Mansion International Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK GEM 08456  2018-01-26    
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 2025-08-15 129,082,440 105,761,464 116 97.6396 132,202,950 2025-08-15
2 2025-07-15 23,320,976 2,525,000 114 88.2014 26,440,590 2025-06-30
3 2025-03-26 20,795,976 -100 114 78.6517 26,440,590 2025-03-07
4 2025-03-25 20,796,076 -25 114 78.6521 26,440,590 2025-03-07
5 2025-03-10 20,796,101 -145,572,707 114 78.6522 26,440,590 2025-03-07
6 2025-02-13 166,368,808 1,100,000 116 78.6522 211,524,720 2025-01-31
7 2024-12-12 165,268,808 -1,200,000 117 78.1321 211,524,720 2024-11-30
8 2024-11-08 166,468,808 -2,440,000 117 78.6995 211,524,720 2024-10-31
9 2024-10-15 168,908,808 -9,240,000 117 79.8530 211,524,720 2024-09-30
10 2024-09-20 178,148,808 10,000,000 117 84.2213 211,524,720 2024-08-31
11 2024-07-24 168,148,808 -10,200,000 116 79.4937 211,524,720 2024-06-30
12 2024-07-18 178,348,808 -20,000,000 116 84.3158 211,524,720 2024-06-30
13 2023-12-19 198,348,808 -3,800,000 116 93.7710 211,524,720 2023-11-30
14 2023-10-04 202,148,808 -200 115 95.5675 211,524,720 2023-09-30
15 2023-07-27 202,149,008 -1,100,000 115 95.5676 211,524,720 2023-06-30
16 2023-06-30 203,249,008 -230,400 115 96.0876 211,524,720 2023-06-30
17 2023-04-03 203,479,408 -600 117 96.1965 211,524,720 2023-03-31
18 2023-02-20 203,480,008 -976,000 119 96.1968 211,524,720 2023-01-31
19 2022-09-16 204,456,008 9,416,000 121 96.6582 211,524,720 2022-08-31
20 2022-04-28 195,040,008 -400,000 124 92.2067 211,524,720 2022-03-31
21 2022-03-25 195,440,008 -2,800,000 127 92.3958 211,524,720 2022-02-28
22 2022-03-16 198,240,008 -9,416,000 125 93.7195 211,524,720 2022-02-28
23 2022-03-14 207,656,008 -1,922,952 126 98.1710 211,524,720 2022-02-28
24 2022-03-11 209,578,960 996,000 126 99.0801 211,524,720 2022-02-28
25 2022-03-03 208,582,960 -1,922,952 131 98.6093 211,524,720 2022-02-28
26 2022-02-08 210,505,912 158,641,740 130 99.5184 211,524,720 2022-02-08
27 2022-01-26 51,864,172 -996,000 127 98.0768 52,881,180 2021-12-31
28 2022-01-25 52,860,172 996,000 127 99.9603 52,881,180 2021-12-31
29 2022-01-04 51,864,172 -996,000 129 98.0768 52,881,180 2021-12-31
30 2021-11-26 52,860,172 480,738 127 99.9603 52,881,180 2021-10-31
31 2021-11-24 52,379,434 1,922,952 128 99.0512 52,881,180 2021-10-31
32 2021-11-22 50,456,482 -480,738 129 95.4148 52,881,180 2021-10-31
33 2021-11-12 50,937,220 961,476 131 96.3239 52,881,180 2021-10-31
34 2021-11-09 49,975,744 480,738 130 94.5057 52,881,180 2021-10-31
35 2021-11-08 49,495,006 961,476 131 93.5966 52,881,180 2021-10-31
36 2021-11-05 48,533,530 -480,738 132 91.7785 52,881,180 2021-10-31
37 2021-11-02 49,014,268 480,738 127 92.6875 52,881,180 2021-10-31
38 2021-11-01 48,533,530 480,738 127 91.7785 52,881,180 2021-10-31
39 2021-08-19 48,052,792 5,000 130 99.9563 48,073,800 2021-08-03
40 2021-08-13 48,047,792 2,000,000 130 99.9459 48,073,800 2021-08-03
41 2021-06-18 46,047,792 -874,908,058 123 99.9436 46,073,800 2021-06-17
42 2021-02-16 920,955,850 -4,000 130 99.9436 921,476,000 2021-01-31
43 2021-01-21 920,959,850 40,000 136 99.9440 921,476,000 2020-12-31
44 2021-01-14 920,919,850 -40,000 136 99.9396 921,476,000 2020-12-31
45 2021-01-08 920,959,850 40,000 137 99.9440 921,476,000 2020-12-31
46 2020-10-16 920,919,850 460,000,000 131 99.9396 921,476,000 2020-10-16
47 2020-08-18 460,919,850 200,000 108 99.8795 461,476,000 2020-07-31
48 2020-06-08 460,719,850 592,000 109 99.8361 461,476,000 2020-05-31
49 2020-05-19 460,127,850 200,000 109 99.7079 461,476,000 2020-04-30
50 2020-04-09 459,927,850 300,000,000 108 99.6645 461,476,000 2020-03-31
51 2020-03-25 159,927,850 3,992,000 105 34.6557 461,476,000 2020-02-29
52 2020-01-23 155,935,850 61,476,000 107 33.7907 461,476,000 2020-01-23
53 2019-12-17 94,459,850 -1,400,000 103 23.6150 400,000,000 2019-11-30
54 2019-12-11 95,859,850 -192,000 104 23.9650 400,000,000 2019-11-30
55 2019-12-10 96,051,850 -2,200,000 104 24.0130 400,000,000 2019-11-30
56 2019-11-28 98,251,850 12,000 105 24.5630 400,000,000 2019-10-31
57 2019-05-16 98,239,850 12,000 114 24.5600 400,000,000 2019-04-30
58 2018-12-05 98,227,850 40,000 117 24.5570 400,000,000 2018-11-30
59 2018-07-10 98,187,850 20,000 122 24.5470 400,000,000 2018-06-30
60 2018-02-22 98,167,850 40,000 135 24.5420 400,000,000 2018-01-31
61 2018-02-21 98,127,850 3,950 135 24.5320 400,000,000 2018-01-31
62 2018-02-20 98,123,900 20,000 137 24.5310 400,000,000 2018-01-31
63 2018-02-15 98,103,900 20,000 137 24.5260 400,000,000 2018-01-31
64 2018-02-13 98,083,900 -100 138 24.5210 400,000,000 2018-01-31
65 2018-02-07 98,084,000 20,000 143 24.5210 400,000,000 2018-01-31
66 2018-02-02 98,064,000 300,000 148 24.5160 400,000,000 2018-01-31
67 2018-02-01 97,764,000 400,000 142 24.4410 400,000,000 2018-01-31
68 2018-01-31 97,364,000 808,000 149 24.3410 400,000,000 2018-01-31
69 2018-01-30 96,556,000 896,000 149 24.1390 400,000,000 2018-01-26
70 2018-01-29 95,660,000 660,000 113 23.9150 400,000,000 2018-01-26
71 2018-01-26 95,000,000 113 23.7500 400,000,000 2018-01-26

Sign up for our free newsletter

Recommend Renavon to a friend

Copyright & disclaimer, Privacy policy

Back to top