Ever Harvest Group Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 01549  2016-07-06    
Stock code:

Adjust for splits and bonus issues: Yes No

Use price on: trading date holding/settlement date

Show: chart & table chart only table only

Table rows with no holding change: include exclude

SANFULL SECURITIES LIMITED 新富證券有限公司

CCASSID: B01275

Data table

Prices, holdings and issued shares are adjusted for splits and bonus issues.

Using prices on the last related trading date, which is 2 trading days before settlement.

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Row Holding
date
Holding Change Stake
%
Issued
shares
Holding
Value
Price @
trade
date
Trade
date
1 2026-02-04 0.101 2026-02-02
2 2026-02-03 0.099 2026-01-30
3 2025-08-04 264,000 -96,000 0.02 1,550,000,000 40,128 0.152 2025-07-31
4 2025-05-20 360,000 -512,000 0.02 1,550,000,000 30,960 0.086 2025-05-16
5 2025-05-19 872,000 -8,000 0.06 1,550,000,000 86,328 0.099 2025-05-15
6 2025-05-16 880,000 520,000 0.06 1,550,000,000 89,760 0.102 2025-05-14
7 2024-09-09 360,000 -24,000 0.02 1,550,000,000 21,600 0.060 2024-09-04
8 2023-02-06 384,000 96,000 0.02 1,550,000,000 75,648 0.197 2023-02-02
9 2022-10-19 288,000 -120,000 0.02 1,550,000,000 55,296 0.192 2022-10-17
10 2022-09-20 408,000 80,000 0.03 1,550,000,000 75,480 0.185 2022-09-16
11 2022-09-19 328,000 -56,000 0.02 1,550,000,000 64,288 0.196 2022-09-15
12 2022-08-10 384,000 -56,000 0.02 1,550,000,000 60,672 0.158 2022-08-08
13 2022-04-19 440,000 -432,000 0.03 1,550,000,000 65,560 0.149 2022-04-13
14 2022-04-14 872,000 432,000 0.06 1,550,000,000 126,440 0.145 2022-04-12
15 2022-03-18 440,000 -288,000 0.03 1,550,000,000 55,440 0.126 2022-03-16
16 2022-03-17 728,000 288,000 0.05 1,550,000,000 91,000 0.125 2022-03-15
17 2022-03-10 440,000 -88,000 0.03 1,550,000,000 58,520 0.133 2022-03-08
18 2022-03-09 528,000 -184,000 0.03 1,550,000,000 75,504 0.143 2022-03-07
19 2022-03-08 712,000 272,000 0.05 1,550,000,000 106,088 0.149 2022-03-04
20 2022-03-01 440,000 -336,000 0.03 1,550,000,000 70,400 0.160 2022-02-25
21 2022-02-28 776,000 -168,000 0.05 1,550,000,000 122,608 0.158 2022-02-24
22 2022-02-25 944,000 504,000 0.06 1,550,000,000 151,984 0.161 2022-02-23
23 2022-02-22 440,000 -88,000 0.03 1,550,000,000 72,600 0.165 2022-02-18
24 2022-02-21 528,000 88,000 0.03 1,550,000,000 84,480 0.160 2022-02-17
25 2022-02-18 440,000 -320,000 0.03 1,550,000,000 74,360 0.169 2022-02-16
26 2022-02-17 760,000 320,000 0.05 1,550,000,000 120,840 0.159 2022-02-15
27 2022-02-07 440,000 -2,960,000 0.03 1,550,000,000 76,560 0.174 2022-01-28
28 2022-02-04 3,400,000 2,960,000 0.22 1,550,000,000 639,200 0.188 2022-01-27
29 2022-01-28 440,000 -208,000 0.03 1,550,000,000 78,760 0.179 2022-01-26
30 2022-01-27 648,000 208,000 0.04 1,550,000,000 110,160 0.170 2022-01-25
31 2022-01-24 440,000 -1,320,000 0.03 1,550,000,000 79,640 0.181 2022-01-20
