Nanfang Communication Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 01617  2016-12-12    
Stock code:

Table rows with no holding change: include exclude

Total holdings in CCASS

Row Holding
date
Holding Change Holders Stake
%
Issued
shares
As at date
1 2023-08-14 1,474,635,390 24,000 131 90.6776 1,626,240,000 2023-07-31
2 2023-06-26 1,474,611,390 -24,000 133 90.6761 1,626,240,000 2023-05-31
3 2023-06-12 1,474,635,390 -8,000 133 90.6776 1,626,240,000 2023-05-31
4 2023-02-09 1,474,643,390 -32,000 136 90.6781 1,626,240,000 2023-01-31
5 2022-09-21 1,474,675,390 -3,656,000 136 90.6801 1,626,240,000 2022-08-31
6 2022-03-24 1,478,331,390 4,000 143 99.9954 1,478,400,000 2022-02-28
7 2022-02-08 1,478,327,390 100,000 144 99.9951 1,478,400,000 2022-01-31
8 2022-01-11 1,478,227,390 -100,000 147 99.9883 1,478,400,000 2021-12-31
9 2021-12-15 1,478,327,390 246,400,000 142 99.9951 1,478,400,000 2021-12-13
10 2021-12-09 1,231,927,390 22,400,000 141 99.9941 1,232,000,000 2021-11-30
11 2021-11-02 1,209,527,390 44,800,000 143 98.1759 1,232,000,000 2021-10-31
12 2021-09-03 1,164,727,390 11,200,000 144 94.5396 1,232,000,000 2021-08-31
13 2021-08-12 1,153,527,390 11,200,000 139 93.6305 1,232,000,000 2021-07-31
14 2021-07-12 1,142,327,390 11,200,000 138 92.7214 1,232,000,000 2021-06-30
15 2021-06-22 1,131,127,390 11,200,000 139 91.8123 1,232,000,000 2021-06-11
16 2021-03-22 1,119,927,390 140,000 148 99.9935 1,120,000,000 2021-02-28
17 2020-09-17 1,119,787,390 4,000 66 99.9810 1,120,000,000 2020-08-31
18 2019-11-29 1,119,783,390 55,716,000 66 99.9807 1,120,000,000 2019-10-31
19 2019-11-15 1,064,067,390 -55,716,000 64 95.0060 1,120,000,000 2019-10-31
20 2019-11-11 1,119,783,390 4,000 64 99.9807 1,120,000,000 2019-10-31
21 2019-11-08 1,119,779,390 -140,000 64 99.9803 1,120,000,000 2019-10-31
22 2019-08-07 1,119,919,390 272,000 69 99.9928 1,120,000,000 2019-07-31
23 2018-12-03 1,119,647,390 40,000 73 99.9685 1,120,000,000 2018-11-30
24 2018-09-10 1,119,607,390 8,000 78 99.9649 1,120,000,000 2018-08-31
25 2018-07-24 1,119,599,390 -272,000 78 99.9642 1,120,000,000 2018-06-30
26 2018-02-27 1,119,871,390 -10 86 99.9885 1,120,000,000 2018-01-31
27 2017-10-18 1,119,871,400 3,600 102 99.9885 1,120,000,000 2017-09-30
28 2017-07-26 1,119,867,800 -4,000 135 99.9882 1,120,000,000 2017-06-30
29 2017-07-21 1,119,871,800 4,000 138 99.9886 1,120,000,000 2017-06-30
30 2017-07-07 1,119,867,800 840,000,000 134 99.9882 1,120,000,000 2017-06-30
31 2017-06-22 279,867,800 -840,000,000 138 24.9882 1,120,000,000 2017-05-31
32 2017-06-21 1,119,867,800 840,000,000 138 99.9882 1,120,000,000 2017-05-31
33 2017-06-09 279,867,800 -200 137 24.9882 1,120,000,000 2017-05-31
34 2017-05-23 279,868,000 4,000 146 24.9882 1,120,000,000 2017-04-30
35 2017-05-02 279,864,000 4,000 144 24.9879 1,120,000,000 2017-04-30
36 2017-03-09 279,860,000 4,000 143 24.9875 1,120,000,000 2017-02-28
37 2017-03-01 279,856,000 4,000 143 24.9871 1,120,000,000 2017-02-28
38 2017-02-23 279,852,000 -40,000 130 24.9868 1,120,000,000 2017-01-31
39 2017-02-06 279,892,000 4,000 129 24.9904 1,120,000,000 2017-01-31
40 2017-02-02 279,888,000 -840,000,000 130 24.9900 1,120,000,000 2017-01-31
41 2017-02-01 1,119,888,000 840,000,000 131 99.9900 1,120,000,000 2017-01-31
42 2017-01-18 279,888,000 -4,000 138 24.9900 1,120,000,000 2016-12-31
43 2016-12-28 279,892,000 4,000 126 24.9904 1,120,000,000 2016-12-12
44 2016-12-22 279,888,000 -4,000 140 24.9900 1,120,000,000 2016-12-12
45 2016-12-21 279,892,000 12,000 138 24.9904 1,120,000,000 2016-12-12
46 2016-12-20 279,880,000 16,000 137 24.9893 1,120,000,000 2016-12-12
47 2016-12-19 279,864,000 8,000 131 24.9879 1,120,000,000 2016-12-12
48 2016-12-16 279,856,000 8,000 135 24.9871 1,120,000,000 2016-12-12
49 2016-12-15 279,848,000 12,000 131 24.9864 1,120,000,000 2016-12-12
50 2016-12-14 279,836,000 80,000 127 24.9854 1,120,000,000 2016-12-12
51 2016-12-13 279,756,000 52,000 126 24.9782 1,120,000,000 2016-12-12
52 2016-12-12 279,704,000 125 24.9736 1,120,000,000 2016-12-12

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