List of all notices within a specified period - Current Securities
Stock code:
00992
Name of listed corporation:
Lenovo Group Ltd.
Date (dd/mm/yyyy):
22/07/2009
-
22/07/2019
Please click the links under the column "Date of relevant event" to view the details of the DI notices.
*Notes: (L) - Long Position, (S) - Short Position, (P) - Lending Pool
Form Serial Number
Name of substantial shareholder / director / chief executive
Reason for disclosure
No. of shares bought / sold / involved
Average price per share
No. of shares interested (See *Notes above)
% of issued voting shares
Date of relevant event (dd/mm/yyyy)
Interests in shares of associated corporation
Interests in debentures
CS20180203E00016
BlackRock, Inc.
1313
(L)
1,442,000(L)
725,314,596(L)
14,040,000(S)
6.04(L)
0.12(S)
31/01/2018
CS20180203E00008
BlackRock, Inc.
1101
(L)
5,566,000(L)
HKD 4.5710
725,314,596(L)
14,040,000(S)
6.04(L)
0.12(S)
31/01/2018
CS20180131E00021
BlackRock, Inc.
1313
(L)
3,638,000(L)
713,745,696(L)
14,040,000(S)
5.94(L)
0.12(S)
26/01/2018
CS20180127E00041
BlackRock, Inc.
1313
(L)
1,272,000(L)
697,837,696(L)
14,040,000(S)
5.81(L)
0.12(S)
24/01/2018
CS20180126E00020
BlackRock, Inc.
1314
(L)
4,565,872(L)
693,348,504(L)
14,040,000(S)
5.77(L)
0.12(S)
23/01/2018
CS20180125E00029
BlackRock, Inc.
1314
(L)
1,300,000(L)
691,578,938(L)
14,040,000(S)
5.76(L)
0.12(S)
22/01/2018
CS20180120E00022
BlackRock, Inc.
1313
(L)
650,000(L)
670,993,768(L)
14,040,000(S)
5.58(L)
0.12(S)
17/01/2018
CS20180112E00026
BlackRock, Inc.
1313
(L)
3,120,000(L)
652,406,253(L)
11,244,000(S)
5.43(L)
0.09(S)
09/01/2018
CS20180109E00022
BlackRock, Inc.
1313
(L)
1,772,000(L)
635,780,018(L)
7,168,000(S)
5.29(L)
0.06(S)
04/01/2018
CS20180106E00024
BlackRock, Inc.
1314
(L)
1,214,000(L)
630,455,166(L)
7,168,000(S)
5.25(L)
0.06(S)
03/01/2018
CS20180105E00026
BlackRock, Inc.
1314
(L)
1,000,000(L)
630,777,205(L)
7,168,000(S)
5.25(L)
0.06(S)
02/01/2018
CS20180104E00032
BlackRock, Inc.
1314
(L)
1,084,000(L)
624,846,019(L)
8,000,000(S)
5.20(L)
0.07(S)
29/12/2017
CS20171229E00009
BlackRock, Inc.
1313
(L)
4,062,000(L)
622,160,019(L)
8,102,000(S)
5.18(L)
0.07(S)
26/12/2017
CS20171223E00035
BlackRock, Inc.
1314
(L)
4,146,000(L)
620,037,318(L)
8,102,000(S)
5.16(L)
0.07(S)
21/12/2017
DA20171222E00287
Allen Nicholas Charles
1113
(L)
11,330(L)
HKD 4.3535
4,346,320(L)
0.04(L)
20/12/2017
CS20171223E00014
BlackRock, Inc.
1314
(L)
2,766,000(L)
613,917,317(L)
8,102,000(S)
5.11(L)
0.07(S)
20/12/2017
DA20171222E00294
Brown William Tudor
1113
(L)
4,318(L)
HKD 4.3535
3,333,670(L)
0.03(L)
20/12/2017
DA20171222E00284
Grabe William O
1113
(L)
25,753(L)
HKD 4.3535
6,670,601(L)
0.06(L)
20/12/2017
DA20171222E00290
Idei Nobuyuki
1113
(L)
1,439(L)
HKD 4.3535
3,799,672(L)
0.03(L)
20/12/2017
DA20171222E00302
Orr Gordon Robert Halyburton
1113
(L)
1,198(L)
HKD 4.3535
2,164,085(L)
0.02(L)
20/12/2017
DA20171222E00300
Yang Chih-Yuan
1113
(L)
3,528(L)
HKD 4.3535
3,025,516(L)
0.03(L)
20/12/2017
CS20171222E00014
BlackRock, Inc.
1313
(L)
3,962,000(L)
613,665,228(L)
8,102,000(S)
5.11(L)
0.07(S)
19/12/2017
CS20171221E00021
BlackRock, Inc.
1314
(L)
870,000(L)
608,509,905(L)
8,102,000(S)
5.06(L)
0.07(S)
18/12/2017
CS20171219E00018
BlackRock, Inc.
