在指明期間內所有披露權益通知 - 現有上市證券
 
股份代號: 03347
上市法團名稱: 杭州泰格醫藥科技股份有限公司 - H股
日期 (日/月/年): 05/07/2021 - 05/07/2022
 
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
CS20220602E00030BlackRock, Inc.1205(L)
767,220(L)
 10,474,130(L)
50,300(S)
8.51(L)
0.04(S)
30/05/2022  
CS20220602E00332UBS Group AG1402(S)1,605,680(S) 8,173,830(L)
4,588,819(S)
6.64(L)
3.73(S)
30/05/2022  
CS20220601E00051BlackRock, Inc.1313(L)
183,251(L)
 11,281,450(L)
50,300(S)
9.16(L)
0.04(S)
27/05/2022  
CS20220601E00045BlackRock, Inc.1104(L)
338,605(L)
 11,281,450(L)
50,300(S)
9.16(L)
0.04(S)
27/05/2022  
CS20220528E000242017 Eagle Holdings LLC1101(L)
343,800(L)
HKD 68.246617,258,104(L)
14.02(L)
26/05/2022  
CS20220528E00025F-J Sands Family I, LLC1101(L)
343,800(L)
HKD 68.246617,258,104(L)
14.02(L)
26/05/2022  
CS20220528E00028Sands Capital Management, LLC1101(L)
343,800(L)
HKD 68.246617,258,104(L)
14.02(L)
26/05/2022  
CS20220528E00027Sands Capital Management, LP1101(L)
343,800(L)
HKD 68.246617,258,104(L)
14.02(L)
26/05/2022  
CS20220528E00026Sands Family Trust, LLC1101(L)
343,800(L)
HKD 68.246617,258,104(L)
14.02(L)
26/05/2022  
IS20220528E00023Sands Frank Melville Jr.1101(L)
343,800(L)
HKD 68.246617,258,104(L)
14.02(L)
26/05/2022  
CS20220531E00278UBS Group AG1402(S)585,357(S) 8,154,656(L)
2,938,404(S)
6.62(L)
2.39(S)
26/05/2022  
CS20220528E00016BlackRock, Inc.1314(L)
36,540(L)
 10,306,640(L)
50,400(S)
8.37(L)
0.04(S)
25/05/2022  
CS20220530E00379JPMorgan Chase & Co.1313(L)
1,923,875(L)
 11,459,718(L)
582,105(S)
3,173,136(P)
9.30(L)
0.47(S)
2.57(P)
25/05/2022  
CS20220526E00016BlackRock, Inc.1314(L)
24,165(L)
 10,622,722(L)
50,400(S)
8.63(L)
0.04(S)
23/05/2022  
CS20220526E00220UBS Group AG1502(S)1,710,930(S) 8,406,796(L)
2,299,422(S)
6.83(L)
1.87(S)
23/05/2022  
CS20220525E00018BlackRock, Inc.1313(L)
1,190,500(L)
 10,651,454(L)
50,400(S)
8.65(L)
0.04(S)
20/05/2022  
CS20220525E00324JPMorgan Chase & Co.1104(L)
391,102(L)
HKD 77.776411,260,642(L)
787,205(S)
3,037,161(P)
9.14(L)
0.63(S)
2.46(P)
20/05/2022  
CS20220525E00268UBS Group AG1104(L)
1402(S)
1,220,000(L)
1,220,000(S)
 8,274,996(L)
3,910,280(S)
6.72(L)
3.18(S)
20/05/2022  
CS20220520E00017BlackRock, Inc.1314(L)
7,272(L)
 10,161,622(L)
53,100(S)
8.25(L)
0.04(S)
17/05/2022  
CS20220517E002742017 Eagle Holdings LLC1101(L)
397,700(L)
HKD 73.473516,005,504(L)
13.00(L)
13/05/2022  
CS20220517E00287F-J Sands Family I, LLC1101(L)
397,700(L)
HKD 73.473516,005,504(L)
13.00(L)
13/05/2022  
CS20220517E00306Sands Capital Management, LLC1101(L)
397,700(L)
HKD 73.473516,005,504(L)
13.00(L)
13/05/2022  
CS20220517E00300Sands Capital Management, LP1101(L)
397,700(L)
HKD 73.473516,005,504(L)
13.00(L)
13/05/2022  
CS20220517E00297Sands Family Trust, LLC1101(L)
397,700(L)
HKD 73.473516,005,504(L)
13.00(L)
13/05/2022  
IS20220517E00294Sands Frank Melville Jr.1101(L)
397,700(L)
HKD 73.473516,005,504(L)
13.00(L)
13/05/2022  
