在指明期間內大股東所提交的披露權益通知一覽表
 
股份代號: 00895
上市法團名稱: 東江環保股份有限公司 - H股
日期(日/月/年): 13/12/2007 - 13/12/2017
 
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

表格序號股東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)
CS20170623000072Citigroup Inc.102(L)
54,800(L)
 9,963,271(L)
0(S)
1,624,671(P)
4.98(L)
0.00(S)
0.81(P)
20/06/2017
CS20170620000135Citigroup Inc.101(L)
12,800(L)
 10,011,472(L)
0(S)
1,607,472(P)
5.00(L)
0.00(S)
0.80(P)
15/06/2017
CS20170606000054Citigroup Inc.102(L)
80,200(L)
 9,929,673(L)
0(S)
1,488,473(P)
4.96(L)
0.00(S)
0.74(P)
01/06/2017
CS20170601000030Citigroup Inc.101(L)
151,800(L)
 10,071,473(L)
0(S)
1,488,473(P)
5.03(L)
0.00(S)
0.74(P)
29/05/2017
CS20170307000254UBS Group AG102(L)
113,800(L)
 9,925,030(L)
262,200(S)
4.96(L)
0.13(S)
02/03/2017
CS20170220000153UBS Group AG101(L)
1,909,800(L)
 10,762,830(L)
263,400(S)
5.38(L)
0.13(S)
15/02/2017
CS20170124000116Alpha Logic Holdings Limited101(L)
570,000(L)
HKD 12.88710,553,800(L)
5.27(L)
20/01/2017
CS20170124000113China Alpha Fund Management (HK) Ltd101(L)
570,000(L)
HKD 12.88710,553,800(L)
5.27(L)
20/01/2017
CS20170124000114China Alpha Fund Management Ltd101(L)
570,000(L)
HKD 12.88710,553,800(L)
5.27(L)
20/01/2017
CS20170124000115Jet Elite Investments Limited101(L)
570,000(L)
HKD 12.88710,553,800(L)
5.27(L)
20/01/2017
IS20170124000118王俊彥101(L)
570,000(L)
HKD 12.88710,553,800(L)
5.27(L)
20/01/2017
IS20170124000117翟普101(L)
570,000(L)
HKD 12.88710,553,800(L)
5.27(L)
20/01/2017
CS20151118000095JPMorgan Chase & Co.102(L)
2,188,000(L)
HKD 12.5239,763,825(L)
369,400(S)
0(P)
4.87(L)
0.18(S)
0.00(P)
16/11/2015
CS20151116000118JPMorgan Chase & Co.103(L)
200,000(L)
 11,951,825(L)
369,400(S)
0(P)
5.97(L)
0.18(S)
0.00(P)
12/11/2015
CS20151029000142JPMorgan Chase & Co.103(L)
177,600(L)
HKD 14.91912,151,825(L)
569,400(S)
0(P)
6.07(L)
0.28(S)
0.00(P)
26/10/2015
CS20151013000212JPMorgan Chase & Co.101(L)
924,000(L)
HKD 13.96210,900,365(L)
506,800(S)
0(P)
5.44(L)
0.25(S)
0.00(P)
09/10/2015
CS20140807000054China Alpha Fund Management (HK) Limited102(L)
54,400(L)
HKD 29.2013,993,975(L)
4.99(L)
05/08/2014
CS20140807000055China Alpha Fund Management Limited102(L)
54,400(L)
HKD 29.2013,993,975(L)
4.99(L)
05/08/2014
IS20140807000056王俊彥102(L)
54,400(L)
HKD 29.2013,993,975(L)
4.99(L)
05/08/2014
CS20140703000228China Alpha Fund Management (HK) Limited103(L)
204,200(L)
HKD 26.0004,736,175(L)
5.92(L)
02/07/2014
CS20140703000229China Alpha Fund Management Limited103(L)
204,200(L)
HKD 26.0004,736,175(L)
5.92(L)
02/07/2014
IS20140703000231王俊彥103(L)
204,200(L)
HKD 26.0004,736,175(L)
5.92(L)
02/07/2014
CS20140626000227China Alpha II Fund Limited103(L)
113,000(L)
HKD 26.0003,988,775(L)
4.98(L)
24/06/2014
CS20140616000086CITIC Securities International Investment Management (HK) Limited102(L)
0(L)
HKD 0.0003,958,300(L)
4.94(L)
12/06/2014
CS20140611000182China Alpha Fund Management (HK) Limited104(L)
