Min Fu International Holding Limited (KY): O HKD

Exchange Code Listed Last trade Delisted
HK GEM 08511  2018-04-20    
Stock code:

Table rows with no holding change: include exclude

Estimated securities not in CCASS

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Row Holding
date
Holding Change Stake
%
Issued
shares
As at date
1 2025-12-11 324,151 -126,000 1.25 25,914,329 2025-11-30
2 2025-11-13 450,151 126,000 1.74 25,914,329 2025-10-31
3 2025-11-12 324,151 -360,000 1.25 25,914,329 2025-10-31
4 2025-11-06 684,151 -60,000 2.64 25,914,329 2025-10-31
5 2025-09-09 744,151 -466,000 2.87 25,914,329 2025-08-31
6 2025-08-15 1,210,151 72,000 4.67 25,914,329 2025-07-31
7 2025-07-31 1,138,151 -78,000 4.39 25,914,329 2025-07-31
8 2025-06-26 1,216,151 -360,000 4.69 25,914,329 2025-05-31
9 2025-04-23 1,576,151 -2,416,000 6.08 25,914,329 2025-03-31
10 2025-03-12 3,992,151 3,918,000 15.41 25,914,329 2025-02-28
11 2025-03-11 74,151 -100 0.29 25,914,329 2025-02-28
12 2024-12-17 74,251 -75 0.34 21,596,329 2024-11-30
13 2024-12-05 74,326 75 0.34 21,596,329 2024-11-30
14 2024-11-11 74,251 -29,500 0.34 21,596,329 2024-10-31
15 2024-10-22 103,751 29,500 0.48 21,596,329 2024-10-03
16 2024-10-04 74,251 839,361,055 0.34 21,596,329 2024-10-03
17 2024-10-03 -839,286,804 -842,256,854 -3,886.25 21,596,329 2024-10-03
18 2024-08-21 2,970,050 1,000,000 0.41 719,893,183 2024-07-31
19 2024-06-04 1,970,050 1,832,000 0.27 719,893,183 2024-05-31
20 2023-08-24 138,050 -3,000 0.02 719,893,183 2023-08-02
21 2023-08-02 141,050 14,000 0.02 719,893,183 2023-08-02
22 2023-07-18 127,050 3,000 0.03 480,000,000 2023-06-30
23 2023-06-05 124,050 -1,780,000 0.03 480,000,000 2023-05-31
24 2023-05-12 1,904,050 -2,000 0.40 480,000,000 2023-04-30
25 2023-02-22 1,906,050 2,000 0.40 480,000,000 2023-01-31
26 2022-08-23 1,904,050 -5,000,000 0.48 400,000,000 2022-07-31
27 2022-08-01 6,904,050 -1,980,000 1.73 400,000,000 2022-07-31
28 2022-07-21 8,884,050 -5,000,000 2.22 400,000,000 2022-06-30
29 2022-07-13 13,884,050 -10,000,000 3.47 400,000,000 2022-06-30
30 2022-06-27 23,884,050 2,396,000 5.97 400,000,000 2022-05-31
31 2022-06-15 21,488,050 -4,680,000 5.37 400,000,000 2022-05-31
32 2022-06-06 26,168,050 20,000,000 6.54 400,000,000 2022-05-31
33 2022-05-31 6,168,050 1,364,000 1.54 400,000,000 2022-05-31
34 2022-05-25 4,804,050 1,780,000 1.20 400,000,000 2022-04-30
35 2022-05-20 3,024,050 2,900,000 0.76 400,000,000 2022-04-30
36 2022-05-13 124,050 -16,000 0.03 400,000,000 2022-04-30
37 2022-01-25 140,050 -7,656,000 0.04 400,000,000 2021-12-31
38 2022-01-24 7,796,050 -40,000 1.95 400,000,000 2021-12-31
39 2022-01-06 7,836,050 6,112,000 1.96 400,000,000 2021-12-31
40 2022-01-05 1,724,050 1,524,000 0.43 400,000,000 2021-12-31
41 2022-01-03 200,050 8,000 0.05 400,000,000 2021-12-31
42 2021-12-29 192,050 -6,000,000 0.05 400,000,000 2021-11-30
43 2021-12-22 6,192,050 -4,000 1.55 400,000,000 2021-11-30
44 2021-04-28 6,196,050 -8,668,000 1.55 400,000,000 2021-03-31
45 2021-04-26 14,864,050 8,668,000 3.72 400,000,000 2021-03-31
46 2020-09-16 6,196,050 -293,940,000 1.55 400,000,000 2020-08-31
47 2020-07-17 300,136,050 -4,000 75.03 400,000,000 2020-06-30
48 2019-11-27 300,140,050 40,000 75.04 400,000,000 2019-10-31
49 2019-06-06 300,100,050 293,940,000 75.03 400,000,000 2019-05-31
50 2019-05-30 6,160,050 -293,940,000 1.54 400,000,000 2019-04-30
51 2018-10-10 300,100,050 -4,000 75.03 400,000,000 2018-09-30
52 2018-08-24 300,104,050 -4,000 75.03 400,000,000 2018-07-31
53 2018-07-17 300,108,050 -4,000 75.03 400,000,000 2018-06-30
54 2018-07-05 300,112,050 -4,000 75.03 400,000,000 2018-06-30
55 2018-06-29 300,116,050 -4,000 75.03 400,000,000 2018-05-31
56 2018-06-20 300,120,050 -8,000 75.03 400,000,000 2018-05-31
57 2018-06-11 300,128,050 -4,000 75.03 400,000,000 2018-05-31
58 2018-05-15 300,132,050 50 75.03 400,000,000 2018-04-30
59 2018-04-26 300,132,000 -8,000 75.03 400,000,000 2018-04-20
60 2018-04-25 300,140,000 -4,000 75.04 400,000,000 2018-04-20
61 2018-04-24 300,144,000 -8,000 75.04 400,000,000 2018-04-20

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