Gold Peak Technology Group Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 00040  1984-07-02    
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

UBS SECURITIES HONG KONG LIMITED

CCASSID: B01161

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 2026-02-05 0.750 2026-02-03
2 2026-02-04 0.750 2026-02-02
3 2026-02-03 0.720 2026-01-30
4 2026-01-05 54,076,374 -736 5.99 902,488,110 40,016,517 0.740 2025-12-30
5 2025-10-31 54,077,110 -1,000 5.99 902,488,110 38,935,519 0.720 2025-10-28
6 2025-10-28 54,078,110 -2,000 5.99 902,488,110 37,854,677 0.700 2025-10-24
7 2025-10-24 54,080,110 -1,000 5.99 902,488,110 37,856,077 0.700 2025-10-22
8 2025-09-15 54,081,110 -1,000 5.99 902,488,110 37,856,777 0.700 2025-09-11
9 2025-07-25 54,082,110 -1,000 5.99 902,488,110 35,694,193 0.660 2025-07-23
10 2025-07-15 54,083,110 6,000 5.99 902,488,110 34,613,190 0.640 2025-07-11
11 2025-03-24 54,077,110 -56,612 5.91 915,475,110 31,905,495 0.590 2025-03-20
12 2025-02-24 54,133,722 -96,000 5.91 915,475,110 29,773,547 0.550 2025-02-20
13 2022-04-28 54,229,722 -35,500 5.92 915,475,110 37,960,805 0.700 2022-04-26
14 2022-04-27 54,265,222 36,000 5.93 915,475,110 38,528,308 0.710 2022-04-25
15 2022-03-30 54,229,222 7,667,910 5.92 915,475,110 35,791,287 0.660 2022-03-28
16 2022-02-21 46,561,312 -1,000 5.93 784,692,952 31,661,692 0.680 2022-02-17
17 2022-02-09 46,562,312 285 5.93 784,692,952 34,921,734 0.750 2022-02-07
18 2021-05-10 46,562,027 1,000,000 5.93 784,692,952 33,524,659 0.720 2021-05-06
19 2021-05-06 45,562,027 -1,000,000 5.81 784,692,952 34,171,520 0.750 2021-05-04
20 2021-03-16 46,562,027 -60,000 5.93 784,692,952 30,265,318 0.650 2021-03-12
21 2021-01-20 46,622,027 60,000 5.94 784,692,952 30,770,538 0.660 2021-01-18
22 2020-10-15 46,562,027 -11,000 5.93 784,692,952 27,937,216 0.600 2020-10-12
23 2020-10-14 46,573,027 11,000 5.94 784,692,952 27,012,356 0.580 2020-10-09
24 2020-03-25 46,562,027 -300,000 5.93 784,692,952 29,799,697 0.640 2020-03-23
25 2020-01-06 46,862,027 46,007,464 5.97 784,692,952 38,426,862 0.820 2020-01-02
26 2019-09-03 854,563 -300,000 0.11 784,692,952 683,650 0.800 2019-08-30
27 2019-06-27 1,154,563 -300,000 0.15 784,692,952 935,196 0.810 2019-06-25
28 2019-06-26 1,454,563 -580,000 0.19 784,692,952 1,178,196 0.810 2019-06-24
29 2019-06-19 2,034,563 -143,000 0.26 784,692,952 1,566,614 0.770 2019-06-17
30 2019-06-18 2,177,563 -82,000 0.28 784,692,952 1,742,050 0.800 2019-06-14
31 2019-06-04 2,259,563 -250,000 0.29 784,692,952 1,762,459 0.780 2019-05-31
32 2017-12-28 2,509,563 -4,622,000 0.32 784,692,952 2,158,224 0.860 2017-12-22
33 2017-11-01 7,131,563 951 0.91 784,692,952 5,919,197 0.830 2017-10-30
34 2017-08-25 7,130,612 -10,000 0.91 784,692,952 5,918,408 0.830 2017-08-22
35 2017-08-24 7,140,612 10,000 0.91 784,692,952 5,998,114 0.840 2017-08-21
36 2017-07-20 7,130,612 2,355,000 0.91 784,692,952 5,347,959 0.750 2017-07-18
37 2015-08-28 4,775,612 -8,000 0.61 784,692,952 4,107,026 0.860 2015-08-26
38 2015-02-16 4,783,612 8,000 0.61 784,692,952 4,209,579 0.880 2015-02-12
39 2014-12-02 4,775,612 -100,000 0.61 784,692,952 4,107,026 0.860 2014-11-28
40 2014-11-28 4,875,612 -25,000 0.62 784,692,952 4,485,563 0.920 2014-11-26
41 2014-11-18 4,900,612 125,000 0.62 784,692,952 5,586,698 1.140 2014-11-14
42 2014-09-08 4,775,612 4,775,612 0.61 784,692,952 3,581,709 0.750 2014-09-04

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