32 2022-01-21 1,760,000 408,000 0.11 1,550,000,000 330,880 0.188 2022-01-19
33 2022-01-20 1,352,000 912,000 0.09 1,550,000,000 244,712 0.181 2022-01-18
34 2021-12-29 440,000 -456,000 0.03 1,550,000,000 54,120 0.123 2021-12-23
35 2021-12-28 896,000 456,000 0.06 1,550,000,000 125,440 0.140 2021-12-22
36 2021-12-01 440,000 -8,000 0.03 1,550,000,000 59,840 0.136 2021-11-29
37 2021-11-25 448,000 -1,888,000 0.03 1,550,000,000 60,032 0.134 2021-11-23
38 2021-11-24 2,336,000 1,864,000 0.15 1,550,000,000 334,048 0.143 2021-11-22
39 2021-11-23 472,000 24,000 0.03 1,550,000,000 71,272 0.151 2021-11-19
40 2021-11-16 448,000 -752,000 0.03 1,550,000,000 64,960 0.145 2021-11-12
41 2021-11-15 1,200,000 752,000 0.08 1,550,000,000 180,000 0.150 2021-11-11
42 2021-11-09 448,000 8,000 0.03 1,550,000,000 80,640 0.180 2021-11-05
43 2021-11-01 440,000 -216,000 0.03 1,550,000,000 92,400 0.210 2021-10-28
44 2021-10-29 656,000 216,000 0.04 1,550,000,000 144,320 0.220 2021-10-27
45 2021-10-25 440,000 -6,952,000 0.03 1,550,000,000 101,640 0.231 2021-10-21
46 2021-10-22 7,392,000 6,944,000 0.48 1,550,000,000 1,766,688 0.239 2021-10-20
47 2021-10-21 448,000 -440,000 0.03 1,550,000,000 101,248 0.226 2021-10-19
48 2021-10-20 888,000 440,000 0.06 1,550,000,000 202,464 0.228 2021-10-18
49 2021-10-18 448,000 -808,000 0.03 1,550,000,000 103,936 0.232 2021-10-12
50 2021-10-15 1,256,000 808,000 0.08 1,550,000,000 283,856 0.226 2021-10-11
51 2021-10-07 448,000 -2,768,000 0.03 1,550,000,000 102,592 0.229 2021-10-05
52 2021-10-06 3,216,000 2,768,000 0.21 1,550,000,000 771,840 0.240 2021-10-04
53 2021-10-04 448,000 -672,000 0.03 1,550,000,000 105,280 0.235 2021-09-29
54 2021-09-30 1,120,000 -792,000 0.07 1,550,000,000 257,600 0.230 2021-09-28
55 2021-09-29 1,912,000 1,464,000 0.12 1,550,000,000 434,024 0.227 2021-09-27
56 2021-09-27 448,000 8,000 0.03 1,550,000,000 108,416 0.242 2021-09-23
57 2021-09-21 440,000 96,000 0.03 1,500,000,000 114,400 0.260 2021-09-17
58 2021-09-17 344,000 -48,000 0.02 1,500,000,000 96,320 0.280 2021-09-15
59 2021-09-16 392,000 -48,000 0.03 1,500,000,000 111,720 0.285 2021-09-14
60 2021-09-14 440,000 24,000 0.03 1,500,000,000 123,200 0.280 2021-09-10
61 2021-09-10 416,000 24,000 0.03 1,500,000,000 120,640 0.290 2021-09-08
62 2021-09-03 392,000 -8,000 0.03 1,500,000,000 115,640 0.295 2021-09-01
63 2021-09-01 400,000 8,000 0.03 1,500,000,000 128,000 0.320 2021-08-30
64 2021-08-31 392,000 -40,000 0.03 1,500,000,000 119,560 0.305 2021-08-27
65 2021-08-27 432,000 -48,000 0.03 1,500,000,000 142,560 0.330 2021-08-25
66 2021-08-25 480,000 -408,000 0.03 1,500,000,000 132,000 0.275 2021-08-23
67 2021-08-24 888,000 408,000 0.06 1,500,000,000 239,760 0.270 2021-08-20
68 2021-08-19 480,000 40,000 0.03 1,500,000,000 132,000 0.275 2021-08-17
69 2021-08-17 440,000 -80,000 0.03 1,500,000,000 123,200 0.280 2021-08-13
70 2021-08-09 520,000 80,000 0.03 1,500,000,000 132,600 0.255 2021-08-05
