Yunnan Energy International Co. Limited: O HKD

Exchange Code Listed Last trade Delisted
Singapore secondary None      
SEHK main board 1298  2011-12-21    
Singapore T43  2004-07-12    
Stock code:

CCASS holdings on 2018-07-11

Row CCASS
ID
Participant Holding Stake %
1 C00019 THE HONGKONG AND SHANGHAI BANKING 158,577,070
2 B01451 GOLDMAN SACHS (ASIA) SECURITIES LTD 17,849,505
3 B01161 UBS SECURITIES HONG KONG LTD 11,483,600
4 C00016 DBS BANK LTD 9,900,000
5 B01130 BOCI SECURITIES LTD 9,795,000
6 B01610 KGI ASIA LTD 7,126,000
7 C00015 DBS BANK (HONG KONG) LTD 4,881,000
8 C00039 STANDARD CHARTERED BANK (HONG KONG) LTD 4,055,000
9 B01762 DBS VICKERS (HONG KONG) LTD 3,145,250
10 C00100 JPMORGAN CHASE BANK, NATIONAL 1,950,000
11 B01668 BRIGHT SMART SECURITIES INTERNATIONAL 1,553,000
12 B01590 INTERACTIVE BROKERS HONG KONG LTD 1,014,000
13 B01347 CGS INTERNATIONAL SECURITIES HK LTD 776,000
14 B01852 ARTA GLOBAL MARKETS LTD 662,000
15 B01990 GRANDLY FINANCIAL SERVICES LTD 600,000
16 C00033 BANK OF CHINA (HONG KONG) LTD 582,000
17 B01119 CELESTIAL SECURITIES LTD 512,000
18 C00088 CHINA MERCHANTS BANK CO LTD 455,000
19 B01929 CHINA GALAXY INTERNATIONAL SECURITIES 445,000
20 B01284 HANG SENG SECURITIES LTD 442,000
21 B01890 GUOSEN SECURITIES (HK) BROKERAGE CO LTD 385,000
22 B01353 UOB KAY HIAN (HONG KONG) LTD 356,400
23 C00042 CMB WING LUNG BANK LTD 356,000
24 B01673 FULBRIGHT SECURITIES LTD 285,000
25 B01386 SBI CHINA CAPITAL FINANCIAL SERVICES LTD 239,000
26 B01818 I-ACCESS INVESTORS LTD 227,000
27 C00058 CHINA CITIC BANK INTERNATIONAL LTD 225,000
28 B01445 VICTORY SECURITIES CO LTD 225,000
29 B01289 SOUTH CHINA SECURITIES LTD 220,000
30 B01584 CHIEF SECURITIES LTD 209,000
31 C00028 NANYANG COMMERCIAL BANK LTD 202,000
32 B01826 GF SECURITIES (HONG KONG) BROKERAGE LTD 199,000
33 B01148 CHINA MERCHANTS SECURITIES (HK) CO LTD 127,000
34 B01905 SDICS INTERNATIONAL SECURITIES (HONG 124,000
35 B01413 CORE PACIFIC - YAMAICHI INTERNATIONAL 100,000
36 B01345 PHILLIP SECURITIES (HONG KONG) LTD 95,000
37 B01955 FUTU SECURITIES INTERNATIONAL 90,000
38 B01727 ICBC (ASIA) SECURITIES LTD 80,000
39 B01523 EVER-LONG SECURITIES CO LTD 76,000
40 B01710 SINO-RICH SECURITIES & FUTURES LTD 72,000
41 B01423 PRUDENTIAL BROKERAGE LTD 70,000
42 B01939 SOOCHOW SECURITIES INTERNATIONAL 66,000
43 B01601 CSC SECURITIES (HK) LTD 58,000
44 B01355 CHINA EVERBRIGHT SECURITIES (HK) LTD 54,000
45 C00002 BANK OF COMMUNICATIONS TRUSTEE LTD 42,000
46 B01143 HAITONG INTERNATIONAL SECURITIES CO LTD 41,000
47 B01700 REALINK FINANCIAL TRADE LTD 41,000
48 B02102 ZINVEST GLOBAL LTD 41,000
49 B01740 WIN SECURITIES LTD 32,000
50 B01224 MERRILL LYNCH FAR EAST LTD 31,000
51 B01695 DAH SING SECURITIES LTD 30,000
52 C00018 HANG SENG BANK LTD 30,000
53 B01858 YUANTA SECURITIES (HONG KONG) CO LTD 30,000
54 B01184 QUAM SECURITIES LTD 21,000
55 C00003 THE BANK OF EAST ASIA LTD 15,000
56 C00010 CITIBANK N.A. 14,000
57 B01842 BOCOM INTERNATIONAL SECURITIES LTD 13,000
58 C00036 CHINA CONSTRUCTION BANK (ASIA) 13,000
59 B01290 SPS SECURITIES LTD 13,000
60 B01967 YUNFENG SECURITIES LTD 12,000
61 B01491 CREDIT SUISSE SECURITIES (HONG KONG) LTD 11,000
62 B01756 CHINA SKY SECURITIES LTD 10,000
63 B01298 GET NICE SECURITIES LTD 10,000
64 B01089 HSBC BROKING SECURITIES (HONG KONG) LTD 10,000
65 B01497 SINOPAC SECURITIES (ASIA) LTD 10,000
66 B01959 ZHONGTAI INTERNATIONAL SECURITIES LTD 10,000
67 B01843 TELECOM KING SECURITIES LTD 8,000
68 B01118 EAST ASIA SECURITIES CO LTD 7,000
69 B01623 TAI FUNG KUENTAI SECURITIES CO LTD 6,000
70 C00048 CHIYU BANKING CORPORATION LTD 3,000
71 B01183 CHONG HING SECURITIES LTD 3,000
72 B01849 CIS SECURITIES ASSET MANAGEMENT LTD 3,000
73 B01777 DAIWA CAPITAL MARKETS HONG KONG LTD 3,000
74 B01936 MIGHTY BROKERAGE (ASIA) LTD 3,000
75 C00037 SHANGHAI COMMERCIAL BANK LTD 2,000
76 B01978 FOUNDER SECURITIES (HONG KONG) LTD 1,000
77 B02002 SEAZEN RESOURCES SECURITIES LTD 1,000
78 B01769 ONE CHINA SECURITIES LTD 925
79 C00093 BNP PARIBAS 500
80 C00074 DEUTSCHE BANK AG 200

Sign up for our free newsletter

Recommend Renavon to a friend

Copyright & disclaimer, Privacy policy

Back to top