Yang, Xiang Bo 楊祥波

Dealings in SHIRBLE DEPARTMENT STORE HOLDINGS (CHINA) LIMITED: O

Exchange Code Listed Last trade Delisted
HK Main 00312  2010-11-17    

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 20-01-10 BoughtPurchased shares L 678,000 CorporateInterest of corporation >=1/3 controlled 1,382,491,500 HKD 1.679 1,138,633 55.41 0.03
2 20-01-09 BoughtPurchased shares L 4,568,000 CorporateInterest of corporation >=1/3 controlled 1,381,813,500 HKD 1.668 7,620,795 55.38 0.18
3 20-01-08 BoughtPurchased shares L 360,000 CorporateInterest of corporation >=1/3 controlled 1,377,245,500 HKD 1.663 598,716 55.20 0.01
4 20-01-07 BoughtPurchased shares L 12,000 CorporateInterest of corporation >=1/3 controlled 1,376,885,500 HKD 1.670 20,040 55.19 0.00
5 20-01-06 BoughtPurchased shares L 1,436,000 CorporateInterest of corporation >=1/3 controlled 1,376,873,500 HKD 1.602 2,300,472 55.19 0.06
6 20-01-03 BoughtPurchased shares L 750,000 CorporateInterest of corporation >=1/3 controlled 1,375,437,500 HKD 1.649 1,236,525 55.13 0.03
7 20-01-02 BoughtPurchased shares L 772,000 CorporateInterest of corporation >=1/3 controlled 1,374,687,500 HKD 1.662 1,283,373 55.10 0.03
8 19-12-31 BoughtPurchased shares L 22,772,000 CorporateInterest of corporation >=1/3 controlled 1,373,915,500 HKD 1.530 34,843,437 55.07 0.92
9 19-12-30 BoughtPurchased shares L 1,238,000 CorporateInterest of corporation >=1/3 controlled 1,351,143,500 HKD 1.349 1,670,557 54.15 0.05
10 19-12-27 BoughtPurchased shares L 5,064,000 CorporateInterest of corporation >=1/3 controlled 1,349,905,500 HKD 1.339 6,779,683 54.10 0.20
11 19-09-12 BoughtPurchased shares L 3,212,000 CorporateInterest of corporation >=1/3 controlled 1,344,841,500 HKD 1.320 4,240,482 53.90 0.13
12 19-09-11 BoughtPurchased shares L 5,674,000 CorporateInterest of corporation >=1/3 controlled 1,341,629,500 HKD 1.336 7,582,166 53.77 0.22
13 19-09-10 BoughtPurchased shares L 6,780,000 CorporateInterest of corporation >=1/3 controlled 1,335,955,500 HKD 1.322 8,961,804 53.55 0.28
14 19-09-09 BoughtPurchased shares L 2,178,000 CorporateInterest of corporation >=1/3 controlled 1,329,175,500 HKD 1.313 2,860,367 53.27 0.08
15 19-09-06 BoughtPurchased shares L 3,902,000 CorporateInterest of corporation >=1/3 controlled 1,326,997,500 HKD 1.303 5,085,477 53.19 0.16
16 19-09-05 BoughtPurchased shares L 2,164,000 CorporateInterest of corporation >=1/3 controlled 1,323,095,500 HKD 1.300 2,812,767 53.03 0.09
17 19-09-04 BoughtPurchased shares L 2,576,000 CorporateInterest of corporation >=1/3 controlled 1,320,931,500 HKD 1.180 3,039,165 52.94 0.10
18 19-09-03 BoughtPurchased shares L 1,150,000 CorporateInterest of corporation >=1/3 controlled 1,318,355,500 HKD 1.048 1,204,970 52.84 0.05
19 18-12-31 SoldCompleted sale L 374,250,000 CorporateInterest of corporation >=1/3 controlled 1,317,205,500 HKD 52.79 0.00
20 18-09-26 Short callObliged to deliver underlying shares S -374,250,000 CorporateInterest of corporation >=1/3 controlled
21 18-06-29 BoughtPurchased shares L 6,000,000 CorporateInterest of corporation >=1/3 controlled 1,691,455,500 HKD 0.880 5,280,000 67.79 0.24
22 18-06-28 BoughtPurchased shares L 842,000 CorporateInterest of corporation >=1/3 controlled 1,685,455,500 HKD 0.760 639,920 67.55 0.03
23 18-06-27 BoughtPurchased shares L 7,030,000 CorporateInterest of corporation >=1/3 controlled 1,684,613,500 HKD 0.750 5,272,500 67.52 0.28
24 18-06-26 BoughtPurchased shares L 2,998,000 CorporateInterest of corporation >=1/3 controlled 1,677,583,500 HKD 0.650 1,948,700 67.24 0.12
25 18-06-25 BoughtPurchased shares L 384,000 CorporateInterest of corporation >=1/3 controlled 1,674,585,500 HKD 0.610 234,240 67.12 0.02
26 18-06-22 BoughtPurchased shares L 1,460,000 CorporateInterest of corporation >=1/3 controlled 1,674,201,500 HKD 0.610 890,600 67.10 0.06
27 18-06-21 BoughtPurchased shares L 1,838,000 CorporateInterest of corporation >=1/3 controlled 1,672,741,500 HKD 0.610 1,121,180 67.04 0.07
28 18-06-20 BoughtPurchased shares L 92,000 CorporateInterest of corporation >=1/3 controlled 1,669,555,500 HKD 0.630 57,960 66.91 0.00
29 18-06-20 BoughtPurchased shares L 1,348,000 SpouseInterest of spouse 1,670,903,500 HKD 0.640 862,720 66.97 0.06
30 18-06-20 BoughtPurchased shares L 92,000 CorporateInterest of corporation >=1/3 controlled 1,662,579,500 HKD 0.630 57,960 66.64 0.01
31 18-06-19 BoughtPurchased shares L 6,976,000 SpouseInterest of spouse 1,669,463,500 HKD 0.660 4,604,160 66.91 0.28
32 10-12-10 ReturnReturn of loaned shares L 93,750,000 CorporateInterest of corporation >=1/3 controlled 1,662,487,500 HKD 66.50 0.00
33 10-11-17 LendingLending shares L 93,750,000 CorporateInterest of corporation >=1/3 controlled 1,662,487,500 HKD 66.50 0.00
34 10-11-17 ListLongLong interest upon listing L 1,662,487,500 CorporateInterest of corporation >=1/3 controlled 1,662,487,500 HKD 0.000 0.000 0 66.50 0.00

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