GOLDBOND GROUP HOLDINGS LIMITED: O HKD

Exchange Code Listed Last trade Delisted
HK Main 00172  1972-09-01  2019-06-27  2021-08-02
Stock code:

Buybacks

In the daily list, click on the date to see CCASS movements on the settlement date.

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Row Date Number Value Curr. Av.
price
Out-
standing
at Date Stake %
1 2012-03-08 230,000 98,800 HKD 0.430 2,277,075,534 2012-02-29 0.010
2 2012-03-07 1,610,000 671,150 HKD 0.417 2,277,075,534 2012-02-29 0.071
3 2012-03-05 1,300,000 555,300 HKD 0.427 2,277,075,534 2012-02-29 0.057
4 2012-03-02 1,100,000 475,500 HKD 0.432 2,277,075,534 2012-02-29 0.048
5 2012-03-01 3,350,000 1,425,650 HKD 0.426 2,277,075,534 2012-02-29 0.147
6 2012-02-28 750,000 315,000 HKD 0.420 2,277,075,534 2012-01-31 0.033
7 2012-02-27 540,000 223,900 HKD 0.415 2,277,075,534 2012-01-31 0.024
8 2012-02-20 1,070,000 401,250 HKD 0.375 2,277,075,534 2012-01-31 0.047
9 2012-02-17 2,000,000 737,500 HKD 0.369 2,277,075,534 2012-01-31 0.088
10 2012-02-16 720,000 262,800 HKD 0.365 2,277,075,534 2012-01-31 0.032
11 2012-02-15 740,000 265,700 HKD 0.359 2,277,075,534 2012-01-31 0.032
12 2012-02-13 800,000 283,750 HKD 0.355 2,277,075,534 2012-01-31 0.035
13 2012-02-09 1,340,000 462,200 HKD 0.345 2,277,075,534 2012-01-31 0.059
Total 15,550,000 6,178,500 HKD 0.397 2,277,075,534 2012-01-31 0.683

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