China Nature Energy Technology Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 01597  2020-10-20    
Stock code:

Adjust for splits and bonus issues: Yes No

Use price on: trading date holding/settlement date

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Table rows with no holding change: include exclude

KGI SECURITIES (HONG KONG) LIMITED 凱基證券(香港)有限公司

CCASSID: B01610

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 3.750 2026-02-02
2 2026-02-03 4.130 2026-01-30
3 2024-11-15 80,000 5,000 0.03 250,000,000 553,600 6.920 2024-11-13
4 2024-11-14 75,000 5,000 0.03 250,000,000 491,250 6.550 2024-11-12
5 2024-11-13 70,000 9,000 0.03 250,000,000 350,000 5.000 2024-11-11
6 2023-06-26 61,000 2,000 0.02 250,000,000 366,000 6.000 2023-06-21
7 2023-06-20 59,000 5,000 0.02 250,000,000 342,200 5.800 2023-06-16
8 2023-06-14 54,000 -817,000 0.02 250,000,000 270,000 5.000 2023-06-12
9 2023-06-06 871,000 7,000 0.35 250,000,000 5,051,800 5.800 2023-06-02
10 2023-06-05 864,000 -14,000 0.35 250,000,000 4,371,840 5.060 2023-06-01
11 2022-12-20 878,000 -1,000 0.35 250,000,000 3,029,100 3.450 2022-12-16
12 2022-09-20 879,000 -1,000 0.35 250,000,000 2,927,070 3.330 2022-09-16
13 2022-09-07 880,000 -3,000 0.35 250,000,000 2,745,600 3.120 2022-09-05
14 2022-08-26 883,000 3,000 0.35 250,000,000 2,701,980 3.060 2022-08-24
15 2022-03-11 880,000 -10,000 0.35 250,000,000 1,698,400 1.930 2022-03-09
16 2022-01-27 890,000 -386,000 0.36 250,000,000 1,753,300 1.970 2022-01-25
17 2022-01-10 1,276,000 17,000 0.51 250,000,000 2,526,480 1.980 2022-01-06
18 2022-01-03 1,259,000 30,000 0.50 250,000,000 2,455,050 1.950 2021-12-29
19 2021-12-21 1,229,000 33,000 0.49 250,000,000 2,421,130 1.970 2021-12-17
20 2021-12-20 1,196,000 4,000 0.48 250,000,000 2,368,080 1.980 2021-12-16
21 2021-12-17 1,192,000 40,000 0.48 250,000,000 2,384,000 2.000 2021-12-15
22 2021-12-16 1,152,000 30,000 0.46 250,000,000 2,269,440 1.970 2021-12-14
23 2021-12-01 1,122,000 -10,000 0.45 250,000,000 2,244,000 2.000 2021-11-29
24 2021-11-30 1,132,000 -10,000 0.45 250,000,000 2,275,320 2.010 2021-11-26
25 2021-11-29 1,142,000 11,000 0.46 250,000,000 2,295,420 2.010 2021-11-25
26 2021-11-26 1,131,000 40,000 0.45 250,000,000 2,250,690 1.990 2021-11-24
27 2021-11-25 1,091,000 30,000 0.44 250,000,000 2,214,730 2.030 2021-11-23
28 2021-11-23 1,061,000 6,000 0.42 250,000,000 2,111,390 1.990 2021-11-19
29 2021-11-05 1,055,000 -9,000 0.42 250,000,000 2,110,000 2.000 2021-11-03
30 2021-11-04 1,064,000 7,000 0.43 250,000,000 2,128,000 2.000 2021-11-02
31 2021-10-21 1,057,000 10,000 0.42 250,000,000 2,335,970 2.210 2021-10-19
32 2021-10-11 1,047,000 10,000 0.42 250,000,000 2,355,750 2.250 2021-10-07
33 2021-10-08 1,037,000 10,000 0.41 250,000,000 2,540,650 2.450 2021-10-06
34 2021-09-27 1,027,000 54,000 0.41 250,000,000 1,910,220 1.860 2021-09-23
35 2021-09-23 973,000 -10,000 0.39 250,000,000 1,800,050 1.850 2021-09-20
36 2021-09-17 983,000 14,000 0.39 250,000,000 1,838,210 1.870 2021-09-15
37 2021-09-07 969,000 40,000 0.39 250,000,000 1,734,510 1.790 2021-09-03
38 2021-09-01 929,000 -20,000 0.37 250,000,000 1,607,170 1.730 2021-08-30
39 2021-08-26 949,000 30,000 0.38 250,000,000 1,651,260 1.740 2021-08-24
40 2021-08-03 919,000 50,000 0.37 250,000,000 1,470,400 1.600 2021-07-30
41 2021-07-20 869,000 -10,000 0.35 250,000,000 1,442,540 1.660 2021-07-16
