SUNFONDA GROUP HOLDINGS LIMITED: O HKD

Exchange Code Listed Last trade Delisted
HK Main 01771  2014-05-15    
Stock code:

Adjust for splits and bonus issues: Yes No

Use price on: trading date holding/settlement date

Show: chart & table chart only table only

Table rows with no holding change: include exclude

Holdings of unnamed Investor Participants

Click here to see all issues held by investor participants.

Data table

Prices, holdings and issued shares are adjusted for splits and bonus issues.

Using prices on the last related trading date, which is 2 trading days before settlement.

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Row Holding
date
Holding Change Stake
%
Hold
-ers
Issued
shares
Holding
Value
Price @
trade
date
Trade
date
1 2025-10-14 0.315 2025-10-10
2 2025-10-13 0.315 2025-10-09
3 2024-09-10 434,239,000 -6,000 72.37 6 600,000,000 147,641,260 0.340 2024-09-05
4 2024-06-13 434,245,000 6,000 72.37 7 600,000,000 264,889,450 0.610 2024-06-11
5 2024-01-09 434,239,000 434,183,000 72.37 6 600,000,000 251,858,620 0.580 2024-01-05
6 2023-05-23 56,000 1,120 0.01 5 600,000,000 59,429 1.061 2023-05-19
7 2022-09-14 54,880 1,568 0.01 5 588,000,000 84,165 1.534 2022-09-09
8 2022-06-24 53,312 2,437 0.01 5 571,200,000 102,695 1.926 2022-06-22
9 2022-06-20 50,875 9,085 0.01 5 545,088,000 100,240 1.970 2022-06-16
10 2022-03-07 41,790 9,085 0.01 4 545,088,000 87,400 2.091 2022-03-03
11 2022-01-18 32,705 -11,811 0.01 3 545,088,000 79,199 2.422 2022-01-14
12 2021-09-02 44,516 813 0.01 4 545,088,000 139,752 3.139 2021-08-31
13 2021-08-24 43,703 2,676 0.01 4 535,141,139 145,529 3.330 2021-08-20
14 2021-07-14 41,027 -10,703 0.01 3 535,141,139 120,979 2.949 2021-07-12
15 2021-07-13 51,730 -19,622 0.01 4 535,141,139 144,419 2.792 2021-07-09
16 2021-05-28 71,352 2,503 0.01 6 535,141,139 187,374 2.626 2021-05-26
17 2021-05-18 68,849 -6,024 0.01 6 516,364,257 156,001 2.266 2021-05-14
18 2021-04-22 74,873 6,024 0.01 7 516,364,257 165,300 2.208 2021-04-20
19 2021-03-05 68,849 -43,030 0.01 7 516,364,257 159,201 2.312 2021-03-03
20 2021-02-25 111,879 -68,848 0.02 7 516,364,257 214,500 1.917 2021-02-23
21 2021-02-22 180,727 -86,061 0.03 7 516,364,257 287,699 1.592 2021-02-18
22 2020-11-24 266,788 -51,637 0.05 7 516,364,257 418,500 1.569 2020-11-20
23 2020-11-23 318,425 -86,060 0.06 7 516,364,257 418,100 1.313 2020-11-19
24 2020-11-20 404,485 -68,849 0.08 7 516,364,257 507,600 1.255 2020-11-18
25 2020-11-19 473,334 11,188 0.09 7 516,364,257 577,500 1.220 2020-11-17
26 2020-06-10 462,146 87,710 0.09 6 516,364,257 537,934 1.164 2020-06-08
27 2020-05-29 374,436 98,145 0.08 5 494,849,079 440,380 1.176 2020-05-27
28 2020-05-07 276,291 28,866 0.06 4 494,849,079 321,600 1.164 2020-05-05
29 2019-06-11 247,425 13,968 0.05 4 494,849,079 387,898 1.568 2019-06-06
30 2019-06-03 233,457 67,703 0.05 4 466,914,051 375,000 1.606 2019-05-30
31 2019-04-04 165,754 77,819 0.04 3 466,914,051 221,519 1.336 2019-04-02
32 2019-03-27 87,935 -1,312,029 0.02 3 466,914,051 125,429 1.426 2019-03-25
33 2019-03-06 1,399,964 300,381 0.30 4 466,914,051 2,176,790 1.555 2019-03-04
34 2019-03-05 1,099,583 694,924 0.24 4 466,914,051 1,709,731 1.555 2019-03-01
35 2019-03-01 404,659 316,724 0.09 4 466,914,051 608,400 1.503 2019-02-27
36 2018-12-14 87,935 62,255 0.02 3 466,914,051 110,739 1.259 2018-12-12
37 2018-08-07 25,680 24,902 0.01 2 466,914,051 30,360 1.182 2018-08-03
38 2018-05-25 778 51 0.00 1 466,914,051 1,445 1.858 2018-05-23
39 2017-12-08 727 -726 0.00 1 436,015,327 1,421 1.954 2017-12-06
40 2017-09-19 1,453 726 0.00 2 436,015,327 3,359 2.312 2017-09-15
41 2017-06-02 727 9 0.00 1 436,015,327 1,983 2.728 2017-05-31
42 2015-11-23 718 -5,748 0.00 1 431,096,179 2,478 3.452 2015-11-19
43 2015-06-17 6,466 -1,437 0.00 3 431,096,179 24,928 3.855 2015-06-15
44 2015-06-04 7,903 173 0.00 4 431,096,179 32,389 4.098 2015-06-02
45 2014-05-19 7,730 0.00 4 421,633,093 42,680 5.521 2014-05-15

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