PLATINUM BROKING COMPANY LIMITED 百德能經紀有限公司
CCASS ID: B01592

CCASS holdings on 2025-10-09

Valuations are at the end of the period. Hit the stake to see the history. "*"=stock is suspended or in parallel trading. Last close on this counter is used.

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Row Last
code
Issue Holding Value Stake
%
Date
1 00535 Gemdale Properties and Investment Corporation Limited 4,812,474,322 899,932,698 28.97 2025-08-29
2 00860 Apollo Future Mobility Group Limited 113,777,267 73,955,224 11.13 2023-12-15
3 00122 CROCODILE GARMENTS LIMITED 4,377,669 8,711,561 6.16 2025-02-14
4 00242 SHUN TAK HOLDINGS LIMITED 116,071,120 95,178,318 3.85 2024-11-12
5 00752 PICO FAR EAST HOLDINGS LIMITED 41,777,183 112,798,394 3.31 2025-09-04
6 01105 SING TAO NEWS CORPORATION LIMITED 25,076,000 6,645,140 2.85 2021-01-04
7 00145 CCIAM Future Energy Limited (b1964-11-28) 5,206,683 * 2.13 2025-10-03
8 00055 Neway Group Holdings Limited 5,300,000 991,100 2.09 2016-12-09
9 06936 S.F. Holding Co., Ltd. 3,514,600 132,078,668 1.46 2025-10-02
10 00880 SJM Holdings Limited 81,517,091 255,148,495 1.15 2022-09-22
11 01446 Hung Fook Tong Group Holdings Limited 3,000,000 1,365,000 0.46 2018-05-24
12 00854 Willas-Array Electronics (Holdings) Limited 281,000 1,702,860 0.27 2025-10-09
13 00854 Willas-Array Electronics (Holdings) Limited 281,000 1,702,860 0.27 2025-10-09
14 00057 CHEN HSONG HOLDINGS LIMITED 1,628,000 2,946,680 0.26 2018-08-27
15 01938 Chu Kong Petroleum and Natural Gas Steel Pipe Holdings Limited 2,530,000 1,087,900 0.25 2021-03-17
16 02777 Guangzhou R&F Properties Co., Ltd. 8,205,800 5,415,828 0.22 2025-08-28
17 00669 TECHTRONIC INDUSTRIES COMPANY LIMITED 3,174,000 301,212,600 0.17 2025-10-09
18 00511 TELEVISION BROADCASTS LIMITED 744,100 2,529,940 0.16 2024-03-13
19 00180 KADER HOLDINGS COMPANY LIMITED 1,200,000 261,600 0.13 2024-04-17
20 00557 China Tian Yuan Healthcare Group Limited 475,059 418,052 0.12 2020-02-24
21 01101 China Huarong Energy Company Limited 5,567,000 * 0.12 2017-08-29
22 06839 Yunnan Water Investment Co., Limited 382,000 72,580 0.11 2020-11-18
23 00345 VITASOY INTERNATIONAL HOLDINGS LIMITED 844,000 6,929,240 0.08 2025-06-09
24 00693 TAN CHONG INTERNATIONAL LIMITED 1,392,000 2,171,520 0.07 2025-09-19
25 00662 ASIA FINANCIAL HOLDINGS LIMITED 600,000 2,520,000 0.06 2018-12-28
26 02078 PanAsialum Holdings Company Limited 674,000 119,298 0.06 2024-05-16
27 00014 HYSAN DEVELOPMENT COMPANY LIMITED 548,000 8,795,400 0.05 2025-07-17
28 09958 LITIAN PICTURES HOLDINGS LIMITED 191,000 * 0.05 2023-07-06
29 03688 Top Spring International Holdings Limited 639,500 274,985 0.05 2024-04-02
30 01753 Duiba Group Limited 482,400 132,660 0.04 2025-05-12
31 01221 SINO HOTELS (HOLDINGS) LIMITED 460,884 649,846 0.04 2025-08-26
32 08146 Grace Wine Holdings Limited 300,000 35,100 0.04 2019-08-07
33 02827 W.I.S.E.-CSI 300 China Tracker 7,000 314,440 0.03 2024-04-02
