Xinming China Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
SEHK main board 2974  2025-06-25  2025-07-03  2025-07-04
SEHK main board 2699  2015-07-06    
Stock code:

CCASS holdings on 2021-06-04

Row CCASS
ID
Participant Holding Stake %
1 B01813 CCB INTERNATIONAL SECURITIES LTD 752,137,800
2 B01086 EVERBRIGHT SECURITIES INVESTMENT 191,092,000
3 C00074 DEUTSCHE BANK AG 174,432,000
4 C00033 BANK OF CHINA (HONG KONG) LTD 85,876,000
5 C00010 CITIBANK N.A. 78,388,000
6 B01962 CHINA SECURITIES (INTERNATIONAL) 51,543,948
7 C00019 THE HONGKONG AND SHANGHAI BANKING 50,590,000
8 B01386 SBI CHINA CAPITAL FINANCIAL SERVICES LTD 29,416,000
9 B01826 GF SECURITIES (HONG KONG) BROKERAGE LTD 21,664,000
10 B01929 CHINA GALAXY INTERNATIONAL SECURITIES 21,500,000
11 B01130 BOCI SECURITIES LTD 12,650,000
12 B01668 BRIGHT SMART SECURITIES INTERNATIONAL 11,970,000
13 B01565 GUOTAI JUNAN SECURITIES (HONG KONG) LTD 9,034,000
14 C00002 BANK OF COMMUNICATIONS TRUSTEE LTD 8,774,000
15 B01955 FUTU SECURITIES INTERNATIONAL 8,084,000
16 B01901 CMB INTERNATIONAL SECURITIES LTD 7,812,000
17 B01890 GUOSEN SECURITIES (HK) BROKERAGE CO LTD 6,656,000
18 B01885 HAFOO SECURITIES LTD 6,580,000
19 B01284 HANG SENG SECURITIES LTD 6,436,000
20 B01551 YUE XIU SECURITIES CO LTD 5,910,000
21 C00039 STANDARD CHARTERED BANK (HONG KONG) LTD 5,812,000
22 B01272 FB SECURITIES (HONG KONG) LTD 5,000,000
23 B01610 KGI ASIA LTD 4,998,000
24 C00093 BNP PARIBAS 4,948,000
25 B01143 HAITONG INTERNATIONAL SECURITIES CO LTD 4,402,000
26 B01494 AUDREY CHOW SECURITIES LTD 4,000,000
27 B01183 CHONG HING SECURITIES LTD 3,982,000
28 B01769 ONE CHINA SECURITIES LTD 3,958,052
29 B01497 SINOPAC SECURITIES (ASIA) LTD 3,948,000
30 C00003 THE BANK OF EAST ASIA LTD 3,216,000
31 B01224 MERRILL LYNCH FAR EAST LTD 3,212,000
32 B02141 XIN YONGAN INTERNATIONAL SECURITIES 3,130,000
33 B01265 OCBC SECURITIES BROKERAGE (HK) LTD 3,096,000
34 B01274 MORGAN STANLEY HONG KONG SECURITIES LTD 3,094,000
35 B01818 I-ACCESS INVESTORS LTD 3,062,000
36 C00048 CHIYU BANKING CORPORATION LTD 2,936,000
37 B01584 CHIEF SECURITIES LTD 2,896,000
38 C00037 SHANGHAI COMMERCIAL BANK LTD 2,878,000
39 C00100 JPMORGAN CHASE BANK, NATIONAL 1,894,000
40 C00028 NANYANG COMMERCIAL BANK LTD 1,642,000
41 B01118 EAST ASIA SECURITIES CO LTD 1,572,000
42 B01695 DAH SING SECURITIES LTD 1,568,000
43 B01904 VALUABLE CAPITAL LTD 1,544,000
44 B01666 GLORY SUN SECURITIES LTD 1,320,000
45 B01727 ICBC (ASIA) SECURITIES LTD 1,084,000
46 B01338 EMPEROR SECURITIES LTD 1,000,000
47 B01700 REALINK FINANCIAL TRADE LTD 974,000
48 B01184 QUAM SECURITIES LTD 892,000
49 B01298 GET NICE SECURITIES LTD 860,000
50 B01228 CITIC SECURITIES BROKERAGE (HK) LTD 768,000
51 B02132 BOOM SECURITIES (H.K.) LTD 766,000
52 B02159 USMART SECURITIES LTD 740,000
53 B01673 FULBRIGHT SECURITIES LTD 680,000
54 B01556 LUK FOOK SECURITIES (HK) LTD 660,000
55 B02094 ADVENT SECURITIES (HONG KONG) LTD 630,000
56 B01343 CELETIO INVESTMENTS LTD 600,000
57 B01590 INTERACTIVE BROKERS HONG KONG LTD 580,000
58 B01829 HUATAI FINANCIAL HOLDINGS (HONG KONG) 570,000
