在指明期間內所有披露權益通知
 
股份代號: 08199
上市法團名稱: 山東威高集團醫用高分子製品股份有限公司 - H股
日期 (日/月/年): 24/09/2007 - 24/09/2017
 
如欲觀看披露權益通知之內容, 請於「有關事件的日期」欄按下有關連結。
*註解:(L) - 好倉, (S) - 淡倉, (P)- 可供借出的股份

表格序號大股東/董事/最高行政人員名稱作出披露的原因 買入/賣出或涉及的股份數目每股的平均價持有權益的股份數目(請參閱上述*註解)佔巳發行股本之百分比(%)有關事件的日期 (日/月/年)相關法團股份權益債權證權益
CS20110509000180JPMorgan Chase & Co.104(L)
2,784,000(L)
 202,156,662(L)
0(S)
199,380,662(P)
10.73(L)
0.00(S)
10.58(P)
05/05/2011  
CS20100503000143JPMorgan Chase & Co.116(L)
152,000(L)
 47,136,451(L)
0(S)
46,788,451(P)
11.01(L)
0.00(S)
10.93(P)
29/04/2010  
CS20100414000095JPMorgan Chase & Co.103(L)
120,000(L)
HKD 32.94047,086,451(L)
200,000(S)
45,026,451(P)
10.99(L)
0.05(S)
10.52(P)
09/04/2010  
CS20100407000116JPMorgan Chase & Co.116(L)
120,000(L)
 47,137,656(L)
200,000(S)
44,909,656(P)
11.01(L)
0.05(S)
10.49(P)
30/03/2010  
CS20100319000171JPMorgan Chase & Co.117(L)
396,000(L)
HKD 28.61046,746,356(L)
0(S)
44,726,356(P)
10.92(L)
0.00(S)
10.45(P)
16/03/2010  
CS20100304000076JPMorgan Chase & Co.116(L)
242,100(L)
 47,144,356(L)
0(S)
44,540,356(P)
11.01(L)
0.00(S)
10.40(P)
01/03/2010  
CS20100303000057JPMorgan Chase & Co.117(L)
804,400(L)
HKD 29.83046,902,256(L)
0(S)
44,298,256(P)
10.96(L)
0.00(S)
10.35(P)
26/02/2010  
CS20100224000046JPMorgan Chase & Co.116(L)
343,900(L)
 47,387,456(L)
0(S)
44,767,456(P)
11.07(L)
0.00(S)
10.46(P)
19/02/2010  
CS20100217000103JPMorgan Chase & Co.116(L)
468,200(L)
 46,809,256(L)
0(S)
44,189,256(P)
10.93(L)
0.00(S)
10.32(P)
11/02/2010  
CS20100211000065FMR LLC103(L)
484,000(L)
USD 3.56325,338,000(L)
5.92(L)
09/02/2010  
CS20100212000002JPMorgan Chase & Co.116(L)
496,000(L)
 47,261,456(L)
0(S)
44,641,456(P)
11.04(L)
0.00(S)
10.43(P)
09/02/2010  
CS20100118000118JPMorgan Chase & Co.117(L)
572,000(L)
HKD 28.43042,817,456(L)
0(S)
40,205,456(P)
10.00(L)
0.00(S)
9.39(P)
14/01/2010  
CS20100111000297FIL Limited102(L)
160,000(L)
USD 3.42721,404,000(L)
4.99(L)
07/01/2010  
CS20091217000002Atlantis Investment Management Limited103(L)
300,000(L)
 47,306,000(L)
11.05(L)
16/12/2009  
CS20091218000006FMR LLC103(L)
2,460,000(L)
USD 3.38529,208,000(L)
6.82(L)
16/12/2009  
CS20091209000175Atlantis Investment Management Limited103(L)
100,000(L)
 47,006,000(L)
10.98(L)
09/12/2009  
CS20091203000121FIL Limited103(L)
112,000(L)
USD 3.61025,580,000(L)
5.97(L)
01/12/2009  
CS20091013000058FMR LLC103(L)
108,000(L)
USD 3.43534,142,000(L)
7.97(L)
09/10/2009  
CS20091009000001FMR LLC103(L)
340,000(L)
USD 3.85134,266,000(L)
8.00(L)
07/10/2009  
CS20090904000117JPMorgan Chase & Co.116(L)
512,000(L)
 38,696,680(L)
0(S)
36,328,680(P)
9.04(L)
0.00(S)
8.49(P)
02/09/2009  
CS20090902000210FIL Limited103(L)
736,000(L)
USD 2.68729,340,753(L)
6.85(L)
31/08/2009  
CS20090724000188JPMorgan Chase & Co.117(L)
520,842(L)
HKD 19.10034,469,866(L)
0(S)
32,977,866(P)
8.05(L)
0.00(S)
7.70(P)
21/07/2009  
CS20090604000203JPMorgan Chase & Co.117(L)
2,100,000(L)