34 02388 BOC HONG KONG (HOLDINGS) LIMITED (HK) 3,246,500 119,990,640 0.03 2025-08-06
35 00101 HANG LUNG PROPERTIES LIMITED 1,512,885 13,313,388 0.03 2025-09-24
36 01099 SINOPHARM GROUP CO. LTD. 400,000 7,480,000 0.03 2025-07-09
37 01064 Zhong Hua International Holdings Limited 229,048 18,324 0.03 2015-06-26
38 00888 Bison Finance Group Limited 392,000 39,984 0.03 2017-10-31
39 03191 Global X China Semiconductor ETF 5,000 320,800 0.03 2025-10-08
40 00571 ESUN HOLDINGS LIMITED 444,523 25,338 0.03 2024-02-07
41 00083 SINO LAND COMPANY LIMITED 2,053,984 20,930,097 0.02 2025-09-10
42 00488 LAI SUN DEVELOPMENT COMPANY LIMITED 301,773 205,206 0.02 2023-01-30
43 00075 Y. T. REALTY GROUP LIMITED 166,000 23,572 0.02 2011-03-01
44 01278 CHINA NEW TOWN DEVELOPMENT COMPANY LIMITED 2,000,000 200,000 0.02 2017-04-26
45 09923 YEAHKA LIMITED 93,200 950,640 0.02 2025-07-25
46 07500 CSOP Hang Seng Index Daily (-2x) Inverse Product 550,000 952,600 0.02 2025-09-30
47 00214 ASIA ORIENT HOLDINGS LIMITED 156,340 53,156 0.02 2017-06-23
48 00778 Fortune Real Estate Investment Trust 380,000 1,930,400 0.02 2020-03-11
49 01251 SPT Energy Group Inc. 350,000 86,100 0.02 2024-04-02
50 03337 Anton Oilfield Services Group 522,000 579,420 0.02 2023-04-06
51 08279 AGTech Holdings Limited 2,000,000 438,000 0.02 2024-01-04
52 07200 CSOP Hang Seng Index Daily (2x) Leveraged Product 60,000 388,800 0.02 2025-09-11
53 02138 EC Healthcare 200,000 144,000 0.02 2025-08-25
54 01566 CA Cultural Technology Group Limited 195,000 * 0.02 2021-03-23
55 08096 Tasty Concepts Holding Limited 30,250 4,870 0.02 2025-05-22
56 00709 GIORDANO INTERNATIONAL LIMITED 250,000 377,500 0.02 2024-07-04
57 01310 HKBN Ltd. 200,000 1,356,000 0.01 2025-01-16
58 00696 TRAVELSKY TECHNOLOGY LIMITED 118,500 1,234,770 0.01 2023-01-05
59 SHANGRI-LA ASIA LIMITED 432,000 1,974,240 0.01 2024-04-02
60 01398 Industrial and Commercial Bank of China Limited 10,002,090 56,511,808 0.01 2025-04-09
61 00410 SOHO CHINA LIMITED 573,637 309,764 0.01 2024-05-06
62 01808 Enterprise Development Holdings Limited (KY) 26,000 80,600 0.01 2025-05-22
63 00247 TSIM SHA TSUI PROPERTIES LIMITED 219,211 4,493,826 0.01 2025-10-06
64 02196 Shanghai Fosun Pharmaceutical (Group) Co., Ltd. 50,000 1,275,000 0.01 2021-08-11
65 00716 SINGAMAS CONTAINER HOLDINGS LIMITED 220,000 147,400 0.01 2024-03-18
66 Courage Investment Group Limited 100,000 17,100 0.01 2025-10-09
67 Courage Investment Group Limited 100,000 17,100 0.01 2025-10-09
68 02285 CHERVON HOLDINGS LIMITED 45,000 980,100 0.01 2025-10-02
69 00984 AEON STORES (HONG KONG) CO., LIMITED 22,000 8,910 0.01 2011-03-01
70 03336 JU TENG INTERNATIONAL HOLDINGS LIMITED 100,000 195,000 0.01 2013-05-31
71 06622 Zhaoke Ophthalmology Limited 41,000 143,090 0.01 2025-04-03
72 00939 CHINA CONSTRUCTION BANK CORPORATION 16,943,560 123,518,552 0.01 2025-08-22
73 00710 BOE Varitronix Limited 50,000 277,500 0.01 2021-07-09
