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 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
DA20210202E00150
Chu Ellis Bih-Hsin
1711
(L)
23,655(L)
0.00(L)
28/01/2021
CS20210202E00223
Credit Suisse Group AG
1213
(L)
1,190,800(L)
15,252,615(L)
9,364,277(S)
4.91(L)
3.01(S)
28/01/2021
CS20210202E00266
FMR LLC
1201
(L)
785,100(L)
HKD 185.4585
23,916,379(L)
7.69(L)
28/01/2021
CS20220930E00494
HSBC Holdings plc
1213
(L)
30,860,218(L)
9.92(L)
28/01/2021
DA20210202E00147
Hu Edward
1711
(L)
58,480(L)
0.01(L)
28/01/2021
DA20210202E00144
Li Ge
1711
(L)
130,104(L)
0.04(L)
28/01/2021
DA20210202E00148
Yang Steve Qing
1711
(L)
53,224(L)
0.01(L)
28/01/2021
DA20210202E00149
Zhang Zhaohui
1711
(L)
23,655(L)
0.00(L)
28/01/2021
DA20210202E00145
Zhao Ning
1711
(L)
130,104(L)
0.04(L)
28/01/2021
CS20210130E00014
BlackRock, Inc.
1314
(L)
1,080,651(L)
33,281,543(L)
829,660(S)
10.84(L)
0.27(S)
27/01/2021
CS20210201E00050
JPMorgan Chase & Co.
14015
(S)
377,644(S)
20,198,942(L)
3,195,195(S)
5,651,427(P)
6.58(L)
1.04(S)
1.84(P)
27/01/2021
CS20210129E00564
Citigroup Inc.
1213
(L)
2,334,214(L)
16,495,027(L)
7,183,921(S)
9,389,168(P)
5.37(L)
2.34(S)
3.05(P)
26/01/2021
CS20210129E00007
Credit Suisse Group AG
1213
(L)
1,859,837(L)
16,803,058(L)
9,372,779(S)
5.47(L)
3.05(S)
26/01/2021
CS20220930E00492
HSBC Holdings plc
1503
(S)
1,141,200(S)
30,950,282(L)
2,640,052(S)
10.08(L)
0.86(S)
26/01/2021
CS20210128E00013
BlackRock, Inc.
1314
(L)
814,400(L)
33,240,972(L)
840,460(S)
10.83(L)
0.27(S)
25/01/2021
CS20210127E00011
BlackRock, Inc.
1313
(L)
589,200(L)
33,266,208(L)
841,660(S)
10.84(L)
0.27(S)
22/01/2021
CS20210127E00007
BlackRock, Inc.
1205
(L)
665,390(L)
33,266,208(L)
841,660(S)
10.84(L)
0.27(S)
22/01/2021
CS20220930E00491
HSBC Holdings plc
1113
(L)
3,048,644(L)
32,769,246(L)
3,781,252(S)
10.67(L)
1.23(S)
22/01/2021
CS20210126E00019
BlackRock, Inc.
1313
(L)
42,228(L)
33,951,198(L)
851,560(S)
11.06(L)
0.28(S)
21/01/2021
CS20210126E00011
BlackRock, Inc.
1104
(L)
695,243(L)
33,951,198(L)
851,560(S)
11.06(L)
0.28(S)
21/01/2021
CS20220930E00489
HSBC Holdings plc
1403
(S)
2,316,127(S)
29,721,902(L)
3,781,252(S)
9.68(L)
1.23(S)
21/01/2021
CS20210123E00009
BlackRock, Inc.
1314
(L)
106,500(L)
33,246,197(L)
854,060(S)
10.83(L)
0.28(S)
20/01/2021
CS20210125E00029
Credit Suisse Group AG
1503
(S)
117,415(S)
19,625,083(L)
12,168,472(S)
6.39(L)
3.96(S)
20/01/2021
CS20210824E00421
HSBC Holdings plc
1213
(L)
3,968,610(L)
29,625,017(L)
9.65(L)
20/01/2021
CS20210122E00016
BlackRock, Inc.
1314
(L)
52,587(L)
33,260,897(L)
858,760(S)
10.84(L)
0.28(S)
19/01/2021
CS20210122E00065
Credit Suisse Group AG
1403
(S)
139,555(S)
19,767,674(L)
12,377,774(S)
6.44(L)
4.03(S)
19/01/2021
CS20210120E00018
BlackRock, Inc.
1313
(L)
126,750(L)
33,239,917(L)
863,960(S)
10.83(L)
0.28(S)
15/01/2021
CS20210116E00014
BlackRock, Inc.