HKD 18.07030,641,100(L)
48,000(S)
30,209,100(P)
7.16(L)
0.01(S)
7.06(P)
01/06/2009  
CS20090528000016FMR LLC103(L)
1,608,000(L)
USD 2.55430,714,000(L)
7.17(L)
26/05/2009  
CS20090521000009FMR LLC103(L)
668,000(L)
USD 2.37526,002,000(L)
6.07(L)
19/05/2009  
CS20090504000072FMR LLC101(L)
264,000(L)
USD 1.91121,534,000(L)
5.03(L)
30/04/2009  
CS20090430000006FMR LLC102(L)
180,000(L)
USD 1.88221,326,000(L)
4.98(L)
28/04/2009  
CS20090422000073FMR LLC101(L)
232,000(L)
USD 1.89421,550,000(L)
5.03(L)
20/04/2009  
CS20090416000041FMR LLC102(L)
748,000(L)
USD 1.91021,154,000(L)
4.94(L)
14/04/2009  
CS20090406000007Atlantis Investment Management Ltd103(L)
200,000(L)
 51,184,000(L)
11.96(L)
31/03/2009  
CS20090318000055FIL Limited103(L)
804,000(L)
USD 1.70633,991,172(L)
7.94(L)
16/03/2009  
CS20090318000034Atlantis Investment Management Ltd103(L)
96,000(L)
 55,628,000(L)
12.99(L)
12/03/2009  
CS20090309000142FMR LLC101(L)
644,000(L)
HKD 1.53721,986,000(L)
5.14(L)
05/03/2009  
CS20090213000101FIL Limited104(L)
236,000(L)
HKD 13.00034,279,172(L)
8.01(L)
11/02/2009  
CS20090207000005Martin Currie (Holdings) Limited102(L)
452,000(L)
HKD 12.71021,040,000(L)
4.91(L)
04/02/2009  
CS20090109000050FIL Limited104(L)
0(L)
 33,632,000(L)
7.86(L)
06/01/2009  
CS20100517000152Genesis Asset Managers, LLP101(L)
0(L)
 19,522,723(L)
4.56(L)
06/01/2009  
CS20090106000119JPMorgan Chase & Co.104(L)
0(L)
 28,291,100(L)
48,000(S)
28,243,100(P)
6.61(L)
0.01(S)
6.60(P)
31/12/2008  
CS20090105000217Martin Currie (Holdings) Limited104(L)
0(L)
HKD 0.00021,856,000(L)
5.11(L)
18/12/2008  
CS20081202000040Atlantis Investment Management Ltd103(L)
500,000(L)
 58,876,000(L)
16.95(L)
26/11/2008  
CS20081118000029Atlantis Investment Management Ltd103(L)
276,000(L)
 62,504,000(L)
17.99(L)
14/11/2008  
CS20081114000111JPMorgan Chase & Co.116(L)
300,000(L)
 27,818,100(L)
650,000(S)
27,168,100(P)
8.01(L)
0.19(S)
7.82(P)
12/11/2008  
CS20081113000259Wellington Management Company, LLP102(L)
1,112,000(L)
HKD 8.89816,517,900(L)
4.75(L)
12/11/2008  
CS20081110000033Atlantis Investment Management Ltd103(L)
500,000(L)
 65,716,000(L)
18.92(L)
05/11/2008  
CS20081106000185Wellington Management Company, LLP101(L)
400,000(L)
HKD 10.00117,527,900(L)
5.05(L)
05/11/2008  
CS20081103000170Atlantis Investment Management Ltd103(L)
600,000(L)
HKD 8.28969,356,000(L)
19.96(L)
30/10/2008  
CS20081031000316JPMorgan Chase & Co.116(L)
2,000,000(L)
 26,088,100(L)
26,088,100(P)
7.51(L)
7.51(P)
28/10/2008  
CS20081029000003Martin Currie (Holdings) Limited103(L)
1,784,000(L)
HKD 6.01021,768,000(L)
6.27(L)
27/10/2008  
CS20081028000087DnB NOR Asset Management (Asia) Limited102(L)
1,540,000(L)
HKD 6.82016,007,244(L)
4.60(L)
24/10/2008  
CS20081009000020Atlantis Investment Management Ltd103(L)
336,000(L)
 72,772,000(L)
20.95(L)
02/10/2008  
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