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
CS20220708E00021
BlackRock, Inc.
1314
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34,000(L)
9,024,103(L)
39,500(S)
7.33(L)
0.03(S)
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CS20220708E00426
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1316
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355,339(L)
7,853,907(L)
199,900(S)
7,619,226(P)
6.37(L)
0.16(S)
6.18(P)
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CS20220707E00409
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1113
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389,918(L)
7,487,568(L)
199,900(S)
7,252,887(P)
6.08(L)
0.16(S)
5.89(P)
04/07/2022
CS20220706E00508
Citigroup Inc.
1213
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373,079(L)
7,097,650(L)
199,900(S)
6,863,019(P)
5.76(L)
0.16(S)
5.57(P)
01/07/2022
CS20220702E00014
BlackRock, Inc.
1313
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188,000(L)
9,597,996(L)
39,500(S)
7.80(L)
0.03(S)
30/06/2022
CS20220701E00033
BlackRock, Inc.
1313
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93,000(L)
9,419,391(L)
40,900(S)
7.65(L)
0.03(S)
29/06/2022
CS20220630E00536
BlackRock, Inc.
1313
(L)
250,000(L)
9,431,717(L)
40,900(S)
7.66(L)
0.03(S)
28/06/2022
CS20220704E00407
Citigroup Inc.
1316
(L)
250,262(L)
7,407,093(L)
200,300(S)
7,174,962(P)
6.01(L)
0.16(S)
5.82(P)
28/06/2022
CS20220704E00263
UBS Group AG
1704
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154,300(L)
6,073,527(L)
2,750,272(S)
4.93(L)
2.23(S)
28/06/2022
CS20220630E00006
BlackRock, Inc.
1205
(L)
439,434(L)
9,447,722(L)
40,900(S)
7.67(L)
0.03(S)
27/06/2022
CS20220630E00319
UBS Group AG
1306
(L)
141,800(L)
6,245,227(L)
2,907,072(S)
5.07(L)
2.36(S)
27/06/2022
CS20220629E00020
BlackRock, Inc.
1314
(L)
10,691(L)
9,922,956(L)
40,900(S)
8.06(L)
0.03(S)
24/06/2022
CS20220629E00007
BlackRock, Inc.
1104
(L)
400,131(L)
9,922,956(L)
40,900(S)
8.06(L)
0.03(S)
24/06/2022
CS20220628E00007
BlackRock, Inc.
1205
(L)
423,231(L)
9,541,019(L)
40,900(S)
7.75(L)
0.03(S)
23/06/2022
CS20220625E00031
BlackRock, Inc.
1314
(L)
9,249(L)
9,975,450(L)
40,900(S)
8.10(L)
0.03(S)
22/06/2022
CS20220627E00191
JPMorgan Chase & Co.
15015
(S)
160,500(S)
6,597,748(L)
1,113,105(S)
3,248,711(P)
5.35(L)
0.90(S)
2.63(P)
22/06/2022
CS20220627E00230
UBS Group AG
1305
(L)
584,800(L)
6,375,985(L)
3,003,490(S)
5.18(L)
2.44(S)
22/06/2022
CS20220624E00338
Citigroup Inc.
16021
(L)
427,671(L)
7,691,013(L)
188,276(S)
7,462,382(P)
6.24(L)
0.15(S)
6.06(P)
21/06/2022
CS20220623E00030
BlackRock, Inc.
1313
(L)
23,000(L)
10,304,266(L)
40,900(S)
8.37(L)
0.03(S)
20/06/2022
CS20220623E00325
Citigroup Inc.
16022
(L)
383,600(L)
7,263,342(L)
199,900(S)
7,031,211(P)
5.89(L)
0.16(S)
5.71(P)
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CS20220622E00029
BlackRock, Inc.
1314
(L)
225,360(L)
10,243,636(L)
40,900(S)
8.32(L)
0.03(S)
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BlackRock, Inc.
1314
(L)
181,600(L)
10,471,372(L)
40,900(S)
8.50(L)
0.03(S)
16/06/2022
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Brown Brothers Harriman & Co.
16011
(L)
163,900(L)
8,720,165(L)
8,720,165(P)
7.08(L)
7.08(P)
15/06/2022
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BlackRock, Inc.
