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
CS20201225E00009
BlackRock, Inc.
1313
(L)
454,100(L)
33,412,444(L)
845,860(S)
10.89(L)
0.28(S)
23/12/2020
CS20201224E00021
BlackRock, Inc.
1314
(L)
26,000(L)
33,579,216(L)
849,760(S)
10.94(L)
0.28(S)
22/12/2020
CS20201224E00015
BlackRock, Inc.
1205
(L)
597,160(L)
33,579,216(L)
849,760(S)
10.94(L)
0.28(S)
22/12/2020
CS20201224E00154
JPMorgan Chase & Co.
1101
(L)
287,991(L)
HKD 142.0226
18,698,163(L)
1,637,277(S)
5,904,371(P)
6.09(L)
0.53(S)
1.92(P)
22/12/2020
CS20201223E00047
BlackRock, Inc.
1313
(L)
988,424(L)
34,469,676(L)
801,960(S)
11.23(L)
0.26(S)
21/12/2020
CS20201224E00104
JPMorgan Chase & Co.
1201
(L)
370,376(L)
HKD 140.6711
18,410,172(L)
1,589,637(S)
5,900,171(P)
5.99(L)
0.51(S)
1.92(P)
21/12/2020
CS20201223E00028
BlackRock, Inc.
1314
(L)
120,338(L)
34,732,365(L)
801,960(S)
11.32(L)
0.26(S)
18/12/2020
CS20201223E00449
Citigroup Inc.
1403
(S)
2,336,634(S)
19,467,795(L)
7,248,141(S)
12,307,842(P)
6.34(L)
2.36(S)
4.01(P)
18/12/2020
CS20201223E00326
FIL Limited
1101
(L)
124,200(L)
HKD 139.2547
21,551,295(L)
7.02(L)
18/12/2020
CS20201223E00348
Pandanus Associates Inc.
1101
(L)
124,200(L)
HKD 139.2547
21,551,295(L)
7.02(L)
18/12/2020
CS20201223E00342
Pandanus Partners L.P.
1101
(L)
124,200(L)
HKD 139.2547
21,551,295(L)
7.02(L)
18/12/2020
CS20201222E00490
Citigroup Inc.
1503
(S)
2,580,526(S)
19,625,088(L)
4,911,507(S)
12,316,257(P)
6.39(L)
1.60(S)
4.01(P)
17/12/2020
CS20201219E00009
BlackRock, Inc.
1314
(L)
19,700(L)
34,226,456(L)
801,960(S)
11.15(L)
0.26(S)
16/12/2020
DA20201218E00329
Chu Ellis Bih-Hsin
11031
(L)
23,655(L)
23,655(L)
0.00(L)
16/12/2020
CS20201221E00428
FIL Limited
1201
(L)
263,900(L)
HKD 133.5739
21,427,295(L)
6.98(L)
16/12/2020
DA20201218E00323
Hu Edward
11031
(L)
58,480(L)
58,480(L)
0.01(L)
16/12/2020
DA20201218E00319
Li Ge
11031
(L)
106,449(L)
130,104(L)
0.04(L)
16/12/2020
CS20201221E00444
Pandanus Associates Inc.
1201
(L)
263,900(L)
HKD 133.5739
21,427,295(L)
6.98(L)
16/12/2020
CS20201221E00431
Pandanus Partners L.P.
1201
(L)
263,900(L)
HKD 133.5739
21,427,295(L)
6.98(L)
16/12/2020
DA20201218E00328
Yang Steve Qing
11031
(L)
53,224(L)
53,224(L)
0.01(L)
16/12/2020
DA20201218E00326
Zhang Zhaohui
11031
(L)
23,655(L)
23,655(L)
0.00(L)
16/12/2020
DA20201218E00320
Zhao Ning
11031
(L)
23,655(L)
130,104(L)
0.04(L)
16/12/2020
CS20201218E00011
BlackRock, Inc.
1313
(L)
65,800(L)
34,233,056(L)
801,960(S)
11.15(L)
0.26(S)
15/12/2020
CS20201218E00160
Credit Suisse Group AG
1403
(S)
383,300(S)
20,032,846(L)
12,458,501(S)
6.53(L)
4.06(S)
15/12/2020
CS20201217E00039
BlackRock, Inc.
1314
(L)
172,800(L)
35,403,048(L)
801,960(S)
11.53(L)
0.26(S)
14/12/2020
CS20201217E00020
Credit Suisse Group AG
1503
(S)
375,121(S)
19,654,342(L)
12,071,201(S)
6.40(L)
3.93(S)
14/12/2020
CS20201217E00299
FIL Limited
1101
(L)
252,100(L)
HKD 127.0535
21,691,195(L)
7.07(L)
14/12/2020
CS20201217E00278
JPMorgan Chase & Co.