42 2021-07-19 879,000 -8,000 0.35 250,000,000 1,415,190 1.610 2021-07-15
43 2021-07-14 887,000 -35,000 0.35 250,000,000 1,596,600 1.800 2021-07-12
44 2021-07-13 922,000 30,000 0.37 250,000,000 1,733,360 1.880 2021-07-09
45 2021-07-12 892,000 15,000 0.36 250,000,000 1,436,120 1.610 2021-07-08
46 2021-07-05 877,000 -20,000 0.35 250,000,000 1,350,580 1.540 2021-06-30
47 2021-06-25 897,000 20,000 0.36 250,000,000 1,435,200 1.600 2021-06-23
48 2021-06-21 877,000 17,000 0.35 250,000,000 1,245,340 1.420 2021-06-17
49 2021-05-26 860,000 -20,000 0.34 250,000,000 1,470,600 1.710 2021-05-24
50 2021-05-17 880,000 -1,431,000 0.35 250,000,000 1,592,800 1.810 2021-05-13
51 2021-05-12 2,311,000 -52,000 0.92 250,000,000 4,021,140 1.740 2021-05-10
52 2021-05-11 2,363,000 42,000 0.95 250,000,000 4,655,110 1.970 2021-05-07
53 2021-05-10 2,321,000 40,000 0.93 250,000,000 4,665,210 2.010 2021-05-06
54 2021-05-07 2,281,000 92,000 0.91 250,000,000 4,607,620 2.020 2021-05-05
55 2021-05-05 2,189,000 78,000 0.88 250,000,000 4,596,900 2.100 2021-05-03
56 2021-05-03 2,111,000 1,000 0.84 250,000,000 4,264,220 2.020 2021-04-29
57 2021-04-30 2,110,000 16,000 0.84 250,000,000 4,220,000 2.000 2021-04-28
58 2021-04-29 2,094,000 48,000 0.84 250,000,000 4,313,640 2.060 2021-04-27
59 2021-04-28 2,046,000 40,000 0.82 250,000,000 3,948,780 1.930 2021-04-26
60 2021-04-27 2,006,000 88,000 0.80 250,000,000 3,771,280 1.880 2021-04-23
61 2021-04-23 1,918,000 -20,000 0.77 250,000,000 3,625,020 1.890 2021-04-21
62 2021-04-21 1,938,000 -12,000 0.78 250,000,000 3,779,100 1.950 2021-04-19
63 2021-04-20 1,950,000 15,000 0.78 250,000,000 3,705,000 1.900 2021-04-16
64 2021-04-16 1,935,000 21,000 0.77 250,000,000 3,386,250 1.750 2021-04-14
65 2021-04-15 1,914,000 -20,000 0.77 250,000,000 3,426,060 1.790 2021-04-13
66 2021-04-14 1,934,000 -10,000 0.77 250,000,000 3,345,820 1.730 2021-04-12
67 2021-04-12 1,944,000 10,000 0.78 250,000,000 3,518,640 1.810 2021-04-08
68 2021-04-09 1,934,000 10,000 0.77 250,000,000 3,345,820 1.730 2021-04-07
69 2021-04-08 1,924,000 -20,000 0.77 250,000,000 3,136,120 1.630 2021-04-01
70 2021-04-07 1,944,000 50,000 0.78 250,000,000 3,129,840 1.610 2021-03-31
71 2021-03-31 1,894,000 167,000 0.76 250,000,000 3,068,280 1.620 2021-03-29
72 2021-03-30 1,727,000 80,000 0.69 250,000,000 3,022,250 1.750 2021-03-26
73 2021-03-29 1,647,000 420,000 0.66 250,000,000 2,832,840 1.720 2021-03-25
74 2021-03-26 1,227,000 53,000 0.49 250,000,000 2,343,570 1.910 2021-03-24
75 2021-03-25 1,174,000 610,000 0.47 250,000,000 2,207,120 1.880 2021-03-23
76 2021-03-24 564,000 44,000 0.23 250,000,000 913,680 1.620 2021-03-22
77 2021-03-22 520,000 130,000 0.21 250,000,000 816,400 1.570 2021-03-18
78 2021-03-19 390,000 20,000 0.16 250,000,000 608,400 1.560 2021-03-17
79 2021-03-18 370,000 40,000 0.15 250,000,000 584,600 1.580 2021-03-16
80 2021-03-16 330,000 230,000 0.13 250,000,000 495,000 1.500 2021-03-12
81 2021-02-26 100,000 -26,000 0.04 250,000,000 138,000 1.380 2021-02-24
82 2021-02-25 126,000 1,000 0.05 250,000,000 180,180 1.430 2021-02-23
83 2021-02-23 125,000 6,000 0.05 250,000,000 182,500 1.460 2021-02-19
84 2021-02-22 119,000 -1,000 0.05 250,000,000 184,450 1.550 2021-02-18
85 2021-02-19 120,000 -50,000 0.05 250,000,000 188,400 1.570 2021-02-17
86 2021-02-17 170,000 3,000 0.07 250,000,000 229,500 1.350 2021-02-10
