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):
16/07/2020
-
16/07/2021
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
CS20201120E00478
Sands Capital Management, LP
1101
(L)
394,300(L)
HKD 143.2200
8,928,000(L)
7.25(L)
18/11/2020
CS20201120E00477
Sands Family Trust, LLC
1101
(L)
394,300(L)
HKD 143.2200
8,928,000(L)
7.25(L)
18/11/2020
CS20201120E00476
Sands Family Trust, LLC
1101
(L)
394,300(L)
HKD 143.2200
8,928,000(L)
7.25(L)
18/11/2020
IS20201120E00473
Sands Frank Melville Jr.
1101
(L)
394,300(L)
HKD 143.2200
8,928,000(L)
7.25(L)
18/11/2020
IS20201120E00472
Sands Frank Melville Sr.
1101
(L)
394,300(L)
HKD 143.2200
8,928,000(L)
7.25(L)
18/11/2020
CS20201120E00045
JPMorgan Chase & Co.
1101
(L)
504,252(L)
HKD 146.8340
16,032,817(L)
921,500(S)
2,590,337(P)
13.02(L)
0.74(S)
2.10(P)
17/11/2020
CS20201113E00030
2017 Eagle Holdings LLC
1101
(L)
1,142,600(L)
HKD 131.8147
7,804,500(L)
6.34(L)
10/11/2020
CS20201113E00032
F-J Sands Family I, LLC
1101
(L)
1,142,600(L)
HKD 131.8147
7,804,500(L)
6.34(L)
10/11/2020
CS20201113E00378
FMR LLC
1201
(L)
844,100(L)
HKD 131.4500
11,043,900(L)
8.97(L)
10/11/2020
CS20201113E00346
Morgan Stanley
1001
(L)
155,200(L)
HKD 131.1968
6,203,922(L)
54,275(S)
0(P)
5.03(L)
0.04(S)
0.00(P)
10/11/2020
CS20201113E00037
Sands Capital Management, LLC
1101
(L)
1,142,600(L)
HKD 131.8147
7,804,500(L)
6.34(L)
10/11/2020
CS20201113E00033
Sands Capital Management, LP
1101
(L)
1,142,600(L)
HKD 131.8147
7,804,500(L)
6.34(L)
10/11/2020
CS20201113E00031
Sands Family Trust, LLC
1101
(L)
1,142,600(L)
HKD 131.8147
7,804,500(L)
6.34(L)
10/11/2020
IS20201113E00028
Sands Frank Melville Jr.
1101
(L)
1,142,600(L)
HKD 131.8147
7,804,500(L)
6.34(L)
10/11/2020
IS20201113E00029
Sands Frank Melville Sr.
1101
(L)
1,142,600(L)
HKD 131.8147
7,804,500(L)
6.34(L)
10/11/2020
CS20201112E00301
Morgan Stanley
1704
(L)
416,700(L)
6,048,722(L)
54,275(S)
0(P)
4.91(L)
0.04(S)
0.00(P)
09/11/2020
CS20201110E00380
2017 Eagle Holdings LLC
1001
(L)
375,400(L)
HKD 129.9000
6,336,300(L)
5.15(L)
05/11/2020
CS20201110E00383
F-J Sands Family I, LLC
1001
(L)
375,400(L)
HKD 129.9000
6,336,300(L)
5.15(L)
05/11/2020
CS20201110E00386
Sands Capital Management, LLC
1001
(L)
375,400(L)
HKD 129.9000
6,336,300(L)
5.15(L)
05/11/2020
CS20201110E00385
Sands Capital Management, LP
1001
(L)
375,400(L)
HKD 129.9000
6,336,300(L)
5.15(L)
05/11/2020
CS20201110E00384
Sands Family Trust, LLC
1001
(L)
375,400(L)
HKD 129.9000
6,336,300(L)
5.15(L)
05/11/2020
IS20201110E00379
Sands Frank Melville Jr.
1001
(L)
375,400(L)
HKD 129.9000
6,336,300(L)
5.15(L)
05/11/2020
IS20201110E00378
Sands Frank Melville Sr.
