Huisen Shares Group Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 02127  2020-12-29    
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 2025-07-10 2,901,571,950 -30,000 153 75.7807 3,828,908,000 2025-06-30
2 2025-05-15 2,901,601,950 38,000 151 78.7856 3,682,908,000 2025-04-30
3 2024-10-21 2,901,563,950 -200,000,000 157 78.7846 3,682,908,000 2024-09-30
4 2024-10-04 3,101,563,950 200,000,000 157 84.2151 3,682,908,000 2024-09-30
5 2024-07-09 2,901,563,950 30,000 161 78.7846 3,682,908,000 2024-06-30
6 2024-07-04 2,901,533,950 400,000,000 161 78.7838 3,682,908,000 2024-06-30
7 2024-06-21 2,501,533,950 300,000,000 160 67.9228 3,682,908,000 2024-05-31
8 2024-06-18 2,201,533,950 300,000,000 158 59.7771 3,682,908,000 2024-05-31
9 2024-03-04 1,901,533,950 306,908,000 158 51.6313 3,682,908,000 2024-03-04
10 2024-02-01 1,594,625,950 306,910,000 157 47.2342 3,376,000,000 2024-02-01
11 2023-04-13 1,287,715,950 -30,000 170 41.9576 3,069,090,000 2023-03-31
12 2023-01-18 1,287,745,950 2,000 168 41.9586 3,069,090,000 2022-12-31
13 2022-11-23 1,287,743,950 22,000,000 166 41.9585 3,069,090,000 2022-10-31
14 2022-10-31 1,265,743,950 -2,000,000 164 41.2417 3,069,090,000 2022-10-31
15 2022-10-28 1,267,743,950 -20,000,000 164 41.3068 3,069,090,000 2022-09-30
16 2022-07-28 1,287,743,950 2,000 158 41.9585 3,069,090,000 2022-06-30
17 2022-07-25 1,287,741,950 108,000 161 41.9584 3,069,090,000 2022-06-30
18 2022-06-14 1,287,633,950 13,476,000 164 41.9549 3,069,090,000 2022-05-31
19 2022-06-08 1,274,157,950 5,660,000 161 41.5158 3,069,090,000 2022-05-31
20 2022-06-07 1,268,497,950 -108,000 163 41.3314 3,069,090,000 2022-05-31
21 2022-04-21 1,268,605,950 -2,338,000 167 41.3349 3,069,090,000 2022-03-31
22 2022-04-20 1,270,943,950 -3,734,000 169 41.4111 3,069,090,000 2022-03-31
23 2022-04-19 1,274,677,950 -7,404,000 166 41.5328 3,069,090,000 2022-03-31
24 2022-04-04 1,282,081,950 -5,660,000 162 41.7740 3,069,090,000 2022-03-31
25 2022-03-03 1,287,741,950 -18,000 166 41.9584 3,069,090,000 2022-02-28
26 2022-02-11 1,287,759,950 7,364,000 164 41.9590 3,069,090,000 2022-01-31
27 2021-12-10 1,280,395,950 4,500,000 156 41.7191 3,069,090,000 2021-11-30
28 2021-12-06 1,275,895,950 -7,364,000 151 41.5725 3,069,090,000 2021-11-30
29 2021-11-22 1,283,259,950 -4,500,000 151 41.8124 3,069,090,000 2021-10-31
30 2021-09-20 1,287,759,950 300,000,000 162 41.9590 3,069,090,000 2021-08-31
31 2021-09-17 987,759,950 -18,000 153 32.1841 3,069,090,000 2021-08-31
32 2021-07-23 987,777,950 -22,000 163 32.1847 3,069,090,000 2021-06-30
33 2021-06-21 987,799,950 -20,000 144 32.1854 3,069,090,000 2021-05-31
34 2021-06-04 987,819,950 2,000 161 32.1861 3,069,090,000 2021-05-31
35 2021-05-25 987,817,950 56,250,000 169 32.1860 3,069,090,000 2021-04-30
36 2021-05-17 931,567,950 -10,000 176 30.3532 3,069,090,000 2021-04-30
37 2021-04-19 931,577,950 69,090,000 177 30.3536 3,069,090,000 2021-03-31
38 2021-03-08 862,487,950 -2,000 177 28.1024 3,069,090,000 2021-02-28
39 2021-02-08 862,489,950 2,000 186 28.1025 3,069,090,000 2021-01-31
40 2021-02-03 862,487,950 4,000 182 28.1024 3,069,090,000 2021-01-31
41 2021-01-26 862,483,950 2,000 188 28.1023 3,069,090,000 2021-01-20
42 2021-01-25 862,481,950 2,000 182 28.1022 3,069,090,000 2021-01-20
43 2021-01-22 862,479,950 2,000 185 28.1021 3,069,090,000 2021-01-20
44 2021-01-06 862,477,950 3,950 205 28.7493 3,000,000,000 2020-12-31
45 2021-01-05 862,474,000 2,000 213 28.7491 3,000,000,000 2020-12-31
46 2020-12-31 862,472,000 6,000 203 28.7491 3,000,000,000 2020-12-31
47 2020-12-29 862,466,000 203 28.7489 3,000,000,000 2020-12-29

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