SECURITIES LTD 622,500 -680,000 0.03 -0.04 2022-06-07
56 B01615 KAM FAI SECURITIES CO LTD 0 -1,000,000 -0.05 2022-06-07
57 B01673 FULBRIGHT SECURITIES LTD 5,542,500 -1,381,500 0.29 -0.07 2022-06-07
58 C00019 THE HONGKONG AND SHANGHAI BANKING 117,538,044 -1,465,000 6.17 -0.08 2022-06-07
58 Total changed named holdings 948,027,852 0 49.77 0.00
192 Unchanged named holdings 953,953,661 0 50.09 0.00
250 Total named holdings 1,901,981,513 0 99.86 0.00
20 Unnamed Investor Participants 2,127,000 0 0.11 0.00
270 Total securities in CCASS 1,904,108,513 0 99.97 0.00
Securities not in CCASS 526,959 0 0.03 0.00
Issued securities 1,904,635,472 0 100.00 0.00 2022-05-31

Trades that settled in this date range

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

Trading date2022-06-02
Volume18,198,000
Turnover3,313,860
Average price0.182

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