1313
(L)
898,000(L)
606,386,225(L)
8,102,000(S)
5.05(L)
0.07(S)
14/12/2017
CS20171216E00013
BlackRock, Inc.
1314
(L)
3,214,998(L)
607,723,184(L)
8,102,000(S)
5.06(L)
0.07(S)
13/12/2017
CS20171216E00005
BlackRock, Inc.
1004
(L)
6,474,934(L)
604,996,156(L)
8,102,000(S)
5.04(L)
0.07(S)
13/12/2017
CS20171213E00011
BlackRock, Inc.
12044
(L)
2,472,000(L)
HKD 4.2780
598,932,799(L)
8,102,000(S)
4.98(L)
0.07(S)
08/12/2017
CS20171212E00020
BlackRock, Inc.
1313
(L)
4,628,000(L)
600,826,683(L)
8,090,000(S)
5.00(L)
0.07(S)
07/12/2017
CS20171212E00009
BlackRock, Inc.
1001
(L)
6,812,000(L)
HKD 4.3540
600,826,683(L)
8,090,000(S)
5.00(L)
0.07(S)
07/12/2017
DA20171208E00199
Grabe William O
1102
(L)
54,287(L)
HKD 4.5800
6,644,848(L)
0.06(L)
05/12/2017
CS20171128E00144
JPMorgan Chase & Co.
1704
(L)
1503
(S)
33,997,296(L)
9,966,000(S)
558,344,168(L)
105,849,280(S)
180,220,531(P)
4.64(L)
0.88(S)
1.50(P)
23/11/2017
CS20171122E00007
BlackRock, Inc.
1205
(L)
205,378(L)
556,854,183(L)
7,156,000(S)
4.63(L)
0.06(S)
17/11/2017
CS20171122E00153
Harvest Star Limited
11031
(L)
90,613,689(L)
HKD 0.0000
996,750,579(L)
8.30(L)
17/11/2017
CS20171122E00041
Legend Holdings Corporation 聯想控股股份有限公司
1213
(L)
3,496,556,041(L)
29.10(L)
17/11/2017
CS20171122E00151
Red Eagle Group (PTC) Limited
11031
(L)
90,613,689(L)
HKD 0.0000
996,750,579(L)
8.30(L)
17/11/2017
CS20171122E00044
Right Lane Limited 南明有限公司
1213
(L)
628,919,317(L)
5.23(L)
17/11/2017
CS20171122E00165
Union Star Limited
11031
(L)
90,613,689(L)
HKD 0.0000
996,750,579(L)
8.30(L)
17/11/2017
DA20171122E00149
Yang Yuanqing
1213
(L)
952,691,479(L)
7.93(L)
17/11/2017
Yes
CS20171117E00202
Harvest Star Limited
1001
(L)
906,136,890(L)
HKD 4.3100
906,136,890(L)
8.16(L)
14/11/2017
CS20171117E00288
JPMorgan Chase & Co.
14015
(S)
3,336,000(S)
589,801,606(L)
113,274,380(S)
180,881,510(P)
5.30(L)
1.01(S)
1.62(P)
14/11/2017
CS20171117E00243
Legend Holdings Corporation 聯想控股股份有限公司
1213
(L)
906,136,890(L)
3,496,556,041(L)
31.47(L)
14/11/2017
CS20171117E00248
Legion Elite Limited 眾傑有限公司
1213
(L)
906,136,890(L)
240,100,000(L)
2.16(L)
14/11/2017
CS20171117E00201
Red Eagle Group (PTC) Limited
1001
(L)
906,136,890(L)
HKD 4.3100
906,136,890(L)
8.16(L)
14/11/2017
CS20171117E00245
Right Lane Limited 南明有限公司
1213
(L)
906,136,890(L)
628,919,317(L)
5.66(L)
14/11/2017
CS20171117E00196
Sureinvest Holdings Limited
1213
(L)
906,136,890(L)
622,804,000(L)
5.61(L)
14/11/2017
DA20171117E00194
Yang Yuanqing
1213
(L)
906,136,890(L)
952,691,479(L)
8.58(L)
14/11/2017
Yes
CS20171114E00016
BlackRock, Inc.
1314
(L)
3,102,000(L)
575,368,501(L)
7,180,000(S)
5.18(L)
0.06(S)
09/11/2017
CS20171111E00017
BlackRock, Inc.
1314
(L)
3,802,000(L)
572,640,902(L)
7,270,000(S)
5.15(L)
0.07(S)
08/11/2017
CS20171109E00027
BlackRock, Inc.
1313
(L)
3,938,000(L)
575,595,922(L)
7,734,000(S)
5.18(L)
0.07(S)
06/11/2017
DA20171109E00201
Yang Chih-Yuan
1316
(L)
3,035(L)
HKD 0.0000
3,021,988(L)
0.03(L)
06/11/2017
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Total records:
425
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