Wu, Po Sum 胡葆森

Dealings in CENTRAL CHINA MANAGEMENT COMPANY LIMITED: O

Exchange Code Listed Last trade Delisted
HK Main 09982  2021-05-31    

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 24-03-28 SoldCompleted sale L -270,672,000 CorporateInterest of corporation >=1/3 controlled 1,841,455,862 HKD 0.104 -28,149,889 47.64 -7.00
2 24-03-27 SoldCompleted sale L -124,888,000 CorporateInterest of corporation >=1/3 controlled 2,112,127,862 HKD 0.120 -14,986,560 54.64 -3.23
3 24-02-22 Other incOther increase - see filing L 171,383,995 CorporateInterest of corporation >=1/3 controlled 2,237,015,862 57.87 1.91
4 23-05-03 Other decOther decrease - see filing L CorporateInterest of corporation >=1/3 controlled 2,065,631,867 56.97 -5.82
5 21-10-07 BoughtPurchased shares L 80,000 CorporateInterest of corporation >=1/3 controlled 2,065,631,867 HKD 1.290 103,200 62.68 0.00
6 21-10-06 BoughtPurchased shares L 120,000 CorporateInterest of corporation >=1/3 controlled 2,065,551,867 HKD 1.266 151,896 62.68 0.00
7 21-10-05 BoughtPurchased shares L 50,000 CorporateInterest of corporation >=1/3 controlled 2,065,431,867 HKD 1.310 65,500 62.68 0.00
8 21-10-04 BoughtPurchased shares L 104,000 CorporateInterest of corporation >=1/3 controlled 2,065,381,867 HKD 1.326 137,862 62.68 0.01
9 21-09-30 BoughtPurchased shares L 50,000 CorporateInterest of corporation >=1/3 controlled 2,065,277,867 HKD 1.220 61,000 62.67 0.00
10 21-09-29 BoughtPurchased shares L 296,000 CorporateInterest of corporation >=1/3 controlled 2,065,227,867 HKD 1.250 370,030 62.67 0.01
11 21-09-28 BoughtPurchased shares L 700,000 CorporateInterest of corporation >=1/3 controlled 2,064,931,867 HKD 1.269 888,510 62.66 0.02
12 21-09-27 BoughtPurchased shares L 600,000 CorporateInterest of corporation >=1/3 controlled 2,064,231,867 HKD 1.303 782,040 62.64 0.02
13 21-09-24 BoughtPurchased shares L 2,100,000 CorporateInterest of corporation >=1/3 controlled 2,063,631,867 HKD 1.361 2,858,100 62.62 0.06
14 21-09-23 BoughtPurchased shares L 102,000 CorporateInterest of corporation >=1/3 controlled 2,061,531,867 HKD 1.420 144,840 62.56 0.00
15 21-09-21 BoughtPurchased shares L 298,000 CorporateInterest of corporation >=1/3 controlled 2,061,429,867 HKD 1.453 432,994 62.56 0.01
16 21-09-20 BoughtPurchased shares L 276,000 CorporateInterest of corporation >=1/3 controlled 2,061,131,867 HKD 1.465 404,368 62.55 0.01
17 21-09-17 BoughtPurchased shares L 624,000 CorporateInterest of corporation >=1/3 controlled 2,060,855,867 HKD 1.504 938,621 62.54 0.02
18 21-09-10 BoughtPurchased shares L 1,100,000 CorporateInterest of corporation >=1/3 controlled 2,060,231,867 HKD 1.521 1,672,550 62.52 0.03
19 21-07-16 BoughtPurchased shares L 2,000,000 CorporateInterest of corporation >=1/3 controlled 2,059,131,867 HKD 2.006 4,012,800 62.49 0.06
20 21-07-15 BoughtPurchased shares L 200,000 CorporateInterest of corporation >=1/3 controlled 2,057,131,867 HKD 1.958 391,500 62.43 0.01
21 21-06-23 ReturnedReceived shares from borrower L 49,224,000 CorporateInterest of corporation >=1/3 controlled 2,056,931,867 62.42 0.00
22 21-05-31 SBLALent shares to borrower L 49,224,000 OtherOther - see filing 2,056,931,867 62.42 0.00
23 21-05-31 ListingPosition on listing of corporation or class L 2,056,931,867 62.42

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