List of all notices within a specified period - Current Securities
 
Stock code: 02359
Name of listed corporation: WuXi AppTec Co., Ltd. - H Shares
Date (dd/mm/yyyy): 24/09/2020 - 24/09/2021
 
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 NumberName of substantial shareholder / director / chief executiveReason for disclosure No. of shares bought / sold / involvedAverage price per shareNo. of shares interested (See *Notes above)% of issued voting sharesDate of relevant event (dd/mm/yyyy)Interests in shares of associated corporationInterests in debentures
CS20210305E00012BlackRock, Inc.1314(L)
162,800(L)
 32,909,883(L)
844,760(S)
10.44(L)
0.27(S)
02/03/2021  
CS20210305E00284Citigroup Inc.1502(S)344,513(S) 15,828,860(L)
6,002,089(S)
9,747,782(P)
5.02(L)
1.90(S)
3.09(P)
02/03/2021  
CS20220930E00497HSBC Holdings plc1213(L)
302,542(L)
 24,928,037(L)
7.91(L)
01/03/2021  
DA20210303E00433Chu Ellis Bih-Hsin1711(L)
  23,655(L)
0.00(L)
26/02/2021  
CS20210303E00273FMR LLC1213(L)
  22,004,911(L)
6.98(L)
26/02/2021  
DA20210303E00420Hu Edward1711(L)
  58,480(L)
0.01(L)
26/02/2021  
DA20210303E00406Li Ge1711(L)
  130,104(L)
0.04(L)
26/02/2021  
DA20210303E00425Yang Steve Qing1711(L)
  53,224(L)
0.01(L)
26/02/2021  
DA20210303E00429Zhang Zhaohui1711(L)
  23,655(L)
0.00(L)
26/02/2021  
DA20210303E00414Zhao Ning1711(L)
  130,104(L)
0.04(L)
26/02/2021  
CS20210302E00018BlackRock, Inc.1314(L)
290,144(L)
 32,494,205(L)
846,360(S)
10.36(L)
0.27(S)
25/02/2021  
CS20210227E00013BlackRock, Inc.1314(L)
123,124(L)
 33,667,321(L)
837,360(S)
10.73(L)
0.27(S)
24/02/2021  
CS20210226E00136JPMorgan Chase & Co.1402(S)2,008,199(S) 21,430,958(L)
4,474,008(S)
5,611,509(P)
6.83(L)
1.42(S)
1.78(P)
23/02/2021  
CS20210225E00009BlackRock, Inc.1314(L)
307,578(L)
 33,059,387(L)
844,160(S)
10.54(L)
0.27(S)
22/02/2021  
CS20210224E00149JPMorgan Chase & Co.1201(L)
1,872,657(L)
HKD 198.205420,196,753(L)
2,446,163(S)
5,672,380(P)
6.43(L)
0.77(S)
1.80(P)
19/02/2021  
CS20210223E00019BlackRock, Inc.1313(L)
300,000(L)
 32,262,532(L)
850,360(S)
10.29(L)
0.27(S)
18/02/2021  
DA20210223E00120Chu Ellis Bih-Hsin1711(L)
  23,655(L)
0.00(L)
18/02/2021  
DA20210223E00115Hu Edward1711(L)
  58,480(L)
0.01(L)
18/02/2021  
CS20210223E00172JPMorgan Chase & Co.1101(L)
338,939(L)
HKD 198.866322,069,410(L)
2,717,632(S)
5,672,380(P)
7.03(L)
0.86(S)
1.80(P)
18/02/2021  
DA20210223E00110Li Ge1711(L)
  130,104(L)
0.04(L)
18/02/2021  
DA20210223E00117Yang Steve Qing1711(L)
  53,224(L)
0.01(L)
18/02/2021  
DA20210223E00119Zhang Zhaohui1711(L)
  23,655(L)
0.00(L)
18/02/2021  
DA20210223E00113Zhao Ning1711(L)
  130,104(L)
0.04(L)
18/02/2021  
CS20210222E00138JPMorgan Chase & Co.1205(L)
447,886(L)
HKD 211.447121,730,471(L)
2,712,516(S)
5,672,380(P)
