在指明期間內所有披露權益通知 - 現有上市證券
 
股份代號: 02001
上市法團名稱: 中國新高教集團有限公司
日期 (日/月/年): 29/07/2020 - 29/07/2021
 
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
DA20210728E00292李孝轩1101(L)
693,000(L)
HKD 3.5900752,465,225(L)
47.45(L)
28/07/2021  
DA20210728E00291李孝轩1101(L)
307,000(L)
HKD 3.4300751,772,225(L)
47.40(L)
27/07/2021  
CS20210729E00290TX Capital (HK) Limited1101(L)
3,500,000(L)
HKD 3.774998,524,000(L)
6.21(L)
26/07/2021  
CS20210621E00406Credit Suisse Group AG1704(L)
1503(S)
4,449,866(L)
4,449,866(S)
 76,986,084(L)
60,335,005(S)
4.85(L)
3.80(S)
17/06/2021  
CS20210615E00188Credit Suisse Group AG1013(L)
1403(S)
1,895,000(L)
1,895,000(S)
 80,558,393(L)
64,697,871(S)
5.08(L)
4.08(S)
11/06/2021  
CS20210514E00045Credit Suisse Group AG1704(L)
1503(S)
20,000,000(L)
20,000,000(S)
 64,076,640(L)
59,591,640(S)
4.04(L)
3.76(S)
11/05/2021  
CS20210507E00058Credit Suisse Group AG1403(S)203,000(S) 84,030,640(L)
79,297,640(S)
5.30(L)
5.00(S)
04/05/2021  
CS20210504E00307Credit Suisse Group AG1503(S)866,927(S) 83,572,640(L)
79,060,640(S)
5.27(L)
4.99(S)
30/04/2021  
CS20210503E00263Credit Suisse Group AG1403(S)483,000(S) 83,762,567(L)
79,348,567(S)
5.28(L)
5.00(S)
29/04/2021  
CS20210430E00177Credit Suisse Group AG1503(S)3,120,000(S) 82,891,567(L)
78,425,567(S)
5.23(L)
4.95(S)
27/04/2021  
CS20210429E00144Credit Suisse Group AG1403(S)6,000,000(S) 85,367,567(L)
81,492,567(S)
5.38(L)
5.14(S)
26/04/2021  
CS20210316E00299UBS Group AG1704(L)
  29,085,449(L)
1.83(L)
11/03/2021  
CS20210311E00216Credit Suisse Group AG1013(L)
1,964,154(L)
 81,214,549(L)
71,699,567(S)
5.12(L)
4.52(S)
09/03/2021  
CS20210216E00392UBS Group AG1306(L)
2,065,000(L)
 91,724,723(L)
5.95(L)
09/02/2021  
DA20210205E00108李孝轩1316(L)
56,000,000(L)
 751,465,225(L)
47.40(L)
04/02/2021  
CS20210208E00013Credit Suisse Group AG1704(L)
1503(S)
13,749,079(L)
13,749,079(S)
 76,068,997(L)
72,822,567(S)
4.80(L)
4.59(S)
03/02/2021  
CS20210204E00142Credit Suisse Group AG1403(S)11,976,079(S) 89,715,076(L)
86,371,646(S)
5.66(L)
5.45(S)
01/02/2021  
CS20210203E00159Credit Suisse Group AG1013(L)
1,227,596(L)
 79,622,516(L)
74,395,567(S)
5.02(L)
4.69(S)
29/01/2021  
CS20210114E00049Credit Suisse Group AG1704(L)
1,227,596(L)
 79,006,919(L)
75,825,567(S)
4.98(L)
4.78(S)
11/01/2021  
CS20210112E00428UBS Group AG1305(L)
3,348,000(L)
 94,345,194(L)
5.95(L)
07/01/2021  
CS20210106E00283Greenwoods Asset Management Holdings Limited1205(L)
  0(L)
0.00(L)
01/01/2021  
CS20210106E00369Greenwoods Asset Management Hong Kong Limited1004(L)
  98,099,000(L)
6.19(L)
01/01/2021  
CS20210106E00294Greenwoods Asset Management Limited1205(L)
  0(L)
0.00(L)
01/01/2021  
CS20210106E00337Invest Partner Group Limited1004(L)
  98,099,000(L)
6.19(L)
01/01/2021  
CS20210106E00256Unique Element Corp1205(L)
  0(L)
0.00(L)
01/01/2021  
CS20201202E00356UBS Group AG1213(L)