3,673,650(L)
 3,673,650(L)
6.88(L)
30/05/2014
CS20140328000019China Alpha Fund Management Limited103(L)
92,400(L)
HKD 27.2763,673,650(L)
6.88(L)
26/03/2014
IS20140328000018王俊彥103(L)
92,400(L)
HKD 27.2763,673,650(L)
6.88(L)
26/03/2014
CS20140204000115CITIC Securities International Investment Management (HK) Limited103(L)
101,400(L)
HKD 23.0944,206,350(L)
7.88(L)
29/01/2014
CS20140106000327CITIC Securities International Investment Management (HK) Limited104(L)
389,450(L)
 4,483,750(L)
8.40(L)
02/01/2014
IS20131231000048王俊彥104(L)
937,950(L)
 3,935,250(L)
7.37(L)
24/12/2013
CS20131106000156CITIC Securities International Investment Management (HK) Limited103(L)
20,000(L)
HKD 21.7524,812,000(L)
9.02(L)
05/11/2013
IS20131106000103王俊彥103(L)
20,000(L)
HKD 21.7524,812,000(L)
9.02(L)
05/11/2013
CS20131106000155CITIC Securities International Investment Management (HK) Limited103(L)
166,900(L)
HKD 22.1004,792,000(L)
8.98(L)
04/11/2013
IS20131106000100王俊彥103(L)
166,900(L)
HKD 22.1004,792,000(L)
8.98(L)
04/11/2013
CS20131028000173CITIC Securities International Investment Management (HK) Limited103(L)
20,000(L)
HKD 24.8105,269,500(L)
9.87(L)
25/10/2013
IS20131028000079王俊彥103(L)
20,000(L)
HKD 24.8105,269,500(L)
9.87(L)
25/10/2013
CS20131022000213CITIC Securities International Investment Management (HK) Limited103(L)
20,000(L)
HKD 25.1175,330,300(L)
9.99(L)
21/10/2013
IS20131022000115王俊彥103(L)
20,000(L)
HKD 25.1175,330,300(L)
9.99(L)
21/10/2013
CS20131010000084China Alpha Fund Management Limited103(L)
62,000(L)
HKD 22.6064,222,250(L)
7.91(L)
08/10/2013
CS20130912000019CITIC Securities International Investment Management (HK) Limited103(L)
120,000(L)
HKD 26.3615,850,500(L)
10.96(L)
10/09/2013
IS20130911000121王俊彥103(L)
120,000(L)
HKD 26.3615,850,500(L)
10.96(L)
10/09/2013
CS20130830000124China Alpha II Fund Limited103(L)
20,400(L)
HKD 26.0903,192,950(L)
5.98(L)
29/08/2013
CS20130830000190China Alpha Fund Management Limited103(L)
48,400(L)
HKD 26.0984,760,650(L)
8.92(L)
28/08/2013
CS20130830000185China Alpha Fund Management Limited103(L)
30,200(L)
HKD 26.0874,760,650(L)
8.92(L)
28/08/2013
CS20130429000179CITIC Securities International Investment Management (HK) Limited103(L)
155,600(L)
HKD 35.3354,012,800(L)
11.28(L)
24/04/2013
IS20130426000290Wang Jun Yan103(L)
155,600(L)
HKD 35.3354,012,800(L)
11.28(L)
24/04/2013
CS20130124000170Edmond de Rothschild Asset Management102(L)
37,400(L)
HKD 37.7531,747,600(L)
4.91(L)
23/01/2013
CS20130124000171Edmond de Rothschild Asset Management Hong Kong Limited102(L)
37,400(L)
HKD 37.7531,747,600(L)
4.91(L)
23/01/2013
CS20130117000066Edmond de Rothschild Asset Management103(L)
144,600(L)
HKD 36.9572,004,800(L)
5.63(L)
16/01/2013
CS20130117000065Edmond de Rothschild Asset Management Hong Kong Limited103(L)
144,600(L)
HKD 36.9572,004,800(L)
5.63(L)
16/01/2013
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