6.98(L)
0.87(S)
1.82(P)
17/02/2021  
CS20210219E00016BlackRock, Inc.1314(L)
203,228(L)
 32,210,786(L)
843,460(S)
10.36(L)
0.27(S)
16/02/2021  
CS20210219E00146JPMorgan Chase & Co.1101(L)
2,749,663(L)
HKD 210.937422,178,357(L)
2,711,234(S)
5,672,380(P)
7.13(L)
0.87(S)
1.82(P)
16/02/2021  
CS20210213E00005BlackRock, Inc.1314(L)
74,000(L)
 32,175,035(L)
860,960(S)
10.35(L)
0.28(S)
11/02/2021  
CS20210212E00033BlackRock, Inc.1313(L)
314,000(L)
 32,175,796(L)
860,960(S)
10.35(L)
0.28(S)
10/02/2021  
CS20210211E00024BlackRock, Inc.1314(L)
775,000(L)
 32,184,515(L)
875,560(S)
10.35(L)
0.28(S)
08/02/2021  
DA20210211E00194Chu Ellis Bih-Hsin1711(L)
  23,655(L)
0.00(L)
08/02/2021  
DA20210211E00189Hu Edward1711(L)
  58,480(L)
0.01(L)
08/02/2021  
DA20210211E00186Li Ge1711(L)
  130,104(L)
0.04(L)
08/02/2021  
DA20210211E00190Yang Steve Qing1711(L)
  53,224(L)
0.01(L)
08/02/2021  
DA20210211E00192Zhang Zhaohui1711(L)
  23,655(L)
0.00(L)
08/02/2021  
DA20210211E00187Zhao Ning1711(L)
  130,104(L)
0.04(L)
08/02/2021  
CS20210210E00016BlackRock, Inc.1313(L)
951,353(L)
 33,164,811(L)
875,560(S)
10.67(L)
0.28(S)
05/02/2021  
CS20220930E00496
(Amendment to CS20210824E00423)
HSBC Holdings plc1213(L)
2,337,941(L)
 27,054,516(L)
8.70(L)
05/02/2021  
CS20210824E00423
(Superseded by CS20220930E00496)
HSBC Holdings plc1213(L)
2,337,941(L)
 24,705,436(L)
7.94(L)
05/02/2021  
CS20210209E00017BlackRock, Inc.1314(L)
111,870(L)
 33,179,256(L)
872,260(S)
10.67(L)
0.28(S)
04/02/2021  
CS20210206E00016BlackRock, Inc.1314(L)
427,632(L)
 33,323,178(L)
872,860(S)
10.72(L)
0.28(S)
03/02/2021  
CS20210205E00395BlackRock, Inc.1313(L)
715,700(L)
 33,326,882(L)
885,560(S)
10.72(L)
0.28(S)
02/02/2021  
CS20210204E00074BlackRock, Inc.1314(L)
347,564(L)
 32,752,297(L)
861,360(S)
10.53(L)
0.28(S)
01/02/2021  
CS20210204E00331FIL Limited1201(L)
261,700(L)
HKD 189.923021,563,895(L)
6.94(L)
01/02/2021  
CS20210824E00422
(Withdrawn on 03/10/2022)
HSBC Holdings plc1201(L)
691,234(L)
 27,726,487(L)
8.91(L)
01/02/2021  
CS20210204E00130JPMorgan Chase & Co.1502(S)285,951(S) 19,517,455(L)
2,846,234(S)
5,688,780(P)
6.27(L)
0.91(S)
1.82(P)
01/02/2021  
CS20210204E00324Pandanus Associates Inc.1201(L)
261,700(L)
HKD 189.923021,563,895(L)
6.94(L)
01/02/2021  
CS20210204E00327Pandanus Partners L.P.1201(L)
261,700(L)
HKD 189.923021,563,895(L)
6.94(L)
01/02/2021  
CS20210202E00380Wellington Management Group LLP1201(L)
11,603(L)
HKD 189.085018,558,296(L)
5,705(S)
5.97(L)
0.00(S)
01/02/2021  
CS20210203E00009BlackRock, Inc.1313(L)
109,000(L)
 33,635,305(L)
829,260(S)
10.82(L)
0.27(S)
29/01/2021  
CS20210202E00026BlackRock, Inc.1314(L)
148,161(L)
 33,663,595(L)
829,260(S)
10.83(L)
0.27(S)
28/01/2021  
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