74 02170 Suzhou Basecare Medical Corporation Limited 5,000 15,050 0.01 2022-12-08
75 00826 Tiangong International Company Limited 150,000 454,500 0.01 2024-04-03
76 00303 VTECH HOLDINGS LIMITED 13,900 885,430 0.01 2024-07-15
77 01727 Hebei Construction Group Corporation Limited 20,000 9,300 0.00 2021-01-05
78 00081 CHINA OVERSEAS GRAND OCEANS GROUP LIMITED 141,336 333,553 0.00 2024-04-02
79 01685 Boer Power Holdings Limited 30,000 9,300 0.00 2021-08-24
80 02823 iShares FTSE China A50 ETF 48,000 781,920 0.00 2024-04-02
81 01977 ANALOGUE HOLDINGS LIMITED 52,000 47,840 0.00 2022-03-11
82 01186 China Railway Construction Corporation Limited 74,000 413,660 0.00 2023-07-05
83 02628 CHINA LIFE INSURANCE COMPANY LIMITED 264,000 5,771,040 0.00 2025-09-29
84 01299 AIA Group Limited 369,800 27,402,180 0.00 2025-09-22
85 00005 HSBC HOLDINGS PLC 577,348 60,044,192 0.00 2025-08-26
86 06127 JOINN LABORATORIES (CHINA) CO., LTD. 3,724 80,438 0.00 2025-08-14
87 08169 ECO-TEK HOLDINGS LIMITED 20,000 760 0.00 2019-10-02
88 600941 China Mobile Limited (HK) 637,500 53,773,125 0.00 2025-08-22
89 600941 China Mobile Limited (HK) 637,500 53,773,125 0.00 2025-08-22
90 00000 CHINA PETROLEUM & CHEMICAL CORPORATION 685,000 2,815,350 0.00 2025-07-17
91 00588 Beijing North Star Company Limited 20,000 17,600 0.00 2007-06-28
92 00000 LHN LIMITED 12,000 66,000 0.00 2025-09-22
93 00000 LHN LIMITED 12,000 66,000 0.00 2025-09-22
94 00133 CHINA MERCHANTS CHINA DIRECT INVESTMENTS LIMITED 4,000 63,960 0.00 2021-02-23
95 01521 Frontage Holdings Corporation 52,000 67,600 0.00 2019-10-09
96 00823 Link Real Estate Investment Trust 57,729 2,355,343 0.00 2025-06-30
97 02612 CSI Properties Limited (BM) 10,000 240 0.00 2025-04-08
98 00497 CSI Properties Limited (BM) 280,000 53,200 0.00 2025-04-15
99 00213 NATIONAL ELECTRONICS HOLDINGS LIMITED 19,680 7,478 0.00 2015-09-11
100 02297 Rainmed Medical Limited 30,000 9,600 0.00 2025-09-26
101 06886 Huatai Securities Co., Ltd. 32,200 664,608 0.00 2025-01-15
102 00087 SWIRE PACIFIC LIMITED 52,500 616,350 0.00 2025-07-17
103 00019 SWIRE PACIFIC LIMITED 14,000 910,700 0.00 2020-03-11
104 00384 CHINA GAS HOLDINGS LIMITED 97,400 772,382 0.00 2025-09-29
105 00261 GBA Holdings Limited 5,000 1,300 0.00 2025-03-20
106 00670 China Eastern Airlines Corporation Limited 90,000 293,400 0.00 2023-01-04
107 02158 Yidu Tech Inc. 18,500 120,620 0.00 2024-11-12
108 01928 Sands China Ltd. 140,000 2,984,800 0.00 2025-05-27
109 00747 Shenyang Public Utility Holdings Company Limited 10,000 730 0.00 2015-06-18
110 00498 Blue River Holdings Limited 17,179 2,388 0.00 2021-07-05
111 03368 Parkson Retail Group Limited 40,500 5,670 0.00 2011-03-01
112 00305 Wuling Motors Holdings Limited 50,000 29,000 0.00 2021-02-19
113 01717 Ausnutria Dairy Corporation Ltd 25,000 62,500 0.00 2024-03-20
114 03339 Lonking Holdings Limited 60,000 178,800 0.00 2021-03-30
115 00390 CHINA RAILWAY GROUP LIMITED 58,000 247,080 0.00 2023-12-29