59 B01290 SPS SECURITIES LTD 550,000
60 C00042 CMB WING LUNG BANK LTD 518,000
61 B01581 KINGSWAY FINANCIAL SERVICES GROUP LTD 470,000
62 B01905 SDICS INTERNATIONAL SECURITIES (HONG 464,000
63 B01169 PUBLIC FINANCIAL SECURITIES LTD 454,000
64 B01649 CINDA INTERNATIONAL SECURITIES LTD 450,000
65 B01511 TAT LEE SECURITIES CO LTD 438,000
66 C00036 CHINA CONSTRUCTION BANK (ASIA) 430,000
67 B01345 PHILLIP SECURITIES (HONG KONG) LTD 422,000
68 B01623 TAI FUNG KUENTAI SECURITIES CO LTD 400,000
69 B01413 CORE PACIFIC - YAMAICHI INTERNATIONAL 360,000
70 B01356 DELTA ASIA SECURITIES LTD 300,000
71 B01089 HSBC BROKING SECURITIES (HONG KONG) LTD 300,000
72 C00015 DBS BANK (HONG KONG) LTD 296,000
73 B01947 FUBON SECURITIES (HONG KONG) LTD 212,000
74 B01756 CHINA SKY SECURITIES LTD 200,000
75 B01809 CHINA SYSTEM SECURITIES LTD 200,000
76 B01373 CHRISTFUND SECURITIES LTD 200,000
77 B01606 EWARTON SECURITIES LTD 200,000
78 B02028 SORRENTO SECURITIES LTD 200,000
79 B01347 CGS INTERNATIONAL SECURITIES HK LTD 180,000
80 B01213 MONEYMORE SECURITIES LTD 160,000
81 B01407 WIN WONG SECURITIES LTD 150,000
82 B01563 XINKONG INTERNATIONAL SECURITIES LTD 148,000
83 B01915 METAVERSE SECURITIES LTD 136,000
84 C00088 CHINA MERCHANTS BANK CO LTD 128,000
85 B01771 CVP SECURITIES LTD (IN LIQUIDATION) 100,000
86 B01696 HANTEC SECURITIES CO LTD 100,000
87 B01585 SINO GRADE SECURITIES LTD 100,000
88 B01741 SINOMAX SECURITIES LTD 100,000
89 B01144 TAK FUNG SHARES INVESTMENT CO LTD 100,000
90 B01425 WELLFULL SECURITIES CO LTD 100,000
91 B02047 EDDID SECURITIES AND FUTURES LTD 76,000
92 B01843 TELECOM KING SECURITIES LTD 66,000
93 B01115 SHENWAN HONGYUAN SECURITIES (H.K.) LTD 64,000
94 B01940 SOFI SECURITIES (HONG KONG) LTD 64,000
95 B02102 ZINVEST GLOBAL LTD 64,000
96 B01267 WINFULL SECURITIES LTD 60,000
97 B01148 CHINA MERCHANTS SECURITIES (HK) CO LTD 52,000
98 B02052 SUNHIGH FINANCIAL HOLDINGS LTD 40,000
99 B01217 TAIPING SECURITIES (HK) CO LTD 40,000
100 B01353 UOB KAY HIAN (HONG KONG) LTD 38,000
101 B01439 TAI TAK SECURITIES (ASIA) LTD 30,000
102 B01459 IFAST SECURITIES (HK) LTD 28,000
103 B01923 RUISEN PORT SECURITIES LTD 22,000
104 B01119 CELESTIAL SECURITIES LTD 20,000
105 B01615 KAM FAI SECURITIES CO LTD 20,000
106 B01749 TANG KEE SECURITIES LTD 20,000
107 B01814 WELL LINK SECURITIES LTD 18,000
108 C00041 OCBC BANK (HONG KONG) LTD 14,000
109 B01986 HUAJIN SECURITIES (INTERNATIONAL) LTD 10,000
110 B01209 MASON SECURITIES LTD 10,000
111 B01252 CORPORATE BROKERS LTD 6,000
112 B01875 GUODU SECURITIES (HONG KONG) LTD 6,000
113 B01789 HO FUNG SHARES INVESTMENT LTD 6,000
114 B02120 LIVERMORE HOLDINGS LTD 6,000
115 B01777 DAIWA CAPITAL MARKETS HONG KONG LTD 4,000
116 B01900 ORIENT SECURITIES (HONG KONG) LTD 4,000
117 C00018 HANG SENG BANK LTD 2,000
118 B02075 INNOVAX SECURITIES LTD 2,000
119 B01715 PRESIDENT SECURITIES (HONG KONG) LTD 2,000

Powered by Renavon Data — Hong Kong financial data services, built on Webb-site.com datasets (CC-BY 4.0)


Sign up for our free newsletter

Recommend Renavon Hong Kong to a friend

Copyright & disclaimer, Privacy policy

Back to top