Progressive Path Group Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 01581  2016-12-08    
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 2025-02-07 405,304,760 100,000 135 97.6638 415,000,000 2025-01-31
2 2023-05-24 405,204,760 -100,000 145 97.6397 415,000,000 2023-04-30
3 2023-04-20 405,304,760 -72,000 146 97.6638 415,000,000 2023-03-31
4 2022-09-29 405,376,760 4,000 147 97.6811 415,000,000 2022-09-23
5 2022-09-26 405,372,760 4,000 144 97.6802 415,000,000 2022-09-23
6 2022-09-23 405,368,760 207,494,000 145 97.6792 415,000,000 2022-09-23
7 2022-09-20 197,874,760 19,000 143 95.3613 207,500,000 2022-08-31
8 2022-08-31 197,855,760 -6,000 142 95.3522 207,500,000 2022-08-31
9 2022-08-30 197,861,760 -13,000 139 95.3551 207,500,000 2022-08-12
10 2022-08-29 197,874,760 106,000,000 140 95.3613 207,500,000 2022-08-12
11 2022-08-15 91,874,760 -367,499,040 143 44.2770 207,500,000 2022-08-12
12 2022-07-13 459,373,800 -20,000 145 44.2770 1,037,500,000 2022-06-30
13 2022-06-23 459,393,800 -365,000 148 44.2789 1,037,500,000 2022-05-31
14 2022-04-14 459,758,800 -5,000 150 44.3141 1,037,500,000 2022-03-31
15 2022-03-15 459,763,800 -47,505,000 149 44.3146 1,037,500,000 2022-02-28
16 2021-03-08 507,268,800 50,000 152 48.8934 1,037,500,000 2021-02-28
17 2020-12-07 507,218,800 5,000 146 48.8886 1,037,500,000 2020-11-30
18 2020-11-16 507,213,800 -5,000 146 48.8881 1,037,500,000 2020-10-31
19 2020-09-29 507,218,800 -5,000 148 48.8886 1,037,500,000 2020-08-31
20 2020-09-17 507,223,800 5,000 147 48.8890 1,037,500,000 2020-08-31
21 2020-07-08 507,218,800 40,000 148 48.8886 1,037,500,000 2020-06-30
22 2020-04-03 507,178,800 -150,000 150 48.8847 1,037,500,000 2020-03-31
23 2020-03-18 507,328,800 5,000 152 48.8992 1,037,500,000 2020-02-29
24 2018-12-27 507,323,800 -50,000 159 48.8987 1,037,500,000 2018-11-30
25 2018-04-25 507,373,800 5,000 171 48.9035 1,037,500,000 2018-03-31
26 2018-04-17 507,368,800 -5,000 173 48.9030 1,037,500,000 2018-03-31
27 2018-04-11 507,373,800 5,000 173 48.9035 1,037,500,000 2018-03-31
28 2018-04-09 507,368,800 -40,000 174 48.9030 1,037,500,000 2018-03-31
29 2018-03-02 507,408,800 10,000 170 48.9069 1,037,500,000 2018-02-28
30 2017-10-12 507,398,800 -15,000 189 48.9059 1,037,500,000 2017-09-30
31 2017-08-16 507,413,800 220,000,000 182 48.9074 1,037,500,000 2017-07-31
32 2017-08-11 287,413,800 -1,200 184 27.7025 1,037,500,000 2017-07-31
33 2017-07-26 287,415,000 10,000 186 27.7027 1,037,500,000 2017-06-30
34 2017-07-18 287,405,000 -10,000 187 27.7017 1,037,500,000 2017-06-30
35 2017-04-11 287,415,000 15,000 190 27.7027 1,037,500,000 2017-03-31
36 2017-01-13 287,400,000 5,000 202 27.7012 1,037,500,000 2017-01-04
37 2016-12-28 287,395,000 10,000 203 28.7395 1,000,000,000 2016-12-08
38 2016-12-22 287,385,000 -5,000 202 28.7385 1,000,000,000 2016-12-08
39 2016-12-21 287,390,000 5,000 204 28.7390 1,000,000,000 2016-12-08
40 2016-12-20 287,385,000 15,000 196 28.7385 1,000,000,000 2016-12-08
41 2016-12-19 287,370,000 25,000 213 28.7370 1,000,000,000 2016-12-08
42 2016-12-16 287,345,000 25,000 211 28.7345 1,000,000,000 2016-12-08
43 2016-12-15 287,320,000 35,000 218 28.7320 1,000,000,000 2016-12-08
44 2016-12-14 287,285,000 45,000 214 28.7285 1,000,000,000 2016-12-08
45 2016-12-13 287,240,000 55,000 215 28.7240 1,000,000,000 2016-12-08
46 2016-12-12 287,185,000 1,005,000 228 28.7185 1,000,000,000 2016-12-08
47 2016-12-09 286,180,000 540,000 155 28.6180 1,000,000,000 2016-12-08
48 2016-12-08 285,640,000 158 28.5640 1,000,000,000 2016-12-08

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