在指明期間內所有披露權益通知 - 現有上市證券
股份代號:
03718
上市法團名稱:
北控城市資源集團有限公司
日期 (日/月/年):
29/10/2019
-
29/10/2020
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
DA20201028E00073
李海楓
1101
(L)
200,000(L)
HKD 1.6100
49,160,000(L)
1.37(L)
27/10/2020
DA20201028E00072
趙克喜
1101
(L)
600,000(L)
HKD 1.5967
118,400,000(L)
3.29(L)
27/10/2020
DA20201027E00046
趙克喜
1101
(L)
600,000(L)
HKD 1.7033
117,800,000(L)
3.27(L)
23/10/2020
CS20201020E00240
Dragon Fort Holdings Limited
1704
(L)
60,000,000(L)
HKD 1.8500
155,400,000(L)
4.32(L)
16/10/2020
CS20201020E00239
Superior Team Investments Limited
1704
(L)
60,000,000(L)
HKD 1.8500
155,400,000(L)
4.32(L)
16/10/2020
IS20201020E00237
唐登
1704
(L)
60,000,000(L)
HKD 1.8500
155,400,000(L)
4.32(L)
16/10/2020
CS20200930E00050
CCB Financial Holdings Limited
1704
(L)
215,400,000(L)
0(L)
0.00(L)
25/09/2020
CS20200930E00048
CCB International (Holdings) Limited
1704
(L)
215,400,000(L)
0(L)
0.00(L)
25/09/2020
CS20200930E00046
CCB International Asset Management Limited
1704
(L)
215,400,000(L)
0(L)
0.00(L)
25/09/2020
CS20200930E00054
CCB International Group Holdings Limited
1704
(L)
215,400,000(L)
0(L)
0.00(L)
25/09/2020
CS20200930E00162
Central Huijin Investment Ltd.
1704
(L)
215,400,000(L)
0(L)
0.00(L)
25/09/2020
CS20200930E00056
China Construction Bank Corporation
1704
(L)
215,400,000(L)
0(L)
0.00(L)
25/09/2020
CS20200930E00044
HNW Investment Fund Series SPC acting for and on behalf of PF Fund Segregated Portfolio
1704
(L)
215,400,000(L)
0(L)
0.00(L)
25/09/2020
CS20200930E00277
Dragon Fort Holdings Limited
1013
(L)
215,400,000(L)
HKD 1.8700
215,400,000(L)
5.98(L)
24/09/2020
CS20200930E00274
Superior Team Investments Limited
1013
(L)
215,400,000(L)
HKD 1.8700
215,400,000(L)
5.98(L)
24/09/2020
IS20200930E00268
唐登
1013
(L)
215,400,000(L)
HKD 1.8700
215,400,000(L)
5.98(L)
24/09/2020
CS20200903E00246
Shanghai Ziyue Enterprises Management Partnership (Limited Partnership)
1704
(L)
75,000,000(L)
HKD 1.5300
117,200,000(L)
3.26(L)
03/09/2020
DA20200903E00267
張海林
1711
(L)
75,000,000(L)
HKD 1.5300
117,200,000(L)
3.26(L)
03/09/2020
DA20200903E00263
趙克喜
1711
(L)
75,000,000(L)
HKD 1.5300
117,200,000(L)
3.26(L)
03/09/2020
IS20200903E00253
趙貞
1704
(L)
75,000,000(L)
HKD 1.5300
117,200,000(L)
3.26(L)
03/09/2020
IS20200903E00256
閆友暉
1704
(L)
75,000,000(L)
HKD 1.5300
117,200,000(L)
3.26(L)
03/09/2020
CS20200819E00150
Central Huijin Investment Ltd.
1201
(L)
600,000(L)
HKD 1.6025
215,400,000(L)
5.98(L)
18/08/2020
CS20200819E00144
China Construction Bank Corporation
1201
(L)
600,000(L)
HKD 1.6025
215,400,000(L)
5.98(L)
18/08/2020
CS20200721E00273
Glowing Trend Investments Limited
1704
(L)
32,000,000(L)
HKD 1.3580
172,100,000(L)
4.78(L)
21/07/2020
IS20200721E00283
張垚
1704
(L)
32,000,000(L)
HKD 1.3580
172,100,000(L)
4.78(L)
21/07/2020
CS20200720E00004
Brilliant Champ Investments Limited
1704
(L)
742,216,000(L)
HKD 1.5200
148,784,000(L)
4.13(L)
16/07/2020
CS20200720E00005
Genius Link Utilities GP Limited
1704
(L)
742,216,000(L)
HKD 1.5200
148,784,000(L)
4.13(L)
16/07/2020
CS20200720E00007
Genius Link Utilities L.P.
