Hangzhou Tigermed Consulting Co., Ltd.: H HKD

Exchange Code Listed Last trade Delisted
HK Main 03347  2020-08-07    
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

CHRISTFUND SECURITIES LIMITED 恒豐證券有限公司

CCASSID: B01373

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 50.75 2026-02-02
2 2026-02-03 55.20 2026-01-30
3 2025-09-15 200 -5,000 0.00 123,124,800 9,100 45.50 2025-09-11
4 2025-09-10 5,200 5,000 0.00 123,124,800 275,600 53.00 2025-09-08
5 2025-06-16 200 -200 0.00 123,124,800 8,400 42.00 2025-06-12
6 2025-04-10 400 -20,000 0.00 123,124,800 10,060 25.15 2025-04-08
7 2025-04-07 20,400 10,000 0.02 123,124,800 617,100 30.25 2025-04-02
8 2025-04-02 10,400 5,000 0.01 123,124,800 322,400 31.00 2025-03-31
9 2025-04-01 5,400 5,000 0.00 123,124,800 172,260 31.90 2025-03-28
10 2025-03-14 400 -8,000 0.00 123,124,800 14,540 36.35 2025-03-12
11 2025-03-03 8,400 8,000 0.01 123,124,800 305,340 36.35 2025-02-27
12 2025-02-28 400 -5,000 0.00 123,124,800 14,760 36.90 2025-02-26
13 2025-02-26 5,400 5,000 0.00 123,124,800 192,780 35.70 2025-02-24
14 2025-02-25 400 -8,000 0.00 123,124,800 15,440 38.60 2025-02-21
15 2025-02-24 8,400 8,000 0.01 123,124,800 298,620 35.55 2025-02-20
16 2024-07-10 400 200 0.00 123,124,800 10,760 26.90 2024-07-08
17 2022-09-13 200 -1,000 0.00 123,124,800 14,760 73.80 2022-09-08
18 2022-09-09 1,200 1,000 0.00 123,124,800 88,020 73.35 2022-09-07
19 2021-09-24 200 -200 0.00 123,124,800 35,000 175.0 2021-09-21
20 2021-09-08 400 -5,300 0.00 123,124,800 60,000 150.0 2021-09-06
21 2021-09-07 5,700 3,200 0.00 123,124,800 758,670 133.1 2021-09-03
22 2021-09-02 2,500 2,000 0.00 123,124,800 345,000 138.0 2021-08-31
23 2021-08-12 500 100 0.00 123,124,800 75,100 150.2 2021-08-10
24 2021-08-09 400 -100 0.00 123,124,800 61,760 154.4 2021-08-05
25 2021-07-29 500 100 0.00 123,124,800 73,850 147.7 2021-07-27
26 2021-04-12 400 -1,200 0.00 123,124,800 59,200 148.0 2021-04-08
27 2021-04-08 1,600 1,200 0.00 123,124,800 243,680 152.3 2021-04-01
28 2021-02-09 400 -100 0.00 123,124,800 71,920 179.8 2021-02-05
29 2021-01-08 500 -500 0.00 123,124,800 91,400 182.8 2021-01-06
30 2021-01-07 1,000 -300 0.00 123,124,800 199,700 199.7 2021-01-05
31 2021-01-06 1,300 500 0.00 123,124,800 253,500 195.0 2021-01-04
32 2021-01-05 800 -200 0.00 123,124,800 146,800 183.5 2020-12-30
33 2021-01-04 1,000 -100 0.00 123,124,800 181,700 181.7 2020-12-29
34 2020-12-30 1,100 500 0.00 123,124,800 202,730 184.3 2020-12-28
35 2020-12-29 600 -400 0.00 123,124,800 103,980 173.3 2020-12-23
36 2020-12-28 1,000 -300 0.00 123,124,800 168,400 168.4 2020-12-22
37 2020-12-22 1,300 -100 0.00 123,124,800 211,900 163.0 2020-12-18
38 2020-12-21 1,400 100 0.00 123,124,800 235,200 168.0 2020-12-17
39 2020-12-18 1,300 800 0.00 123,124,800 217,360 167.2 2020-12-16
40 2020-12-16 500 -600 0.00 123,124,800 78,550 157.1 2020-12-14
41 2020-12-15 1,100 -600 0.00 123,124,800 173,470 157.7 2020-12-11
42 2020-12-14 1,700 500 0.00 123,124,800 265,540 156.2 2020-12-10
43 2020-12-11 1,200 -300 0.00 123,124,800 183,000 152.5 2020-12-09
44 2020-12-09 1,500 1,000 0.00 123,124,800 233,100 155.4 2020-12-07
45 2020-11-24 500 100 0.00 123,124,800 70,450 140.9 2020-11-20
46 2020-11-04 400 -100 0.00 123,124,800 50,400 126.0 2020-11-02
47 2020-10-29 500 -100 0.00 123,124,800 63,250 126.5 2020-10-27
48 2020-10-23 600 100 0.00 123,124,800 76,500 127.5 2020-10-21
49 2020-09-02 500 400 0.00 123,124,800 63,450 126.9 2020-08-31
50 2020-08-25 100 -100 0.00 107,065,100 11,040 110.4 2020-08-21
51 2020-08-12 200 -8,000 0.00 107,065,100 22,060 110.3 2020-08-10
52 2020-08-11 8,200 0.01 107,065,100 929,060 113.3 2020-08-07

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