116 06110 Topsports International Holdings Limited 83,000 271,410 0.00 2025-08-14
117 00631 Sany Heavy Equipment International Holdings Company Limited 43,000 348,730 0.00 2013-07-19
118 03896 Kingsoft Cloud Holdings Limited 60,000 452,400 0.00 2025-09-26
119 03896 Kingsoft Cloud Holdings Limited 60,000 452,400 0.00 2025-09-26
120 00000 Bilibili Inc. 4,497 1,061,292 0.00 2025-09-29
121 00763 ZTE CORPORATION 9,800 396,312 0.00 2024-04-02
122 00178 SA SA INTERNATIONAL HOLDINGS LIMITED 38,063 24,360 0.00 2018-01-23
123 06993 Blue Moon Group Holdings Limited 68,000 224,400 0.00 2024-11-12
124 01579 YIHAI INTERNATIONAL HOLDING LTD. 12,000 145,200 0.00 2024-04-02
125 01193 China Resources Gas Group Limited 26,000 522,600 0.00 2025-07-17
126 00672 Zhong An Group Limited 62,400 8,736 0.00 2017-10-12
127 03899 CIMC Enric Holdings Limited 20,000 162,600 0.00 2024-04-30
128 09999 NetEase, Inc. 30,000 7,212,000 0.00 2025-07-17
129 09999 NetEase, Inc. 30,000 7,212,000 0.00 2025-07-17
130 00232 Continental Aerospace Technologies Holding Limited (BM) 88,000 12,496 0.00 2018-03-22
131 02269 WuXi Biologics (Cayman) Inc. 37,250 1,525,760 0.00 2024-11-12
132 02318 PING AN INSURANCE (GROUP) COMPANY OF CHINA, LTD. 63,000 3,370,500 0.00 2025-01-14
133 00388 HONG KONG EXCHANGES AND CLEARING LIMITED 10,200 4,659,360 0.00 2025-09-30
134 Summit Ascent Holdings Limited 36,000 * 0.00 2014-07-02
135 01177 SINO BIOPHARMACEUTICAL LIMITED 146,000 1,153,400 0.00 2025-09-29
136 02828 Hang Seng China Enterprises Index ETF 2,400 233,952 0.00 2017-03-17
137 China Evergrande Group 100,000 * 0.00 2021-09-28
138 01128 Wynn Macau, Limited 38,000 253,080 0.00 2023-04-12
139 03288 Foshan Haitian Flavouring and Food Company Ltd. 2,100 68,922 0.00 2025-06-24
140 03690 Meituan 39,880 4,131,568 0.00 2025-10-06
141 09995 RemeGen Co., Ltd. 1,500 159,300 0.00 2025-07-03
142 00006 Power Assets Holdings Limited 15,210 747,419 0.00 2025-07-11
143 09973 CHERY AUTOMOBILE CO., LTD 16,500 533,940 0.00 2025-09-29
144 01833 PING AN HEALTHCARE AND TECHNOLOGY COMPANY LIMITED 15,300 269,127 0.00 2024-04-02
145 06989 Excellence Commercial Property & Facilities Management Group Limited 8,000 8,960 0.00 2025-07-23
146 00008 PCCW LIMITED 48,680 265,306 0.00 2020-10-29
147 02369 Coolpad Group Limited 2,300 2,898 0.00 2025-06-11
148 00486 UNITED COMPANY RUSAL, IPJSC 90,000 384,300 0.00 2025-03-12
149 09660 Horizon Robotics 69,600 638,928 0.00 2025-09-30
150 00323 MAANSHAN IRON & STEEL COMPANY LIMITED 10,000 28,200 0.00 2013-11-13
151 06998 Genor Biopharma Holdings Limited 3,000 12,210 0.00 2025-07-23
152 00291 China Resources Beer (Holdings) Company Limited 18,000 491,400 0.00 2024-07-19
153 09988 Alibaba Group Holding Limited (KY) 104,480 18,106,384 0.00 2025-09-18
154 09988 Alibaba Group Holding Limited (KY) 104,480 18,106,384 0.00 2025-09-18
155 02255 Haichang Ocean Park Holdings Ltd. 44,000 36,080 0.00 2022-11-11