71 2021-08-06 440,000 -8,000 0.03 1,500,000,000 118,800 0.270 2021-08-04
72 2021-08-05 448,000 8,000 0.03 1,400,000,000 123,200 0.275 2021-08-03
73 2021-08-03 440,000 120,000 0.03 1,400,000,000 125,400 0.285 2021-07-30
74 2021-08-02 320,000 -32,264,000 0.02 1,400,000,000 88,000 0.275 2021-07-29
75 2021-07-30 32,584,000 32,240,000 2.33 1,400,000,000 13,359,440 0.410 2021-07-28
76 2021-07-27 344,000 32,000 0.02 1,400,000,000 99,760 0.290 2021-07-23
77 2021-07-26 312,000 -96,000 0.02 1,400,000,000 88,920 0.285 2021-07-22
78 2021-07-20 408,000 104,000 0.03 1,400,000,000 136,680 0.335 2021-07-16
79 2021-07-16 304,000 -16,000 0.02 1,400,000,000 100,320 0.330 2021-07-14
80 2021-07-15 320,000 48,000 0.02 1,400,000,000 110,400 0.345 2021-07-13
81 2021-07-13 272,000 96,000 0.02 1,400,000,000 97,920 0.360 2021-07-09
82 2021-07-12 176,000 -40,000 0.01 1,400,000,000 70,400 0.400 2021-07-08
83 2021-07-09 216,000 -80,000 0.02 1,400,000,000 72,360 0.335 2021-07-07
84 2021-07-08 296,000 120,000 0.02 1,400,000,000 93,240 0.315 2021-07-06
85 2021-07-07 176,000 16,000 0.01 1,400,000,000 71,280 0.405 2021-07-05
86 2021-07-06 160,000 80,000 0.01 1,400,000,000 54,400 0.340 2021-07-02
87 2021-07-02 80,000 -48,000 0.01 1,400,000,000 20,800 0.260 2021-06-29
88 2021-06-02 128,000 -56,000 0.01 1,400,000,000 35,200 0.275 2021-05-31
89 2021-06-01 184,000 -104,000 0.01 1,400,000,000 48,760 0.265 2021-05-28
90 2021-05-25 288,000 -104,000 0.02 1,400,000,000 76,320 0.265 2021-05-21
91 2021-05-24 392,000 56,000 0.03 1,400,000,000 115,640 0.295 2021-05-20
92 2021-05-06 336,000 -184,000 0.02 1,400,000,000 114,240 0.340 2021-05-04
93 2021-05-05 520,000 8,000 0.04 1,400,000,000 166,400 0.320 2021-05-03
94 2021-05-04 512,000 232,000 0.04 1,400,000,000 138,240 0.270 2021-04-30
95 2021-05-03 280,000 200,000 0.02 1,400,000,000 79,800 0.285 2021-04-29
96 2021-03-05 80,000 -80,000 0.01 1,400,000,000 16,160 0.202 2021-03-03
97 2021-02-26 160,000 -96,000 0.01 1,400,000,000 16,480 0.103 2021-02-24
98 2020-01-31 256,000 -104,000 0.02 1,400,000,000 25,856 0.101 2020-01-29
99 2017-03-03 360,000 104,000 0.03 1,400,000,000 104,400 0.290 2017-03-01
100 2016-09-29 256,000 -136,000 0.02 1,400,000,000 62,976 0.246 2016-09-27
101 2016-09-27 392,000 88,000 0.03 1,400,000,000 96,432 0.246 2016-09-23
102 2016-09-26 304,000 48,000 0.02 1,400,000,000 77,520 0.255 2016-09-22
103 2016-07-25 256,000 -280,000 0.02 1,400,000,000 69,120 0.270 2016-07-21
104 2016-07-22 536,000 -96,000 0.04 1,400,000,000 147,400 0.275 2016-07-20
105 2016-07-14 632,000 96,000 0.05 1,400,000,000 180,120 0.285 2016-07-12
106 2016-07-13 536,000 96,000 0.04 1,400,000,000 163,480 0.305 2016-07-11
107 2016-07-11 440,000 32,000 0.03 1,400,000,000 132,000 0.300 2016-07-07
108 2016-07-08 408,000 0.03 1,400,000,000 130,560 0.320 2016-07-06

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