200,000(L)
HKD 4.783294,889,194(L)
5.98(L)
27/11/2020  
CS20201201E00223UBS Group AG1306(L)
4,624,000(L)
 95,080,194(L)
6.00(L)
26/11/2020  
CS20201126E00325UBS Group AG1314(L)
199,324(L)
 95,231,194(L)
6.01(L)
23/11/2020  
CS20201120E00249Credit Suisse Group AG1503(S)221,000(S) 94,073,848(L)
79,130,567(S)
5.93(L)
4.99(S)
18/11/2020  
CS20201120E00354UBS Group AG1306(L)
14,000(L)
 97,514,392(L)
6.15(L)
17/11/2020  
CS20201116E00289Credit Suisse Group AG1213(L)
4,910,566(L)
 94,922,874(L)
79,666,630(S)
5.99(L)
5.02(S)
12/11/2020  
CS20201110E00238Morgan Stanley1704(L)
530,320(L)
 78,940,872(L)
65,008,483(S)
0(P)
4.97(L)
4.10(S)
0.00(P)
05/11/2020  
CS20201109E00003Credit Suisse Group AG1213(L)
1503(S)
14,400,000(L)
14,400,000(S)
 100,916,791(L)
80,839,567(S)
6.37(L)
5.10(S)
04/11/2020  
CS20201109E00237Morgan Stanley1305(L)
200,000(L)
 79,980,767(L)
62,091,441(S)
0(P)
5.04(L)
3.91(S)
0.00(P)
04/11/2020  
CS20201106E00220Morgan Stanley1305(L)
12,164,730(L)
 79,376,193(L)
61,894,441(S)
0(P)
5.00(L)
3.90(S)
0.00(P)
03/11/2020  
CS20201105E00306Morgan Stanley1306(L)
14,857,880(L)
 79,396,872(L)
64,684,428(S)
0(P)
5.00(L)
4.07(S)
0.00(P)
02/11/2020  
CS20201105E00302Morgan Stanley1502(S)2,789,987(S) 79,376,193(L)
61,894,441(S)
0(P)
5.00(L)
3.90(S)
0.00(P)
02/11/2020  
CS20201104E00241Morgan Stanley1013(L)
266,000(L)
 79,396,872(L)
64,684,428(S)
0(P)
5.00(L)
4.07(S)
0.00(P)
30/10/2020  
CS20201023E00098Credit Suisse Group AG1213(L)
1503(S)
25,000,000(L)
25,000,000(S)
 122,425,735(L)
98,259,721(S)
7.72(L)
6.20(S)
20/10/2020  
CS20201022E00078Credit Suisse Group AG1213(L)
1503(S)
16,695,311(L)
16,695,311(S)
 145,084,542(L)
122,492,721(S)
9.15(L)
7.73(S)
19/10/2020  
CS20201021E00443UBS Group AG1305(L)
4,818,730(L)
 97,726,449(L)
6.16(L)
16/10/2020  
CS20201019E00168Credit Suisse Group AG1503(S)5,459,000(S) 161,868,256(L)
139,588,032(S)
10.21(L)
8.80(S)
14/10/2020  
CS20201013E00402Credit Suisse Group AG1403(S)3,682,789(S) 172,320,256(L)
144,891,032(S)
10.87(L)
9.14(S)
09/10/2020  
CS20201014E00019
(CS20201009E00312之修訂本)
Credit Suisse Group AG1113(L)
1403(S)
16,695,311(L)
16,695,311(S)
 169,493,467(L)
141,856,243(S)
10.69(L)
8.95(S)
07/10/2020  
CS20201009E00312
(已被CS20201014E00019取替)
Credit Suisse Group AG1113(L)
1403(S)
16,695,311(L)
16,695,311(S)
 169,493,467(L)
141,856,243(S)
10.69(L)
8.95(S)
07/10/2020  
CS20201009E00380UBS Group AG1306(L)
5,981,990(L)
 98,743,033(L)
6.23(L)
06/10/2020  
CS20201008E00341UBS Group AG1305(L)
5,981,990(L)
 98,658,033(L)
6.22(L)
05/10/2020  
CS20201007E00338UBS Group AG1306(L)
6,016,000(L)
 98,420,033(L)
6.21(L)
01/10/2020  
CS20201007E00329UBS Group AG1305(L)
6,016,000(L)
 98,454,033(L)
6.21(L)
30/09/2020  
CS20201005E00118UBS Group AG1306(L)
6,049,000(L)
 98,414,033(L)
6.21(L)
28/09/2020  
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