1001
(L)
375,400(L)
HKD 129.9000
6,336,300(L)
5.15(L)
05/11/2020
CS20201109E00426
FMR LLC
1101
(L)
213,000(L)
HKD 127.9120
11,236,700(L)
9.13(L)
04/11/2020
CS20201109E00238
Morgan Stanley
1013
(L)
279,066(L)
6,379,221(L)
79,375(S)
0(P)
5.18(L)
0.06(S)
0.00(P)
04/11/2020
CS20201106E00156
JPMorgan Chase & Co.
16021
(L)
2,049,980(L)
HKD 127.7054
15,541,697(L)
541,400(S)
2,380,897(P)
12.62(L)
0.43(S)
1.93(P)
03/11/2020
CS20201105E00264
JPMorgan Chase & Co.
16022
(L)
1,767,130(L)
HKD 125.6245
13,491,717(L)
533,600(S)
627,667(P)
10.95(L)
0.43(S)
0.50(P)
02/11/2020
CS20201105E00303
Morgan Stanley
1704
(L)
304,714(L)
6,077,655(L)
54,275(S)
0(P)
4.93(L)
0.04(S)
0.00(P)
02/11/2020
CS20201103E00514
NINETY ONE UK LIMITED
1101
(L)
120,500(L)
HKD 125.6900
8,657,400(L)
7.03(L)
02/11/2020
CS20201026E00001
GIC Private Limited
1704
(L)
56,300(L)
HKD 127.6270
6,134,900(L)
4.98(L)
21/10/2020
CS20201019E00224
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1013
(L)
173,671(L)
6,297,808(L)
55,675(S)
0(P)
5.11(L)
0.04(S)
0.00(P)
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CS20201015E00193
JPMorgan Chase & Co.
1101
(L)
273,000(L)
HKD 123.9040
15,014,190(L)
372,693(S)
2,352,797(P)
12.19(L)
0.30(S)
1.91(P)
12/10/2020
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Morgan Stanley
1704
(L)
150,000(L)
6,016,620(L)
103,775(S)
0(P)
4.88(L)
0.08(S)
0.00(P)
01/10/2020
CS20201007E00273
Morgan Stanley
1001
(L)
24,617(L)
HKD 111.1046
6,166,620(L)
103,775(S)
0(P)
5.00(L)
0.08(S)
0.00(P)
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JPMorgan Chase & Co.
1313
(L)
620,000(L)
14,103,490(L)
35,493(S)
1,954,797(P)
11.45(L)
0.02(S)
1.58(P)
29/09/2020
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1704
(L)
133,100(L)
6,063,220(L)
54,358(S)
0(P)
4.92(L)
0.04(S)
0.00(P)
25/09/2020
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NINETY ONE UK LIMITED
1101
(L)
206,900(L)
HKD 109.7310
7,560,000(L)
6.14(L)
24/09/2020
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1101
(L)
279,900(L)
HKD 109.7620
6,376,400(L)
5.18(L)
18/09/2020
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1101
(L)
206,600(L)
HKD 109.6986
7,513,500(L)
6.10(L)
09/09/2020
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1205
(L)
560,450(L)
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14,259,718(L)
125,700(S)
1,671,118(P)
11.58(L)
0.10(S)
1.35(P)
09/09/2020
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1201
(L)
286,200(L)
HKD 111.4620
7,306,900(L)
5.93(L)
04/09/2020
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1201
(L)
301,100(L)
HKD 111.4620
10,867,000(L)
8.83(L)
04/09/2020
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FIDELITY INVESTMENT TRUST
1213
(L)
7,593,100(L)
6.17(L)
02/09/2020
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FMR LLC
1213
(L)
11,324,600(L)
9.20(L)
02/09/2020
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JPMorgan Chase & Co.
1213
(L)
246,500(L)
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15,617,043(L)
125,725(S)
1,448,418(P)
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1.17(P)
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1213
(L)
119,800(L)
6,690,120(L)
74,758(S)
0(P)
5.43(L)
0.06(S)
0.00(P)
02/09/2020
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Bank of America Corporation
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(L)
1,829,662(L)
5,153,431(L)
16,388,721(S)
4.81(L)
15.31(S)
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1101
(L)
200,600(L)
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6,570,320(L)
103,258(S)
0(P)
6.13(L)
0.09(S)
0.00(P)
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Bank of America Corporation
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(L)
4,817,910(L)
6,963,151(L)
18,204,941(S)
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17.00(S)
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24,541(S)
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18,204,941(S)
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17.00(S)
28/08/2020
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