1314
(L)
168,300(L)
33,226,049(L)
868,560(S)
10.83(L)
0.28(S)
14/01/2021
CS20210115E00033
BlackRock, Inc.
1314
(L)
45,100(L)
33,245,249(L)
881,360(S)
10.83(L)
0.29(S)
13/01/2021
CS20210115E00026
BlackRock, Inc.
1205
(L)
788,561(L)
33,245,249(L)
881,360(S)
10.83(L)
0.29(S)
13/01/2021
CS20210115E00020
BlackRock, Inc.
1314
(L)
34,500(L)
34,059,144(L)
866,660(S)
11.10(L)
0.28(S)
12/01/2021
CS20210114E00025
BlackRock, Inc.
1314
(L)
16,640(L)
34,218,630(L)
851,260(S)
11.15(L)
0.28(S)
11/01/2021
CS20210114E00019
BlackRock, Inc.
1104
(L)
598,777(L)
34,218,630(L)
851,260(S)
11.15(L)
0.28(S)
11/01/2021
CS20210114E00539
Citigroup Inc.
1314
(L)
2,405,081(L)
18,865,164(L)
7,974,823(S)
10,958,769(P)
6.14(L)
2.59(S)
3.57(P)
11/01/2021
CS20210113E00016
BlackRock, Inc.
1314
(L)
20,171(L)
33,614,653(L)
847,660(S)
10.95(L)
0.28(S)
08/01/2021
CS20210113E00500
Citigroup Inc.
1313
(L)
2,507,312(L)
18,848,389(L)
7,817,651(S)
11,099,766(P)
6.14(L)
2.54(S)
3.61(P)
08/01/2021
CS20210112E00021
BlackRock, Inc.
1314
(L)
43,029(L)
33,628,878(L)
847,660(S)
10.96(L)
0.28(S)
07/01/2021
CS20210112E00477
Citigroup Inc.
1113
(L)
158,278(L)
18,566,623(L)
7,680,927(S)
10,964,024(P)
6.04(L)
2.50(S)
3.57(P)
07/01/2021
CS20210112E00371
Credit Suisse Group AG
1503
(S)
229,874(S)
19,629,613(L)
12,257,510(S)
6.40(L)
3.99(S)
07/01/2021
CS20210109E00027
BlackRock, Inc.
1314
(L)
73,392(L)
33,549,476(L)
849,760(S)
10.93(L)
0.28(S)
06/01/2021
CS20210111E00532
Citigroup Inc.
1213
(L)
247,750(L)
18,408,345(L)
7,636,969(S)
10,851,604(P)
5.99(L)
2.48(S)
3.53(P)
06/01/2021
CS20210108E00016
BlackRock, Inc.
1314
(L)
173,100(L)
33,565,951(L)
849,760(S)
10.94(L)
0.28(S)
05/01/2021
CS20210108E00456
Citigroup Inc.
1113
(L)
427,358(L)
18,656,095(L)
7,808,569(S)
10,928,254(P)
6.07(L)
2.54(S)
3.56(P)
05/01/2021
CS20210107E00024
BlackRock, Inc.
1314
(L)
39,501(L)
33,505,982(L)
849,760(S)
10.92(L)
0.28(S)
04/01/2021
CS20210105E00036
JPMorgan Chase & Co.
1101
(L)
630,792(L)
HKD 152.1228
18,930,718(L)
1,944,426(S)
5,884,297(P)
6.16(L)
0.63(S)
1.91(P)
31/12/2020
CS20210105E00433
Citigroup Inc.
1213
(L)
1,264,376(L)
18,004,542(L)
7,162,403(S)
10,920,267(P)
5.86(L)
2.33(S)
3.55(P)
30/12/2020
CS20210105E00027
JPMorgan Chase & Co.
1201
(L)
226,058(L)
HKD 149.4015
18,299,926(L)
1,680,826(S)
5,884,297(P)
5.96(L)
0.54(S)
1.91(P)
30/12/2020
CS20201231E00043
BlackRock, Inc.
1314
(L)
21,000(L)
33,603,249(L)
849,760(S)
10.95(L)
0.28(S)
29/12/2020
CS20201231E00040
BlackRock, Inc.
1205
(L)
209,023(L)
33,603,249(L)
849,760(S)
10.95(L)
0.28(S)
29/12/2020
CS20201231E00027
BlackRock, Inc.
1104
(L)
279,621(L)
33,817,572(L)
845,860(S)
11.02(L)
0.28(S)
28/12/2020
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Displayed: 301 - 350
Total records:
451
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