1704
(L)
742,216,000(L)
HKD 1.5200
148,784,000(L)
4.13(L)
16/07/2020
IS20200720E00008
鄭達祖
1704
(L)
742,216,000(L)
HKD 1.5200
148,784,000(L)
4.13(L)
16/07/2020
CS20200120E00349
Beijing Enterprises Environmental Construction Limited
1101
(L)
62,908,000(L)
HKD 0.6804
1,007,908,000(L)
28.00(L)
15/01/2020
CS20200120E00340
Beijing Enterprises Environmental Construction Limited
1701
(L)
945,000,000(L)
945,000,000(L)
26.25(L)
15/01/2020
CS20200120E00351
Beijing Enterprises Group (BVI) Company Limited
1101
(L)
62,908,000(L)
HKD 0.6804
1,007,908,000(L)
28.00(L)
15/01/2020
CS20200120E00346
Beijing Enterprises Group (BVI) Company Limited
1701
(L)
945,000,000(L)
945,000,000(L)
26.25(L)
15/01/2020
CS20200120E00355
Beijing Enterprises Group Company Limited
1101
(L)
62,908,000(L)
HKD 0.6804
1,007,908,000(L)
28.00(L)
15/01/2020
CS20200120E00347
Beijing Enterprises Group Company Limited
1701
(L)
945,000,000(L)
945,000,000(L)
26.25(L)
15/01/2020
CS20200120E00350
Beijing Enterprises Holdings Limited
1101
(L)
62,908,000(L)
HKD 0.6804
1,007,908,000(L)
28.00(L)
15/01/2020
CS20200120E00344
Beijing Enterprises Holdings Limited
1701
(L)
945,000,000(L)
945,000,000(L)
26.25(L)
15/01/2020
CS20200120E00348
Beijing Enterprises Water Group Limited
1101
(L)
62,908,000(L)
HKD 0.6804
1,007,908,000(L)
28.00(L)
15/01/2020
CS20200120E00328
Beijing Enterprises Water Group Limited
1701
(L)
945,000,000(L)
945,000,000(L)
26.25(L)
15/01/2020
CS20200122E00460
Brilliant Champ Investments Limited
1701
(L)
891,000,000(L)
891,000,000(L)
24.75(L)
15/01/2020
CS20200122E00547
CCB Financial Holdings Limited
1701
(L)
216,000,000(L)
216,000,000(L)
6.00(L)
15/01/2020
CS20200122E00545
CCB International (Holdings) Limited
1701
(L)
216,000,000(L)
216,000,000(L)
6.00(L)
15/01/2020
CS20200122E00542
CCB International Asset Management Limited
1701
(L)
216,000,000(L)
216,000,000(L)
6.00(L)
15/01/2020
CS20200122E00548
CCB International Group Holdings Limited
1701
(L)
216,000,000(L)
216,000,000(L)
6.00(L)
15/01/2020
CS20200122E00414
Central Huijin Investment Ltd.
1701
(L)
216,000,000(L)
216,000,000(L)
6.00(L)
15/01/2020
CS20200122E00549
China Construction Bank Corporation
1701
(L)
216,000,000(L)
216,000,000(L)
6.00(L)
15/01/2020
CS20200122E00459
Genius Link Utilities GP Limited
1701
(L)
891,000,000(L)
891,000,000(L)
24.75(L)
15/01/2020
CS20200122E00455
Genius Link Utilities L.P.
1701
(L)
891,000,000(L)
891,000,000(L)
24.75(L)
15/01/2020
CS20200122E00461
Glowing Trend Investments Limited
1701
(L)
204,100,000(L)
204,100,000(L)
5.67(L)
15/01/2020
CS20200122E00536
HNW Investment Fund Series SPC acting for and on behalf of PF Fund Segregated Portfolio
1701
(L)
216,000,000(L)
216,000,000(L)
6.00(L)
15/01/2020
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