China Environmental Technology Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 00646  2002-03-28    
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

LUK FOOK SECURITIES (HK) LIMITED 六福證券(香港)有限公司

CCASSID: B01556

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 0.153 2026-02-02
2 2026-02-03 0.153 2026-01-30
3 2025-09-22 102,000 80,000 0.03 342,697,938 18,156 0.178 2025-09-18
4 2022-09-09 22,000 -8,000 0.01 219,017,938 15,400 0.700 2022-09-07
5 2022-09-07 30,000 -80,000 0.01 219,017,938 17,400 0.580 2022-09-05
6 2022-08-03 110,000 8,000 0.05 219,017,938 53,900 0.490 2022-08-01
7 2021-12-14 102,000 -8,000 0.05 219,017,938 71,400 0.700 2021-12-10
8 2021-11-01 110,000 -5,200 0.05 219,017,938 39,050 0.355 2021-10-28
9 2021-10-28 115,200 -176,000 0.05 219,017,938 42,624 0.370 2021-10-26
10 2021-10-07 291,200 400 0.16 182,517,938 96,096 0.330 2021-10-05
11 2021-10-04 290,800 400 0.16 182,517,938 82,878 0.285 2021-09-29
12 2021-09-27 290,400 6,000 0.16 182,517,938 92,928 0.320 2021-09-23
13 2021-09-09 284,400 24,000 0.16 182,517,938 102,384 0.360 2021-09-07
14 2021-09-03 260,400 50,000 0.14 182,517,938 93,744 0.360 2021-09-01
15 2021-08-16 210,400 -50,000 0.12 182,517,938 75,744 0.360 2021-08-12
16 2021-08-13 260,400 50,000 0.14 182,517,938 88,536 0.340 2021-08-11
17 2021-08-02 210,400 -50,400 0.12 182,517,938 84,160 0.400 2021-07-29
18 2021-07-26 260,800 10,000 0.14 182,517,938 119,968 0.460 2021-07-22
19 2021-07-21 250,800 4,400 0.14 182,517,938 120,384 0.480 2021-07-19
20 2021-07-20 246,400 -4,000 0.14 182,517,938 113,344 0.460 2021-07-16
21 2021-07-19 250,400 4,800 0.14 182,517,938 115,184 0.460 2021-07-15
22 2021-07-16 245,600 19,200 0.13 182,517,938 117,888 0.480 2021-07-14
23 2021-07-13 226,400 16,000 0.12 182,517,938 113,200 0.500 2021-07-09
24 2021-07-02 210,400 -100,000 0.12 182,517,938 105,200 0.500 2021-06-29
25 2021-06-28 310,400 200,000 0.17 182,517,938 167,616 0.540 2021-06-24
26 2021-06-21 110,400 -40,000 0.06 182,517,938 59,616 0.540 2021-06-17
27 2021-06-18 150,400 40,000 0.08 182,517,938 87,232 0.580 2021-06-16
28 2021-06-07 110,400 -54,800 0.06 182,517,938 68,448 0.620 2021-06-03
29 2021-06-04 165,200 60,000 0.09 182,517,938 105,728 0.640 2021-06-02
30 2021-05-27 105,200 20,000 0.06 182,517,938 71,536 0.680 2021-05-25
31 2020-12-16 85,200 -10,400 0.05 182,517,938 32,376 0.380 2020-12-14
32 2020-12-11 95,600 10,400 0.05 182,517,938 38,240 0.400 2020-12-09
33 2020-04-27 85,200 -8,000 0.05 182,517,938 30,672 0.360 2020-04-23
34 2020-02-20 93,200 -10,000 0.05 182,517,938 68,968 0.740 2020-02-18
35 2020-02-13 103,200 10,000 0.06 182,517,938 72,240 0.700 2020-02-11
36 2019-10-31 93,200 2,000 0.05 182,517,938 80,152 0.860 2019-10-29
37 2019-10-28 91,200 6,000 0.05 182,517,938 78,432 0.860 2019-10-24
38 2019-10-25 85,200 -10,000 0.05 182,517,938 71,568 0.840 2019-10-23
39 2019-10-24 95,200 2,000 0.05 182,517,938 85,680 0.900 2019-10-22
