Chan, Wai Chun (1977) 陳慧珍

Dealings in Taste•Gourmet Group Limited: O

Exchange Code Listed Last trade Delisted
HK GEM 08371  2018-01-17    

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 19-03-11 BoughtPurchased shares L 300,000 CorporateInterest of corporation >=1/3 controlled 260,302,000 HKD 0.698 209,310 66.15 0.08
2 19-03-08 BoughtPurchased shares L 1,000,000 CorporateInterest of corporation >=1/3 controlled 260,002,000 HKD 0.700 700,000 66.07 0.25
3 18-12-31 BoughtPurchased shares L 136,000 CorporateInterest of corporation >=1/3 controlled 259,002,000 HKD 0.821 111,683 65.82 0.04
4 18-12-21 BoughtPurchased shares L 200,000 CorporateInterest of corporation >=1/3 controlled 258,866,000 HKD 0.740 148,040 65.78 0.05
5 18-12-18 BoughtPurchased shares L 152,000 CorporateInterest of corporation >=1/3 controlled 258,666,000 HKD 0.741 112,556 65.73 0.04
6 18-12-12 BoughtPurchased shares L 100,000 CorporateInterest of corporation >=1/3 controlled 258,514,000 HKD 0.749 74,880 65.69 0.02
7 18-12-06 BoughtPurchased shares L 80,000 CorporateInterest of corporation >=1/3 controlled 258,414,000 HKD 0.746 59,640 65.67 0.02
8 18-12-03 BoughtPurchased shares L 152,000 CorporateInterest of corporation >=1/3 controlled 258,334,000 HKD 0.770 117,086 65.65 0.04
9 18-11-30 BoughtPurchased shares L 204,000 CorporateInterest of corporation >=1/3 controlled 258,182,000 HKD 0.751 153,163 65.61 0.05
10 18-11-15 BoughtPurchased shares L 48,000 CorporateInterest of corporation >=1/3 controlled 257,978,000 HKD 0.773 37,080 65.56 0.02
11 18-10-12 BoughtPurchased shares L 60,000 CorporateInterest of corporation >=1/3 controlled 257,930,000 HKD 0.783 46,998 65.54 0.01
12 18-10-11 BoughtPurchased shares L 72,000 CorporateInterest of corporation >=1/3 controlled 257,870,000 HKD 0.747 53,762 65.53 0.02
13 18-10-03 BoughtPurchased shares L 92,000 CorporateInterest of corporation >=1/3 controlled 257,798,000 HKD 0.776 71,364 65.51 0.02
14 18-09-27 BoughtPurchased shares L 544,000 CorporateInterest of corporation >=1/3 controlled 257,706,000 HKD 0.819 445,373 65.49 0.14
15 18-09-10 BoughtPurchased shares L 256,000 CorporateInterest of corporation >=1/3 controlled 257,162,000 HKD 0.830 212,480 65.35 0.07
16 18-09-07 BoughtPurchased shares L 972,000 CorporateInterest of corporation >=1/3 controlled 256,906,000 HKD 0.840 816,383 65.28 0.24
17 18-09-06 BoughtPurchased shares L 156,000 CorporateInterest of corporation >=1/3 controlled 255,934,000 HKD 0.830 129,480 65.04 0.04
18 18-09-04 BoughtPurchased shares L 52,000 CorporateInterest of corporation >=1/3 controlled 255,778,000 HKD 0.830 43,160 65.00 0.02
19 18-09-03 BoughtPurchased shares L 220,000 CorporateInterest of corporation >=1/3 controlled 255,726,000 HKD 0.817 179,674 64.98 0.05
20 18-08-30 BoughtPurchased shares L 120,000 CorporateInterest of corporation >=1/3 controlled 255,506,000 HKD 0.820 98,400 64.93 0.03
21 18-08-28 BoughtPurchased shares L 184,000 CorporateInterest of corporation >=1/3 controlled 255,386,000 HKD 0.800 147,200 64.90 0.05
22 18-08-27 BoughtPurchased shares L 200,000 CorporateInterest of corporation >=1/3 controlled 255,202,000 HKD 0.800 160,000 64.85 0.05
23 18-08-24 BoughtPurchased shares L 500,000 CorporateInterest of corporation >=1/3 controlled 255,002,000 HKD 0.820 410,000 64.80 0.13
24 18-08-23 BoughtPurchased shares L 224,000 CorporateInterest of corporation >=1/3 controlled 254,502,000 HKD 0.800 179,200 64.67 0.06
25 18-08-22 BoughtPurchased shares L 284,000 CorporateInterest of corporation >=1/3 controlled 254,278,000 HKD 0.790 224,332 64.61 0.07
