在指明期間內所有披露權益通知 - 現有上市證券
 
股份代號: 00548
上市法團名稱: 深圳高速公路股份有限公司 - H股
日期 (日/月/年): 03/07/2019 - 03/07/2020
 
如欲觀看披露權益通知之內容, 請於「有關事件的日期」欄按下有關連結。
*註解:(L) - 好倉, (S) - 淡倉, (P)- 可供借出的股份

表格序號大股東/董事/最高行政人員名稱作出披露的原因 買入/賣出或涉及的股份數目每股的平均價持有權益的股份數目(請參閱上述*註解)佔已發行的有投票權股份百分比(%)有關事件的日期 (日/月/年)相關法團股份權益債權證權益
CS20200703E00009BlackRock, Inc.1205(L)
1,702,171(L)
 58,719,503(L)
7.86(L)
01/07/2020  
CS20200702E00063BlackRock, Inc.1313(L)
598,000(L)
 60,421,674(L)
8.08(L)
30/06/2020  
CS20200702E00052BlackRock, Inc.1101(L)
7,516,514(L)
HKD 7.853760,421,674(L)
8.08(L)
30/06/2020  
CS20200702E00027BlackRock, Inc.1101(L)
1,444,000(L)
HKD 8.169153,059,086(L)
7.10(L)
29/06/2020  
CS20200702E00012BlackRock, Inc.1313(L)
1,790,000(L)
 53,059,086(L)
7.10(L)
29/06/2020  
 林繼童       
 廖湘文       
 胡偉       
 范志勇       
 陳凱       
 陳燕       
CS20200610E00319FMR LLC1101(L)
1,250,000(L)
HKD 8.198644,990,541(L)
6.02(L)
05/06/2020  
CS20200609E00341FIDELITY INVESTMENT TRUST1001(L)
2,620,000(L)
HKD 8.076439,046,000(L)
5.22(L)
04/06/2020  
CS20200527E00297JPMorgan Chase & Co.1201(L)
1,661,460(L)
HKD 7.904551,215,651(L)
3,108,000(S)
44,563,198(P)
6.85(L)
0.41(S)
5.96(P)
22/05/2020  
CS20200527E00376LSV ASSET MANAGEMENT1201(L)
894,000(L)
HKD 7.868636,936,000(L)
4.94(L)
22/05/2020  
CS20200525E00057JPMorgan Chase & Co.1101(L)
1,013,037(L)
HKD 8.231953,093,182(L)
3,486,000(S)
44,539,270(P)
7.10(L)
0.46(S)
5.95(P)
20/05/2020  
CS20200522E00217JPMorgan Chase & Co.1201(L)
508,000(L)
HKD 8.397952,080,145(L)
3,404,000(S)
44,549,699(P)
6.96(L)
0.45(S)
5.95(P)
19/05/2020  
CS20200521E00289JPMorgan Chase & Co.1101(L)
1,269,999(L)
HKD 8.192952,588,145(L)
3,238,000(S)
44,519,699(P)
7.03(L)
0.43(S)
5.95(P)
18/05/2020  
CS20200428E00018LSV ASSET MANAGEMENT1001(L)
560,000(L)
HKD 8.034837,756,000(L)
5.05(L)
24/04/2020  
CS20200326E00009BlackRock, Inc.1313(L)
430,000(L)
 46,934,842(L)
78,000(S)
6.28(L)
0.01(S)
23/03/2020  
CS20200325E00029BlackRock, Inc.1314(L)
584,669(L)
 46,907,282(L)
78,000(S)
6.28(L)
0.01(S)
20/03/2020  
CS20200321E00020BlackRock, Inc.1314(L)
509,841(L)
 46,881,964(L)
78,000(S)
6.27(L)
0.01(S)
18/03/2020  
CS20200319E00013BlackRock, Inc.1314(L)
455,731(L)
 47,255,490(L)
78,000(S)
6.32(L)
0.01(S)
16/03/2020  
CS20200318E00015BlackRock, Inc.1314(L)
201,743(L)
 47,190,478(L)
78,000(S)
6.31(L)
0.01(S)
13/03/2020  
CS20200317E00017BlackRock, Inc.1314(L)
274,864(L)
 47,173,776(L)
78,000(S)
6.31(L)
0.01(S)
12/03/2020  
CS20200314E00014BlackRock, Inc.1314(L)
135,662(L)
 46,376,110(L)
78,000(S)
6.20(L)
0.01(S)
11/03/2020  
CS20200313E00014BlackRock, Inc.1313(L)
