List of DI notices on interests in shares of associated corporation filed by directors within a specified period - Current Securities
 
Stock code: 00011
Name of listed corporation: Hang Seng Bank Ltd.
Name of director: WONG TUNG SHUN PETER
Date (dd/mm/yyyy): 17/12/2008 - 17/12/2018
 
Please click the links under the column "Date of relevant event" to view the details of the DI notices.
*Notes: (L) - Long Position, (S) - Short Position, (P) - Lending Pool
 
View only notices of an associated corporation
 
Form Serial NumberName of associated corporationNo. of shares of the associated corporation bought / sold / involvedReason for disclosureAverage price per shareNo. of shares interested (See *Notes above)% of issued voting sharesDate of relevant event (dd/mm/yyyy)
DB20181126E00003HSBC Holdings plc308(L)
1102(L)
USD 8.24303,119,564(L)
0.02(L)
21/11/2018
DB20181126E00002HSBC Holdings plc13,107(L)
1102(L)
GBP 6.54973,119,256(L)
0.02(L)
21/11/2018
DB20181126E00001HSBC Holdings plc7,241(L)
1102(L)
USD 8.24303,106,149(L)
0.02(L)
21/11/2018
DB20181003E00100HSBC Holdings plc280(L)
1102(L)
USD 8.97163,098,908(L)
0.02(L)
27/09/2018
DB20181003E00099HSBC Holdings plc13,954(L)
1102(L)
GBP 6.78343,098,628(L)
0.02(L)
27/09/2018
DB20181003E00098HSBC Holdings plc6,578(L)
1102(L)
USD 8.97163,084,674(L)
0.02(L)
27/09/2018
DB20180710E00276HSBC Holdings plc252(L)
1102(L)
USD 9.84613,078,096(L)
0.02(L)
05/07/2018
DB20180710E00275HSBC Holdings plc13,232(L)
1102(L)
GBP 7.00093,077,844(L)
0.02(L)
05/07/2018
DB20180710E00274HSBC Holdings plc5,934(L)
1102(L)
USD 9.84613,064,612(L)
0.02(L)
05/07/2018
DB20180411E00305HSBC Holdings plc11,222(L)
1102(L)
USD 10.01773,058,678(L)
0.01(L)
06/04/2018
DB20180411E00304HSBC Holdings plc511(L)
1102(L)
USD 10.01773,047,456(L)
0.01(L)
06/04/2018
DB20180411E00303HSBC Holdings plc18,358(L)
1102(L)
GBP 6.66623,046,945(L)
0.01(L)
06/04/2018
DB20180411E00302HSBC Holdings plc9,130(L)
1102(L)
USD 10.01773,028,587(L)
0.01(L)
06/04/2018
DB20180319E00062HSBC Holdings plc5,863(L)
1201(L)
GBP 6.93213,019,457(L)
0.01(L)
14/03/2018
DB20180319E00061HSBC Holdings plc803(L)
1102(L)
USD 10.01773,025,320(L)
0.01(L)
14/03/2018
DB20180316E00176HSBC Holdings plc2,113(L)
1102(L)
USD 10.01773,032,253(L)
0.01(L)
13/03/2018
DB20180316E00175HSBC Holdings plc7,736(L)
1201(L)
GBP 7.00743,024,517(L)
0.01(L)
13/03/2018
DB20180315E00189HSBC Holdings plc10,258(L)
1102(L)
USD 10.01773,077,451(L)
0.02(L)
12/03/2018
DB20180315E00188HSBC Holdings plc47,311(L)
1201(L)
GBP 7.05923,030,140(L)
0.01(L)
12/03/2018
DB20180301E00239HSBC Holdings plc179,627(L)
1102(L)
GBP 0.00003,077,031(L)
0.02(L)
26/02/2018
DB20180301E00238HSBC Holdings plc9,838(L)
1201(L)
GBP 7.21463,067,193(L)
0.02(L)
26/02/2018
DB20171127E00208HSBC Holdings plc246(L)
1102(L)
USD 9.80002,897,404(L)
0.01(L)
22/11/2017
DB20171127E00207HSBC Holdings plc8,467(L)
1102(L)
GBP 7.40372,897,158(L)
0.01(L)
22/11/2017
DB20171127E00206HSBC Holdings plc10,744(L)
1102(L)
USD 9.80002,888,691(L)
0.01(L)
22/11/2017
DB20170925E00048HSBC Holdings plc10,460(L)
1102(L)
USD 9.96802,864,863(L)
0.01(L)
20/09/2017
DB20170925E00047HSBC Holdings plc12,845(L)
1102(L)
GBP 7.24012,877,708(L)
0.01(L)
20/09/2017
DB20170925E00046HSBC Holdings plc239(L)
1102(L)
USD 9.96802,877,947(L)
0.01(L)
20/09/2017
DB20170919E00002HSBC Holdings plc72,871(L)
1201(L)
GBP 7.26932,854,403(L)
0.01(L)
14/09/2017
DB20170918E00001HSBC Holdings plc59,336(L)
1201(L)
GBP 7.31762,927,274(L)
0.01(L)
13/09/2017
DB20170914E00079HSBC Holdings plc27,696(L)
1201(L)
GBP 7.33032,986,610(L)
0.01(L)
11/09/2017
DB20170817E00002HSBC Holdings plc500,000(L)
1201(L)
HKD 75.26953,014,306(L)
0.02(L)
14/08/2017
DB20170710E00044HSBC Holdings plc11,832(L)
1102(L)
USD 8.65003,514,306(L)
0.02(L)
05/07/2017
DB20170710E00043HSBC Holdings plc273(L)
1102(L)
USD 8.65003,502,474(L)
0.02(L)
05/07/2017
DB20170710E00042HSBC Holdings plc13,096(L)
1102(L)
GBP 7.29173,502,201(L)
0.02(L)
05/07/2017
DB20170710E00041HSBC Holdings plc11,916(L)
1102(L)
USD 8.65003,489,105(L)
0.02(L)
05/07/2017
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