40 2019-10-21 93,200 8,000 0.05 182,517,938 102,520 1.100 2019-10-17
41 2019-10-16 85,200 -8,000 0.05 182,517,938 109,056 1.280 2019-10-14
42 2019-10-14 93,200 8,000 0.05 182,517,938 115,568 1.240 2019-10-10
43 2019-10-09 85,200 -14,000 0.05 182,517,938 124,392 1.460 2019-10-04
44 2019-10-04 99,200 34,000 0.05 182,517,938 113,088 1.140 2019-10-02
45 2019-10-02 65,200 -8,000 0.04 182,517,938 104,320 1.600 2019-09-27
46 2019-09-30 73,200 28,000 0.04 182,517,938 121,512 1.660 2019-09-26
47 2019-09-26 45,200 40,000 0.02 182,517,938 78,648 1.740 2019-09-24
48 2019-09-25 5,200 -60,000 0.00 182,517,938 10,816 2.080 2019-09-23
49 2019-09-24 65,200 60,000 0.04 182,517,938 110,840 1.700 2019-09-20
50 2019-07-16 5,200 -257,600 0.00 182,517,938 2,912 0.560 2019-07-12
51 2018-02-06 262,800 5,200 0.14 182,517,938 883,008 3.360 2018-02-02
52 2017-06-16 257,600 -19,200 0.14 182,517,938 1,025,248 3.980 2017-06-14
53 2017-06-15 276,800 247,600 0.15 182,517,938 1,140,416 4.120 2017-06-13
54 2017-05-29 29,200 -20,800 0.02 182,517,938 117,968 4.040 2017-05-25
55 2017-03-21 50,000 50,000 0.03 150,017,938 219,000 4.380 2017-03-17
56 2015-05-29 0 -4,000 0.00 125,015,138 0 10.00 2015-05-27
57 2015-04-30 4,000 -2,000 0.00 125,015,138 25,600 6.400 2015-04-28
58 2015-04-29 6,000 2,000 0.00 125,015,138 39,600 6.600 2015-04-27
59 2015-04-24 4,000 -3,200 0.00 125,015,138 26,400 6.600 2015-04-22
60 2015-04-23 7,200 3,200 0.01 125,015,138 50,400 7.000 2015-04-21
61 2014-09-05 4,000 -3,600 0.00 125,015,138 15,840 3.960 2014-09-03
62 2014-09-04 7,600 3,600 0.01 125,015,138 30,096 3.960 2014-09-02
63 2014-08-07 4,000 -50,000 0.00 125,015,138 17,680 4.420 2014-08-05
64 2014-08-01 54,000 -10,000 0.04 125,015,138 236,520 4.380 2014-07-30
65 2014-07-31 64,000 10,000 0.05 125,015,138 282,880 4.420 2014-07-29
66 2014-07-22 54,000 50,000 0.04 125,015,138 238,680 4.420 2014-07-18
67 2014-07-18 4,000 -30,000 0.00 125,015,138 17,920 4.480 2014-07-16
68 2014-07-17 34,000 -10,000 0.03 125,015,138 153,000 4.500 2014-07-15
69 2014-07-16 44,000 -10,000 0.04 125,015,138 200,640 4.560 2014-07-14
70 2014-07-07 54,000 50,000 0.04 125,015,138 252,720 4.680 2014-07-03
71 2014-06-27 4,000 -4,800 0.00 125,015,138 17,600 4.400 2014-06-25
72 2014-06-26 8,800 4,800 0.01 125,015,138 39,072 4.440 2014-06-24
73 2014-06-03 4,000 -36,000 0.00 125,015,138 16,640 4.160 2014-05-29
74 2014-05-30 40,000 -4,000 0.03 125,015,138 171,200 4.280 2014-05-28
75 2014-05-29 44,000 10,800 0.04 125,015,138 187,440 4.260 2014-05-27
76 2014-05-28 33,200 18,800 0.03 125,015,138 152,056 4.580 2014-05-26
77 2014-05-27 14,400 10,400 0.01 125,015,138 58,752 4.080 2014-05-23
78 2014-05-20 4,000 -5,600 0.00 125,015,138 18,160 4.540 2014-05-16
79 2014-05-19 9,600 5,600 0.01 125,015,138 43,008 4.480 2014-05-15
80 2011-12-15 4,000 4,000 0.00 121,549,049 13,600 3.400 2011-12-13

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