142,000(L)
 46,570,164(L)
78,000(S)
6.23(L)
0.01(S)
10/03/2020  
CS20200312E00022BlackRock, Inc.1314(L)
920,000(L)
 46,598,900(L)
78,000(S)
6.23(L)
0.01(S)
09/03/2020  
CS20200311E00020BlackRock, Inc.1313(L)
243,841(L)
 46,660,983(L)
78,000(S)
6.24(L)
0.01(S)
06/03/2020  
CS20200307E00012BlackRock, Inc.1313(L)
1,796,000(L)
 45,923,345(L)
78,000(S)
6.14(L)
0.01(S)
04/03/2020  
CS20200304E00012BlackRock, Inc.1101(L)
1,592,000(L)
HKD 9.470146,391,260(L)
78,000(S)
6.21(L)
0.01(S)
28/02/2020  
CS20200303E00006BlackRock, Inc.1205(L)
1,113,927(L)
 44,799,260(L)
78,000(S)
5.99(L)
0.01(S)
27/02/2020  
CS20200228E00016BlackRock, Inc.1314(L)
291,228(L)
 48,070,983(L)
78,000(S)
6.43(L)
0.01(S)
25/02/2020  
CS20200226E00020BlackRock, Inc.1314(L)
326,000(L)
 47,358,613(L)
78,000(S)
6.34(L)
0.01(S)
21/02/2020  
CS20200225E00012BlackRock, Inc.1314(L)
107,007(L)
 47,671,823(L)
78,000(S)
6.38(L)
0.01(S)
20/02/2020  
CS20200221E00023BlackRock, Inc.1313(L)
248,000(L)
 46,845,762(L)
78,000(S)
6.27(L)
0.01(S)
18/02/2020  
CS20200215E00018BlackRock, Inc.1314(L)
130,000(L)
 47,131,445(L)
78,000(S)
6.31(L)
0.01(S)
13/02/2020  
CS20200213E00024BlackRock, Inc.1313(L)
150,000(L)
 47,009,447(L)
78,000(S)
6.29(L)
0.01(S)
10/02/2020  
CS20200211E00021BlackRock, Inc.1313(L)
398,000(L)
 49,333,302(L)
78,000(S)
6.60(L)
0.01(S)
06/02/2020  
CS20200210E00379FMR LLC1001(L)
350,000(L)
HKD 10.497137,659,862(L)
5.04(L)
05/02/2020  
CS20200507E00460Brown Brothers Harriman & Co.1704(L)
2,141,600(L)
 35,446,790(L)
35,446,790(P)
4.74(L)
4.74(P)
23/01/2020  
CS20200118E00018BlackRock, Inc.1314(L)
112,740(L)
 48,274,736(L)
78,000(S)
6.46(L)
0.01(S)
16/01/2020  
CS20200117E00044BlackRock, Inc.1314(L)
80,591(L)
 48,477,676(L)
78,000(S)
6.49(L)
0.01(S)
15/01/2020  
CS20200116E00030BlackRock, Inc.1314(L)
75,966(L)
 48,116,367(L)
78,000(S)
6.44(L)
0.01(S)
13/01/2020  
CS20200115E00024BlackRock, Inc.1314(L)
249,795(L)
 47,602,235(L)
78,000(S)
6.37(L)
0.01(S)
10/01/2020  
CS20200424E00356Pacific Asset Management Co., Ltd.1201(L)
950,000(L)
HKD 11.184844,112,000(L)
5.90(L)
10/01/2020  
CS20200111E00027BlackRock, Inc.1314(L)
65,556(L)
 47,623,367(L)
78,000(S)
6.37(L)
0.01(S)
08/01/2020  
CS20200109E00027BlackRock, Inc.1313(L)
306,000(L)
 47,357,634(L)
78,000(S)
6.34(L)
0.01(S)
06/01/2020  
CS20200104E00012BlackRock, Inc.1314(L)
310,000(L)
 46,840,788(L)
78,000(S)
6.27(L)
0.01(S)
31/12/2019  
CS20200103E00010BlackRock, Inc.1313(L)
310,000(L)
 46,850,795(L)
78,000(S)
6.27(L)
0.01(S)
30/12/2019  
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