Yang, Xuegang (1964) 楊雪崗

Dealings in China Risun Group Limited (KY): O

Exchange Code Listed Last trade Delisted
HK Main 01907  2019-03-15    

Click the date to see more details. L=Long, S=Short. Click the on-exchange price to see the CCASS movements on the settlement date corresponding to the relevant event, for trades after 22-Jun-2007.

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Relevant
date
Y-M-D
Probable
reason
L
/
S
Shares
involved
CapacityCapacity of the shares involved Interest
in shares
Curr OnEx
Price
OffEx
Price
Value Stake
%
Stake
Δ %
1 23-11-30 BoughtPurchased shares L 1,232,000 CorporateInterest of corporation >=1/3 controlled 3,166,749,928 HKD 3.177 3,914,557 71.58 0.03
2 23-11-08 BoughtPurchased shares L 1,200,000 CorporateInterest of corporation >=1/3 controlled 3,165,517,928 HKD 3.173 3,807,960 71.55 0.03
3 23-11-07 BoughtPurchased shares L 968,000 CorporateInterest of corporation >=1/3 controlled 3,164,317,928 HKD 3.192 3,089,759 71.52 0.02
4 23-11-03 BoughtPurchased shares L 1,000,000 CorporateInterest of corporation >=1/3 controlled 3,163,349,928 HKD 3.200 3,200,000 71.50 0.02
5 23-10-19 BoughtPurchased shares L 231,000 CorporateInterest of corporation >=1/3 controlled 3,162,349,928 HKD 3.183 735,273 71.48 0.01
6 23-10-17 BoughtPurchased shares L 502,000 CorporateInterest of corporation >=1/3 controlled 3,162,118,928 HKD 3.170 1,591,340 71.47 0.01
7 23-10-10 BoughtPurchased shares L 1,200,000 CorporateInterest of corporation >=1/3 controlled 3,161,616,928 HKD 3.203 3,843,960 71.46 0.02
8 23-10-05 BoughtPurchased shares L 700,000 CorporateInterest of corporation >=1/3 controlled 3,160,416,928 HKD 3.226 2,257,990 71.44 0.02
9 23-10-03 BoughtPurchased shares L 700,000 CorporateInterest of corporation >=1/3 controlled 3,159,716,928 HKD 3.290 2,303,000 71.42 0.02
10 23-09-26 BoughtPurchased shares L 400,000 CorporateInterest of corporation >=1/3 controlled 3,159,016,928 HKD 3.230 1,292,000 71.40 0.00
11 23-09-25 BoughtPurchased shares L 600,000 CorporateInterest of corporation >=1/3 controlled 3,158,616,928 HKD 3.190 1,914,000 71.40 0.02
12 23-09-22 BoughtPurchased shares L 200,000 CorporateInterest of corporation >=1/3 controlled 3,158,016,928 HKD 3.270 654,000 71.38 0.00
13 23-09-15 BoughtPurchased shares L 400,000 CorporateInterest of corporation >=1/3 controlled 3,157,816,928 HKD 3.240 1,296,000 71.38 0.01
14 23-09-12 BoughtPurchased shares L 110,000 CorporateInterest of corporation >=1/3 controlled 3,157,416,928 HKD 3.220 354,200 71.37 0.00
15 23-05-11 BoughtPurchased shares L 1,600,000 CorporateInterest of corporation >=1/3 controlled 3,157,306,928 HKD 3.480 5,567,840 71.37 0.04
16 23-05-10 BoughtPurchased shares L 3,000,000 CorporateInterest of corporation >=1/3 controlled 3,155,706,928 HKD 3.453 10,359,300 71.33 0.07
17 23-05-09 BoughtPurchased shares L 2,300,000 CorporateInterest of corporation >=1/3 controlled 3,152,706,928 HKD 3.574 8,220,890 71.26 0.05