CS20220517E00493UBS Group AG1213(L)
315,600(L)
 7,095,930(L)
2,726,123(S)
5.76(L)
2.21(S)
12/05/2022  
CS20220510E00605BlackRock, Inc.1314(L)
110,258(L)
 10,455,109(L)
51,900(S)
8.49(L)
0.04(S)
06/05/2022  
CS20220511E00396JPMorgan Chase & Co.1502(S)402,127(S) 10,697,318(L)
1,084,905(S)
2,887,161(P)
8.68(L)
0.88(S)
2.34(P)
06/05/2022  
CS20220510E00036BlackRock, Inc.1314(L)
84,800(L)
 10,415,091(L)
58,100(S)
8.46(L)
0.05(S)
05/05/2022  
CS20220507E00011BlackRock, Inc.1314(L)
220,517(L)
 10,705,675(L)
58,100(S)
8.69(L)
0.05(S)
04/05/2022  
CS20220510E00233UBS Group AG1306(L)
286,200(L)
 7,400,152(L)
3,078,589(S)
6.01(L)
2.50(S)
04/05/2022  
CS20220506E00020BlackRock, Inc.1314(L)
722,736(L)
 10,554,855(L)
58,100(S)
8.57(L)
0.05(S)
03/05/2022  
CS20220506E00410JPMorgan Chase & Co.1201(L)
387,299(L)
HKD 74.678211,051,358(L)
1,522,233(S)
2,940,347(P)
8.97(L)
1.23(S)
2.38(P)
03/05/2022  
CS20220506E00400UBS Group AG1305(L)
846,356(L)
 7,467,752(L)
3,522,710(S)
6.07(L)
2.86(S)
03/05/2022  
CS20220504E00017BlackRock, Inc.1314(L)
14,047(L)
 10,289,175(L)
58,100(S)
8.36(L)
0.05(S)
29/04/2022  
CS20220504E00009BlackRock, Inc.1104(L)
513,342(L)
 10,289,175(L)
58,100(S)
8.36(L)
0.05(S)
29/04/2022  
CS20220503E00024BlackRock, Inc.1313(L)
1,542,400(L)
 9,778,033(L)
58,100(S)
7.94(L)
0.05(S)
28/04/2022  
CS20220503E00014BlackRock, Inc.1205(L)
380,180(L)
 9,778,033(L)
58,100(S)
7.94(L)
0.05(S)
28/04/2022  
CS20220504E00379UBS Group AG1306(L)
17,800(L)
 7,476,352(L)
2,722,920(S)
6.07(L)
2.21(S)
28/04/2022  
CS20220502E00077JPMorgan Chase & Co.1101(L)
135,814(L)
HKD 75.480011,100,368(L)
1,474,733(S)
2,941,347(P)
9.01(L)
1.19(S)
2.38(P)
27/04/2022  
CS20220429E00018BlackRock, Inc.1314(L)
8,121(L)
 10,228,281(L)
71,500(S)
8.31(L)
0.06(S)
26/04/2022  
CS20220427E00012BlackRock, Inc.1314(L)
62,873(L)
 10,324,283(L)
71,500(S)
8.39(L)
0.06(S)
22/04/2022  
CS20220427E00373JPMorgan Chase & Co.1201(L)
83,800(L)
HKD 83.228811,002,357(L)
1,330,428(S)
2,973,747(P)
8.93(L)
1.08(S)
2.41(P)
22/04/2022  
CS20220426E00015BlackRock, Inc.1314(L)
47,975(L)
 10,266,002(L)
71,500(S)
8.34(L)
0.06(S)
21/04/2022  
CS20220426E00479JPMorgan Chase & Co.1101(L)
83,001(L)
HKD 84.435611,086,157(L)
1,319,328(S)
2,973,747(P)
9.00(L)
1.07(S)
2.41(P)
21/04/2022  
CS20220426E00476JPMorgan Chase & Co.1313(L)
500,000(L)
 11,086,157(L)
1,319,328(S)
2,973,747(P)
9.00(L)
1.07(S)
2.41(P)
21/04/2022  
CS20220423E00013BlackRock, Inc.1314(L)
79,482(L)
 10,443,702(L)
70,800(S)
8.48(L)
0.06(S)
20/04/2022  
CS20220422E00020BlackRock, Inc.1314(L)
47,435(L)
 10,464,514(L)
70,800(S)
8.50(L)
0.06(S)
19/04/2022  
CS20220422E00344JPMorgan Chase & Co.1201(L)
112,247(L)
HKD 89.063411,003,856(L)
1,342,528(S)
2,973,747(P)
8.93(L)
1.09(S)
2.41(P)
19/04/2022  
CS20220419E00016BlackRock, Inc.1314(L)
10,419(L)
 10,491,135(L)
70,800(S)
8.52(L)
0.06(S)
14/04/2022  
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