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e-Submission System
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Notification
Shareholding Disclosures
Disclosure Of Interests
Disclosure Of Interests (Notices Filed Through DION System Since 3 July 2017)
Search by listed corporation - Current Securities
List of all notices within a specified period - Current Securities
Stock code:
00020
Name of listed corporation:
SenseTime Group Inc. - W
Date (dd/mm/yyyy):
01/01/1900
-
15/09/2023
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
CS20230803E00479
Public Investment Fund
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230803E00316
SB Investment Advisers (UK) Limited
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230803E00308
SoftBank Group Corp.
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230803E00314
SoftBank Vision Fund L.P.
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230803E00315
SVF GP (Jersey) Limited
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230803E00312
SVF Holdings (Singapore) Pte. Ltd.
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230803E00313
SVF Holdings (UK) LLP
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230803E00311
SVF Sense (Singapore) Pte. Ltd.
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230804E00001
Vision Technology Investment Company
1201
(L)
14,904,000(L)
HKD 1.7919
3,369,687,397(L)
12.99(L)
31/07/2023
CS20230710E00012
Alibaba Group Holding Limited
1704
(L)
557,449,148(L)
HKD 1.8200
816,448,852(L)
3.15(L)
06/07/2023
CS20230710E00014
Taobao China Holding Limited
1704
(L)
557,449,148(L)
HKD 1.8200
816,448,852(L)
3.15(L)
06/07/2023
CS20230710E00013
Taobao Holding Limited
1704
(L)
557,449,148(L)
HKD 1.8200
816,448,852(L)
3.15(L)
06/07/2023
CS20230616E00305
Alibaba Group Holding Limited
1201
(L)
50,000,000(L)
HKD 2.2670
1,533,898,000(L)
5.91(L)
15/06/2023
CS20230616E00309
Taobao China Holding Limited
1201
(L)
50,000,000(L)
HKD 2.2670
1,533,898,000(L)
5.91(L)
15/06/2023
CS20230616E00311
Taobao Holding Limited
1201
(L)
50,000,000(L)
HKD 2.2670
1,533,898,000(L)
5.91(L)
15/06/2023
CS20230608E00363
Alibaba Group Holding Limited
1201
(L)
70,000,000(L)
HKD 2.1974
1,773,898,000(L)
6.84(L)
05/06/2023
CS20230608E00365
Taobao China Holding Limited
1201
(L)
70,000,000(L)
HKD 2.1974
1,773,898,000(L)
6.84(L)
05/06/2023
CS20230608E00364
Taobao Holding Limited
1201
(L)
70,000,000(L)
HKD 2.1974
1,773,898,000(L)
6.84(L)
05/06/2023
CS20230414E00429
Alibaba Group Holding Limited
1201
(L)
40,000,000(L)
HKD 3.4520
2,046,030,000(L)
7.88(L)
11/04/2023
IS20230414E00517
Lin Jiemin
1201
(L)
5,077,870(L)
HKD 3.3971
3,628,218,325(L)
13.98(L)
11/04/2023
CS20230414E00509
SenseTalent Management Limited
1201
(L)
5,077,870(L)
HKD 3.3971
3,628,218,325(L)
13.98(L)
11/04/2023
CS20230414E00446
Taobao China Holding Limited
1201
(L)
40,000,000(L)
HKD 3.4520
2,046,030,000(L)
7.88(L)
11/04/2023
CS20230414E00433
Taobao Holding Limited
1201
(L)
40,000,000(L)
HKD 3.4520
2,046,030,000(L)
7.88(L)
11/04/2023
CS20230413E00364
Public Investment Fund
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230413E00409
SB Investment Advisers (UK) Limited
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230413E00362
SoftBank Group Corp.
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230413E00411
SoftBank Vision Fund L.P.
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230413E00410
SVF GP (Jersey) Limited
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230413E00413
SVF Holdings (Singapore) Pte. Ltd.
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230413E00412
SVF Holdings (UK) LLP
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230413E00414
SVF Sense (Singapore) Pte. Ltd.
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230413E00361
Vision Technology Investment Company
1201
(L)
50,000,000(L)
HKD 2.7713
3,618,608,397(L)
13.95(L)
06/04/2023
CS20230324E00319
Public Investment Fund
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230324E00358
SB Investment Advisers (UK) Limited
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230324E00316
SoftBank Group Corp.
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230324E00361
SoftBank Vision Fund L.P.
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230324E00355
SVF GP (Jersey) Limited
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230324E00376
SVF Holdings (Singapore) Pte. Ltd.
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230324E00373
SVF Holdings (UK) LLP
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230324E00378
SVF Sense (Singapore) Pte. Ltd.
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230324E00317
Vision Technology Investment Company
1201
(L)
190,423,000(L)
HKD 2.7106
3,834,489,397(L)
14.78(L)
21/03/2023
CS20230307E00222
Public Investment Fund
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
CS20230307E00314
SB Investment Advisers (UK) Limited
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
CS20230307E00241
SoftBank Group Corp.
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
CS20230307E00316
SoftBank Vision Fund L.P.
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
CS20230307E00315
SVF GP (Jersey) Limited
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
CS20230307E00318
SVF Holdings (Singapore) Pte. Ltd.
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
CS20230307E00317
SVF Holdings (UK) LLP
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
CS20230307E00319
SVF Sense (Singapore) Pte. Ltd.
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
CS20230307E00211
Vision Technology Investment Company
1201
(L)
9,794,000(L)
HKD 2.5365
4,148,993,397(L)
15.99(L)
02/03/2023
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