18 23-05-04 BoughtPurchased shares L 3,000,000 CorporateInterest of corporation >=1/3 controlled 3,150,406,928 HKD 3.477 10,429,800 71.21 0.07
19 23-05-03 BoughtPurchased shares L 3,000,000 CorporateInterest of corporation >=1/3 controlled 3,147,406,928 HKD 3.540 10,619,400 71.14 0.07
20 23-04-27 BoughtPurchased shares L 2,928,000 CorporateInterest of corporation >=1/3 controlled 3,144,406,928 HKD 3.520 10,306,560 71.07 0.06
21 23-04-25 BoughtPurchased shares L 3,000,000 CorporateInterest of corporation >=1/3 controlled 3,141,478,928 HKD 3.499 10,497,600 71.01 0.07
22 23-04-24 BoughtPurchased shares L 3,000,000 CorporateInterest of corporation >=1/3 controlled 3,138,478,928 HKD 3.630 10,890,000 70.94 0.07
23 23-04-17 BoughtPurchased shares L 3,000,000 CorporateInterest of corporation >=1/3 controlled 3,135,478,928 HKD 3.710 11,130,000 70.87 0.07
24 23-04-13 BoughtPurchased shares L 2,000,000 CorporateInterest of corporation >=1/3 controlled 3,132,478,928 HKD 3.575 7,149,400 70.80 0.04
25 23-04-12 BoughtPurchased shares L 3,000,000 CorporateInterest of corporation >=1/3 controlled 3,130,478,928 HKD 3.524 10,572,900 70.76 0.07
26 23-04-06 BoughtPurchased shares L 2,000,000 CorporateInterest of corporation >=1/3 controlled 3,127,478,928 HKD 3.343 6,686,800 70.69 0.04
27 23-04-04 BoughtPurchased shares L 1,000,000 CorporateInterest of corporation >=1/3 controlled 3,125,478,928 HKD 3.540 3,540,000 70.65 0.05
28 22-10-31 BoughtPurchased shares L 500,000 CorporateInterest of corporation >=1/3 controlled 3,124,478,928 HKD 2.765 1,382,350 70.60 0.01
29 22-10-28 BoughtPurchased shares L 1,034,000 CorporateInterest of corporation >=1/3 controlled 3,123,978,928 HKD 2.888 2,986,089 70.59 0.22
30 22-07-07 BoughtPurchased shares L 500,000 CorporateInterest of corporation >=1/3 controlled 3,122,944,928 HKD 3.184 1,591,900 70.37 0.04
31 21-12-21 BoughtPurchased shares L 30,000 CorporateInterest of corporation >=1/3 controlled 3,122,444,928 HKD 4.480 134,400 70.33 0.01
32 21-10-28 BoughtPurchased shares L 180,000 CorporateInterest of corporation >=1/3 controlled 3,122,414,928 HKD 4.540 817,200 70.32 0.00
33 21-10-27 BoughtPurchased shares L 2,000,000 CorporateInterest of corporation >=1/3 controlled 3,122,234,928 HKD 4.703 9,405,600 70.32 0.04
34 21-10-18 BoughtPurchased shares L 910,000 CorporateInterest of corporation >=1/3 controlled 3,120,234,928 HKD 4.882 4,442,438 70.28 0.02
35 21-07-08 BoughtPurchased shares L 2,000,000 CorporateInterest of corporation >=1/3 controlled 3,119,324,928 HKD 4.749 9,497,400 70.26 0.05
36 21-06-29 BoughtPurchased shares L 1,250,000 CorporateInterest of corporation >=1/3 controlled 3,117,324,928 HKD 4.992 6,240,375 70.21 0.03
37 21-06-03 Other decOther decrease - see filing L CorporateInterest of corporation >=1/3 controlled 3,116,074,928 70.18 -6.01
38 19-04-11 Other decOther decrease - see filing L 3,116,074,928 76.19 -1.71
39 19-03-15 ListingPosition on listing of corporation or class L 3,116,074,928 OtherOther - see filing 3,116,074,928 77.90

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