156 00241 Alibaba Health Information Technology Limited 84,000 535,920 0.00 2024-11-12
157 00012 HENDERSON LAND DEVELOPMENT COMPANY LIMITED 23,508 640,358 0.00 2022-10-24
158 03988 BANK OF CHINA LIMITED 398,200 1,668,458 0.00 2025-04-10
159 01919 COSCO SHIPPING Holdings Co., Ltd. 13,000 155,480 0.00 2024-07-19
160 03968 CHINA MERCHANTS BANK CO., LTD. 20,722 967,303 0.00 2025-09-30
161 00604 SHENZHEN INVESTMENT LIMITED 38,770 33,730 0.00 2019-11-18
162 01800 China Communications Construction Company Limited 19,000 99,370 0.00 2015-04-15
163 02888 STANDARD CHARTERED PLC 9,100 1,413,230 0.00 2025-08-22
164 02333 GREAT WALL MOTOR COMPANY LIMITED (CN) 9,000 150,480 0.00 2018-01-08
165 00883 CNOOC LIMITED 182,500 3,431,000 0.00 2025-08-22
166 00968 XINYI SOLAR HOLDINGS LIMITED 34,000 129,880 0.00 2024-04-02
167 06996 Antengene Corporation Limited 2,500 15,450 0.00 2025-07-23
168 09922 Jiumaojiu International Holdings Limited 5,000 10,300 0.00 2022-09-13
169 01055 China Southern Airlines Company Limited 16,000 64,480 0.00 2023-01-04
170 03808 SINOTRUK (HONG KONG) LIMITED 9,500 230,470 0.00 2024-01-02
171 02638 HK Electric Investments Limited 30,000 179,400 0.00 2025-10-06
172 09868 XPeng Inc. 5,000 454,250 0.00 2025-09-29
173 09868 XPeng Inc. 5,000 454,250 0.00 2025-09-29
174 00392 BEIJING ENTERPRISES HOLDINGS LIMITED 4,000 130,000 0.00 2021-07-13
175 00023 BANK OF EAST ASIA, LIMITED (THE) 8,014 102,499 0.00 2021-03-08
176 00020 SenseTime Group Inc. 115,000 313,950 0.00 2025-10-02
177 00432 PACIFIC CENTURY PREMIUM DEVELOPMENTS LIMITED 5,803 1,161 0.00 2020-10-08
178 00857 PETROCHINA COMPANY LIMITED 60,000 435,600 0.00 2025-03-19
179 00873 Shimao Services Holdings Limited 7,000 4,760 0.00 2021-07-30
180 02618 JD Logistics, Inc. 18,300 237,717 0.00 2025-08-14
181 02378 PRUDENTIAL PUBLIC LIMITED COMPANY 6,000 640,800 0.00 2022-10-24
182 00788 China Tower Corporation Limited 10,800 126,360 0.00 2025-07-10
183 00700 TENCENT HOLDINGS LIMITED 20,300 13,712,650 0.00 2025-09-30
184 00001 CK Hutchison Holdings Limited 8,250 429,000 0.00 2025-08-26
185 00694 Beijing Capital International Airport Company Limited 4,000 11,280 0.00 2022-02-10
186 02460 China Resources Beverage (Holdings) Company Limited 5,000 55,000 0.00 2025-05-22
187 01766 CRRC Corporation Limited 9,000 56,790 0.00 2021-03-12
188 01672 Ascletis Pharma Inc. 2,000 21,000 0.00 2025-07-22
189 02282 MGM China Holdings Limited 7,600 115,064 0.00 2021-09-09
190 00371 Beijing Enterprises Water Group Limited 20,000 48,200 0.00 2020-09-04
191 02013 Weimob Inc. 7,000 18,970 0.00 2021-07-30
192 09618 JD.com, Inc. 5,410 734,137 0.00 2025-09-30
193 09618 JD.com, Inc. 5,410 734,137 0.00 2025-09-30
194 00347 Angang Steel Company Limited 2,600 6,084 0.00 2020-12-03
195 01070 TCL Electronics Holdings Limited 4,500 48,555 0.00 2025-01-03
196 688981 SEMICONDUCTOR MANUFACTURING INTERNATIONAL CORPORATION 14,000 1,169,000 0.00 2025-10-03
197 688981 SEMICONDUCTOR MANUFACTURING INTERNATIONAL CORPORATION 14,000 1,169,000 0.00 2025-10-03