26 18-08-21 BoughtPurchased shares L 8,000 CorporateInterest of corporation >=1/3 controlled 253,994,000 HKD 0.770 6,160 64.54 0.00
27 18-08-20 BoughtPurchased shares L 16,000 CorporateInterest of corporation >=1/3 controlled 253,986,000 HKD 0.760 12,160 64.54 0.00
28 18-08-17 BoughtPurchased shares L 68,000 CorporateInterest of corporation >=1/3 controlled 253,970,000 HKD 0.750 51,000 64.54 0.02
29 18-08-16 BoughtPurchased shares L 1,000,000 CorporateInterest of corporation >=1/3 controlled 253,902,000 HKD 0.759 759,000 64.52 0.25
30 18-08-15 BoughtPurchased shares L 1,200,000 CorporateInterest of corporation >=1/3 controlled 252,902,000 HKD 0.760 912,000 64.27 0.31
31 18-08-14 BoughtPurchased shares L 144,000 CorporateInterest of corporation >=1/3 controlled 251,702,000 HKD 0.760 109,440 63.96 0.04
32 18-08-13 BoughtPurchased shares L 72,000 CorporateInterest of corporation >=1/3 controlled 251,558,000 HKD 0.700 50,400 63.92 0.01
33 18-08-10 BoughtPurchased shares L 932,000 CorporateInterest of corporation >=1/3 controlled 251,486,000 HKD 0.711 662,745 63.91 0.24
34 18-08-09 BoughtPurchased shares L 236,000 CorporateInterest of corporation >=1/3 controlled 250,554,000 HKD 0.698 164,728 63.67 0.06
35 18-04-09 BoughtPurchased shares L 8,000 CorporateInterest of corporation >=1/3 controlled 250,318,000 HKD 0.750 6,000 62.58 0.00
36 18-03-27 BoughtPurchased shares L 60,000 CorporateInterest of corporation >=1/3 controlled 250,310,000 HKD 0.722 43,320 62.58 0.02
37 18-03-16 BoughtPurchased shares L 80,000 CorporateInterest of corporation >=1/3 controlled 250,250,000 HKD 0.781 62,440 62.56 0.02
38 18-03-14 BoughtPurchased shares L 120,000 CorporateInterest of corporation >=1/3 controlled 250,170,000 HKD 0.780 93,600 62.54 0.03
39 18-03-12 BoughtPurchased shares L 80,000 CorporateInterest of corporation >=1/3 controlled 250,050,000 HKD 0.790 63,200 62.51 0.02
40 18-03-09 BoughtPurchased shares L 220,000 CorporateInterest of corporation >=1/3 controlled 249,970,000 HKD 0.796 175,164 62.49 0.05
41 18-03-08 BoughtPurchased shares L 200,000 CorporateInterest of corporation >=1/3 controlled 249,750,000 HKD 0.830 166,000 62.44 0.05
42 18-02-27 BoughtPurchased shares L 100,000 CorporateInterest of corporation >=1/3 controlled 249,550,000 HKD 0.850 85,000 62.39 0.03
43 20-11-10 DilutedShares were issued in a top-up placing L 253,102,000 HKD 65.41 -1.24
44 18-01-17 ListingPosition on listing of corporation or class L 249,450,000 62.36
45 24-04-16 Other decOther decrease - see filing L CorporateInterest of corporation >=1/3 controlled 260,302,000 68.59 -0.15
46 23-04-14 Other decOther decrease - see filing L CorporateInterest of corporation >=1/3 controlled 260,302,000 68.74 -0.04
47 22-11-10 Other incOther increase - see filing L CorporateInterest of corporation >=1/3 controlled 260,302,000 68.78 1.51
48 19-04-18 Other incOther increase - see filing L CorporateInterest of corporation >=1/3 controlled 260,302,000 68.55 2.40
49 18-08-02 Other incOther increase - see filing L CorporateInterest of corporation >=1/3 controlled 250,318,000 63.61 1.03
50 20-11-05 PlacedSold to placees in a top-up placing L -7,200,000 CorporateInterest of corporation >=1/3 controlled 253,102,000 HKD 1.330 -9,576,000 66.65 -1.90
51 20-11-03 SellingAgreement to sell L 7,200,000 CorporateInterest of corporation >=1/3 controlled 260,302,000 HKD 1.330 9,576,000 68.55 0.00
52 20-11-10 Top-up issueIssued to replace shares sold in top-up placing L 7,200,000 CorporateInterest of corporation >=1/3 controlled 260,302,000 HKD 1.330 9,576,000 67.27 1.86

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