1101
(L)
677,832(L)
HKD 128.4515
18,676,441(L)
1,530,388(S)
5,890,861(P)
6.08(L)
0.49(S)
1.91(P)
14/12/2020
CS20201217E00306
Pandanus Associates Inc.
1101
(L)
252,100(L)
HKD 127.0535
21,691,195(L)
7.07(L)
14/12/2020
CS20201217E00303
Pandanus Partners L.P.
1101
(L)
252,100(L)
HKD 127.0535
21,691,195(L)
7.07(L)
14/12/2020
CS20201212E00016
BlackRock, Inc.
1313
(L)
350,000(L)
34,559,549(L)
801,960(S)
11.26(L)
0.26(S)
09/12/2020
CS20201211E00024
BlackRock, Inc.
1313
(L)
50,000(L)
34,638,411(L)
801,960(S)
11.29(L)
0.26(S)
08/12/2020
CS20201210E00028
BlackRock, Inc.
1314
(L)
16,185(L)
34,425,125(L)
801,960(S)
11.22(L)
0.26(S)
07/12/2020
CS20201210E00255
Citigroup Inc.
1316
(L)
843,786(L)
19,871,368(L)
7,518,661(S)
12,455,847(P)
6.47(L)
2.44(S)
4.05(P)
07/12/2020
CS20201209E00022
Credit Suisse Group AG
1213
(L)
1,472,338(L)
20,486,645(L)
12,944,388(S)
6.67(L)
4.22(S)
04/12/2020
CS20201204E00337
Citigroup Inc.
1316
(L)
1,353,452(L)
18,673,008(L)
7,475,263(S)
11,315,685(P)
6.08(L)
2.43(S)
3.68(P)
01/12/2020
CS20201203E00257
JPMorgan Chase & Co.
12045
(L)
309,704(L)
HKD 115.0391
18,385,509(L)
2,008,323(S)
5,782,937(P)
5.99(L)
0.65(S)
1.88(P)
30/11/2020
CS20201202E00037
BlackRock, Inc.
1313
(L)
39,914(L)
34,299,083(L)
807,360(S)
11.18(L)
0.26(S)
27/11/2020
CS20201128E00026
BlackRock, Inc.
1314
(L)
321,216(L)
34,304,098(L)
805,560(S)
11.18(L)
0.26(S)
25/11/2020
CS20201128E00007
Wellington Management Group LLP
1201
(L)
369,419(L)
HKD 114.9630
21,186,400(L)
395(S)
6.90(L)
0.00(S)
25/11/2020
CS20201127E00203
JPMorgan Chase & Co.
1101
(L)
525,989(L)
HKD 119.4273
18,830,544(L)
2,830,272(S)
5,514,401(P)
6.13(L)
0.92(S)
1.79(P)
24/11/2020
CS20201126E00266
JPMorgan Chase & Co.
1201
(L)
177,435(L)
HKD 123.1269
18,304,555(L)
2,748,691(S)
5,514,401(P)
5.96(L)
0.89(S)
1.79(P)
23/11/2020
CS20201125E00018
BlackRock, Inc.
1313
(L)
23,400(L)
34,657,392(L)
805,560(S)
11.29(L)
0.26(S)
20/11/2020
CS20201125E00066
JPMorgan Chase & Co.
1314
(L)
80,000(L)
18,481,990(L)
2,692,910(S)
5,517,101(P)
6.02(L)
0.87(S)
1.79(P)
20/11/2020
CS20201124E00022
BlackRock, Inc.
1313
(L)
21,000(L)
34,472,890(L)
805,560(S)
11.23(L)
0.26(S)
19/11/2020
CS20201124E00012
BlackRock, Inc.
1104
(L)
814,029(L)
34,472,890(L)
805,560(S)
11.23(L)
0.26(S)
19/11/2020
CS20201121E00011
BlackRock, Inc.
1313
(L)
625,100(L)
33,597,061(L)
805,660(S)
10.95(L)
0.26(S)
18/11/2020
CS20201120E00042
JPMorgan Chase & Co.
1101
(L)
465,403(L)
HKD 134.1760
18,710,153(L)
2,735,671(S)
5,481,716(P)
6.09(L)
0.89(S)
1.78(P)
17/11/2020
CS20201119E00010
BlackRock, Inc.
1314
(L)
64,000(L)
33,244,379(L)
805,660(S)
10.83(L)
0.26(S)
16/11/2020
CS20201119E00162
JPMorgan Chase & Co.
1201
(L)
191,964(L)
HKD 134.5179
18,244,750(L)
2,859,171(S)
5,471,816(P)
5.94(L)
0.93(S)
1.78(P)
16/11/2020
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Displayed: 351 - 400
Total records:
451
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