198 02382 Sunny Optical Technology (Group) Company Limited 1,900 167,010 0.00 2025-09-29
199 03309 C-MER Medical Holdings Limited 2,000 3,940 0.00 2020-06-04
200 09698 GDS Holdings Limited (KY) 2,400 88,944 0.00 2020-11-06
201 09698 GDS Holdings Limited (KY) 2,400 88,944 0.00 2020-11-06
202 02899 ZIJIN MINING GROUP CO., LTD. 9,000 325,260 0.00 2022-02-11
203 02611 GUOTAI HAITONG SECURITIES CO., LTD. 5,208 81,714 0.00 2025-08-21
204 01898 China Coal Energy Company Limited 6,000 58,680 0.00 2021-04-29
205 01658 Postal Savings Bank of China Co., Ltd. 28,000 149,520 0.00 2021-04-27
206 01113 CK Asset Holdings Limited (KY) 4,802 185,837 0.00 2025-06-27
207 02136 Lifestyle China Group Limited 2,000 1,360 0.00 2022-03-14
208 01088 China Shenhua Energy Company Limited 4,000 155,360 0.00 2021-04-29
209 03900 Greentown China Holdings Limited 3,000 26,970 0.00 2019-09-05
210 00027 GALAXY ENTERTAINMENT GROUP LIMITED 5,000 200,800 0.00 2024-05-06
211 06862 HAIDILAO INTERNATIONAL HOLDING LTD. 5,000 64,050 0.00 2021-08-16
212 01686 SUNEVISION HOLDINGS LTD. 2,000 13,500 0.00 2017-10-30
213 01288 AGRICULTURAL BANK OF CHINA LIMITED 25,000 128,750 0.00 2025-08-22
214 00274 Renaissance Asia Silk Road Group Limited 50 * 0.00 2025-03-20
215 00016 SUN HUNG KAI PROPERTIES LIMITED 2,000 192,800 0.00 2016-09-01
216 03328 Bank of Communications Co., Ltd. 24,130 155,880 0.00 2025-08-22
217 00066 MTR CORPORATION LIMITED 4,000 106,400 0.00 2023-07-24
218 03750 Contemporary Amperex Technology Co., Limited 100 58,500 0.00 2025-09-29
219 00011 HANG SENG BANK, LIMITED 1,200 179,760 0.00 2025-09-29
220 06060 ZhongAn Online P & C Insurance Co., Ltd. 1,000 17,450 0.00 2021-02-19
221 00045 HONGKONG AND SHANGHAI HOTELS, LIMITED (THE) 1,013 5,956 0.00 2019-09-10
222 01810 Xiaomi Corporation 11,400 608,190 0.00 2025-08-22
223 02160 MicroPort CardioFlow Medtech Corporation 1,000 1,450 0.00 2024-11-12
224 02840 SPDR Gold Trust 140 403,900 0.00 2025-08-22
225 08006 Sino Splendid Holdings Limited 56 6 0.00 2022-06-27
226 01816 CGN Power Co., Ltd. 4,000 12,320 0.00 2024-02-22
227 00992 LENOVO GROUP LIMITED 4,000 50,240 0.00 2025-04-17
228 02150 Nayuki Holdings Limited 500 620 0.00 2025-07-23
229 09961 TRIP.COM GROUP LIMITED 200 112,200 0.00 2025-08-22
230 09961 TRIP.COM GROUP LIMITED 200 112,200 0.00 2025-08-22
231 02800 Tracker Fund of Hong Kong 1,500 41,100 0.00 2025-05-15
232 02259 Zijin Gold International Company Limited 400 56,520 0.00 2025-10-03
233 01024 Kuaishou Technology 400 35,520 0.00 2021-03-01
234 00897 WAI YUEN TONG MEDICINE HOLDINGS LIMITED 96 42 0.00 2019-10-02
235 01972 SWIRE PROPERTIES LIMITED 350 7,525 0.00 2015-08-27
236 00149 China Agri-Products Exchange Limited 435 35 0.00 2024-03-26
237 06618 JD Health International Inc. 100 6,375 0.00 2021-01-12
238 01222 WANG ON GROUP LIMITED 140 4 0.00 2024-03-26

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