Green Energy Group Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 00979  1997-06-26    
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

CCB INTERNATIONAL SECURITIES LIMITED 建銀國際證券有限公司

CCASSID: B01813

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 0.330 2026-02-02
2 2026-02-03 0.315 2026-01-30
3 2024-10-24 80,000 -250 0.01 1,356,308,176 20,800 0.260 2024-10-22
4 2021-09-28 80,250 10,000 0.01 1,136,308,176 19,902 0.248 2021-09-24
5 2020-11-27 70,250 -10,000 0.01 1,136,308,176 25,993 0.370 2020-11-25
6 2020-02-26 80,250 10,000 0.01 1,136,308,176 27,686 0.345 2020-02-24
7 2018-03-21 70,250 10,000 0.01 946,928,176 32,666 0.465 2018-03-19
8 2018-03-07 60,250 -200,000 0.01 946,928,176 30,125 0.500 2018-03-05
9 2018-01-04 260,250 200,000 0.03 946,928,176 122,318 0.470 2018-01-02
10 2017-12-04 60,250 -10,000 0.01 946,928,176 28,318 0.470 2017-11-30
11 2017-12-01 70,250 20,000 0.01 946,928,176 35,125 0.500 2017-11-29
12 2017-11-22 50,250 -90,000 0.01 946,928,176 29,648 0.590 2017-11-20
13 2017-11-13 140,250 -20,000 0.01 946,928,176 75,735 0.540 2017-11-09
14 2017-10-18 160,250 10,000 0.02 946,928,176 89,740 0.560 2017-10-16
15 2017-09-18 150,250 -20,000 0.02 946,928,176 72,120 0.480 2017-09-14
16 2017-09-11 170,250 10,000 0.02 946,928,176 69,803 0.410 2017-09-07
17 2017-08-29 160,250 10,000 0.02 946,928,176 64,901 0.405 2017-08-25
18 2017-08-08 150,250 10,000 0.02 946,928,176 75,125 0.500 2017-08-04
19 2017-08-02 140,250 90,000 0.01 946,928,176 71,528 0.510 2017-07-31
20 2017-07-12 50,250 -50,000 0.01 946,928,176 31,658 0.630 2017-07-10
21 2017-06-29 100,250 50,000 0.01 946,928,176 50,125 0.500 2017-06-27
22 2017-04-11 50,250 10,000 0.01 914,678,176 23,869 0.475 2017-04-07
23 2017-04-03 40,250 10,000 0.00 914,678,176 20,125 0.500 2017-03-30
24 2017-01-18 30,250 -20,000 0.00 824,976,176 16,940 0.560 2017-01-16
25 2016-12-28 50,250 -100,000 0.01 681,030,176 22,864 0.455 2016-12-22
26 2015-10-30 150,250 -40,000 0.02 666,030,176 54,841 0.365 2015-10-28
27 2015-09-22 190,250 40,000 0.03 666,030,176 78,003 0.410 2015-09-18
28 2015-08-14 150,250 -6,000 0.02 666,030,176 71,369 0.475 2015-08-12
29 2015-07-14 156,250 6,000 0.02 666,030,176 103,125 0.660 2015-07-10
30 2015-07-06 150,250 10,000 0.02 666,030,176 105,175 0.700 2015-07-02
31 2015-06-11 140,250 10,000 0.02 660,930,176 124,823 0.890 2015-06-09
32 2015-06-09 130,250 -100,000 0.02 660,930,176 134,158 1.030 2015-06-05
33 2015-06-05 230,250 110,000 0.03 660,930,176 237,158 1.030 2015-06-03
34 2015-06-04 120,250 20,000 0.02 660,930,176 128,668 1.070 2015-06-02
35 2015-06-03 100,250 100,000 0.02 660,930,176 85,213 0.850 2015-06-01
36 2015-03-03 250 -100,000 0.00 573,252,176 155 0.620 2015-02-27
37 2015-03-02 100,250 -200,000 0.02 573,252,176 62,155 0.620 2015-02-26
38 2014-11-27 300,250 200,000 0.05 571,752,176 156,130 0.520 2014-11-25
39 2014-10-23 100,250 100,000 0.02 567,752,176 42,606 0.425 2014-10-21
40 2014-09-23 250 -600,000 0.00 561,802,176 145 0.580 2014-09-19
41 2014-09-22 600,250 -120,000 0.11 561,802,176 372,155 0.620 2014-09-18
42 2014-09-18 720,250 -158,000 0.14 532,862,176 403,340 0.560 2014-09-16
43 2014-09-16 878,250 758,000 0.17 512,622,176 500,603 0.570 2014-09-12
44 2014-03-11 120,250 120,000 0.03 463,862,176 44,493 0.370 2014-03-07
45 2010-12-23 250 250 0.00 443,032,176 205 0.820 2010-12-21

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