1205
(L)
626,145(L)
10,634,739(L)
44,100(S)
8.64(L)
0.04(S)
10/06/2022
CS20220615E00274
Citigroup Inc.
1316
(L)
56,889(L)
7,579,522(L)
200,000(S)
7,352,891(P)
6.15(L)
0.16(S)
5.97(P)
10/06/2022
CS20220615E00189
JPMorgan Chase & Co.
1201
(L)
608,262(L)
HKD 83.3164
6,998,530(L)
1,931,260(S)
3,232,477(P)
5.68(L)
1.56(S)
2.62(P)
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1314
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70,694(L)
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44,100(S)
9.14(L)
0.04(S)
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1104
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44,100(S)
9.14(L)
0.04(S)
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Citigroup Inc.
1113
(L)
341,850(L)
7,522,633(L)
200,000(S)
7,302,302(P)
6.10(L)
0.16(S)
5.93(P)
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JPMorgan Chase & Co.
1314
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747,299(L)
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2,024,265(S)
3,235,876(P)
6.17(L)
1.64(S)
2.62(P)
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1704
(L)
571,070(L)
5,730,461(L)
4,616,976(S)
0(P)
4.65(L)
3.74(S)
0.00(P)
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CS20220610E00383
Aggregate of abrdn plc affiliated investment management entities
1201
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1,078,900(L)
HKD 84.5411
5,400,154(L)
4.39(L)
08/06/2022
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1314
(L)
155,906(L)
10,495,789(L)
50,300(S)
8.52(L)
0.04(S)
08/06/2022
CS20220613E00264
JPMorgan Chase & Co.
1205
(L)
1403
(S)
2,161,044(L)
929,506(S)
HKD 84.5255
7,643,304(L)
2,004,711(S)
3,243,876(P)
6.20(L)
1.62(S)
2.63(P)
08/06/2022
CS20220613E00044
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1013
(L)
911,622(L)
6,301,531(L)
5,244,645(S)
0(P)
5.11(L)
4.25(S)
0.00(P)
08/06/2022
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Aggregate of abrdn plc affiliated investment management entities
1201
(L)
1,308,400(L)
HKD 74.8253
6,479,054(L)
5.26(L)
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(L)
55,966(L)
10,801,257(L)
50,300(S)
8.77(L)
0.04(S)
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1205
(L)
253,135(L)
HKD 76.3646
9,804,348(L)
1,075,205(S)
3,291,076(P)
7.96(L)
0.87(S)
2.67(P)
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(L)
119,600(L)
7,273,078(L)
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2.46(S)
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CS20220610E00090
(
CS20220609E00248
之修訂本)
Aggregate of abrdn plc affiliated investment management entities
1201
(L)
1,162,400(L)
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7,787,454(L)
6.32(L)
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CS20220609E00248
(已被
CS20220610E00090
取替)
Aggregate of abrdn plc affiliated investment management entities
1201
(L)
1,162,400(L)
HKD 72.4900
7,787,454(L)
6.32(L)
06/06/2022
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JPMorgan Chase & Co.
1314
(L)
244,225(L)
10,057,483(L)
1,063,505(S)
3,322,276(P)
8.16(L)
0.86(S)
2.69(P)
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CS20220609E00235
UBS Group AG
1502
(S)
1,110,359(S)
7,476,078(L)
3,042,642(S)
6.07(L)
2.47(S)
06/06/2022
CS20220608E00221
UBS Group AG
1306
(L)
1,811,900(L)
7,555,578(L)
4,096,101(S)
6.14(L)
3.33(S)
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11,575(L)
10,347,873(L)
50,300(S)
8.40(L)
0.04(S)
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1205
(L)
1,339,145(L)
HKD 70.6311
10,386,899(L)
837,606(S)
3,350,876(P)
8.43(L)
0.68(S)
2.72(P)
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CS20220608E00202
UBS Group AG
1305
(L)
1,610,410(L)
7,555,578(L)
4,096,101(S)
6.14(L)
3.33(S)
02/06/2022
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BlackRock, Inc.
1313
(L)
9,600(L)
10,474,059(L)
50,300(S)
8.51(L)
0.04(S)
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1305
(L)
741,100(L)
8,042,062(L)
4,647,122(S)
6.53(L)
3.77(S)
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1314
(L)
135,151(L)
10,474,130(L)
50,300(S)
8.51(L)
0.04(S)
30/05/2022
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