87 2021-02-16 167,000 1,000 0.07 250,000,000 230,460 1.380 2021-02-09
88 2021-02-10 166,000 -1,000 0.07 250,000,000 225,760 1.360 2021-02-08
89 2021-02-09 167,000 4,000 0.07 250,000,000 232,130 1.390 2021-02-05
90 2021-02-08 163,000 3,000 0.07 250,000,000 224,940 1.380 2021-02-04
91 2021-02-04 160,000 19,000 0.06 250,000,000 230,400 1.440 2021-02-02
92 2021-01-29 141,000 -30,000 0.06 250,000,000 208,680 1.480 2021-01-27
93 2021-01-27 171,000 10,000 0.07 250,000,000 251,370 1.470 2021-01-25
94 2021-01-26 161,000 30,000 0.06 250,000,000 241,500 1.500 2021-01-22
95 2021-01-25 131,000 -10,000 0.05 250,000,000 206,980 1.580 2021-01-21
96 2021-01-20 141,000 -20,000 0.06 250,000,000 187,530 1.330 2021-01-18
97 2021-01-15 161,000 -20,000 0.06 250,000,000 218,960 1.360 2021-01-13
98 2021-01-12 181,000 10,000 0.07 250,000,000 255,210 1.410 2021-01-08
99 2021-01-06 171,000 -14,000 0.07 250,000,000 241,110 1.410 2021-01-04
100 2021-01-05 185,000 1,000 0.07 250,000,000 255,300 1.380 2020-12-30
101 2020-12-30 184,000 12,000 0.07 250,000,000 257,600 1.400 2020-12-28
102 2020-12-29 172,000 -9,000 0.07 250,000,000 263,160 1.530 2020-12-23
103 2020-12-28 181,000 40,000 0.07 250,000,000 266,070 1.470 2020-12-22
104 2020-12-22 141,000 -46,000 0.06 250,000,000 228,420 1.620 2020-12-18
105 2020-12-21 187,000 76,000 0.07 250,000,000 289,850 1.550 2020-12-17
106 2020-12-18 111,000 -68,000 0.04 250,000,000 188,700 1.700 2020-12-16
107 2020-12-16 179,000 30,000 0.07 250,000,000 236,280 1.320 2020-12-14
108 2020-12-15 149,000 40,000 0.06 250,000,000 187,740 1.260 2020-12-11
109 2020-12-09 109,000 -5,000 0.04 250,000,000 140,610 1.290 2020-12-07
110 2020-12-07 114,000 -15,000 0.05 250,000,000 159,600 1.400 2020-12-03
111 2020-12-03 129,000 -30,000 0.05 250,000,000 172,860 1.340 2020-12-01
112 2020-12-01 159,000 -130,000 0.06 250,000,000 232,140 1.460 2020-11-27
113 2020-11-30 289,000 -30,000 0.12 250,000,000 447,950 1.550 2020-11-26
114 2020-11-27 319,000 20,000 0.13 250,000,000 504,020 1.580 2020-11-25
115 2020-11-26 299,000 -20,000 0.12 250,000,000 484,380 1.620 2020-11-24
116 2020-11-25 319,000 30,000 0.13 250,000,000 497,640 1.560 2020-11-23
117 2020-11-23 289,000 -1,000 0.12 250,000,000 453,730 1.570 2020-11-19
118 2020-11-19 290,000 5,000 0.12 250,000,000 461,100 1.590 2020-11-17
119 2020-11-17 285,000 15,000 0.11 250,000,000 456,000 1.600 2020-11-13
120 2020-11-13 270,000 -10,000 0.11 250,000,000 440,100 1.630 2020-11-11
121 2020-11-11 280,000 -19,000 0.11 250,000,000 484,400 1.730 2020-11-09
122 2020-11-10 299,000 -89,000 0.12 250,000,000 526,240 1.760 2020-11-06
123 2020-11-09 388,000 40,000 0.16 250,000,000 694,520 1.790 2020-11-05
124 2020-11-05 348,000 49,000 0.14 250,000,000 647,280 1.860 2020-11-03
125 2020-11-04 299,000 10,000 0.12 250,000,000 535,210 1.790 2020-11-02
126 2020-11-03 289,000 60,000 0.12 250,000,000 525,980 1.820 2020-10-30
127 2020-11-02 229,000 -102,000 0.09 250,000,000 368,690 1.610 2020-10-29
128 2020-10-30 331,000 50,000 0.13 250,000,000 566,010 1.710 2020-10-28
129 2020-10-28 281,000 41,000 0.11 250,000,000 545,140 1.940 2020-10-23
130 2020-10-27 240,000 14,000 0.10 250,000,000 504,000 2.100 2020-10-22
131 2020-10-23 226,000 -148,000 0.09 250,000,000 497,200 2.200 2020-10-21
132 2020-10-22 374,000 0.15 250,000,000 774,180 2.070 2020-10-20

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