在指明期間內所有披露權益通知 - 現有上市證券
 
股份代號: 02728
上市法團名稱: 金泰能源控股有限公司
日期 (日/月/年): 27/07/2020 - 27/07/2021
 
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
DA20210729E00076陳金樂1101(L)
2,436,000(L)
HKD 0.2102916,108,273(L)
20.56(L)
27/07/2021  
DA20210727E00604陳金樂1101(L)
1,000,000(L)
HKD 0.2200913,672,273(L)
20.51(L)
26/07/2021  
DA20210726E00075陳金樂1101(L)
1,740,000(L)
HKD 0.2186912,672,273(L)
20.49(L)
23/07/2021  
DA20210726E00074陳金樂1101(L)
700,000(L)
HKD 0.2170910,932,273(L)
20.45(L)
22/07/2021  
DA20210723E00068陳金樂1101(L)
2,012,000(L)
HKD 0.2220910,232,273(L)
20.43(L)
21/07/2021  
DA20201224E00322袁紅兵1101(L)
100,000(L)
HKD 0.139413,796,000(L)
0.31(L)
18/12/2020  
DA20201116E00096袁紅兵1101(L)
1,476,000(L)
HKD 0.132313,696,000(L)
0.31(L)
12/11/2020  
DA20201116E00095袁紅兵1101(L)
780,000(L)
HKD 0.127912,220,000(L)
0.27(L)
11/11/2020  
DA20201111E00373袁紅兵1101(L)
300,000(L)
HKD 0.127711,440,000(L)
0.26(L)
10/11/2020  
CS20201110E00361Super Wise International Investment Limited1201(L)
184,610,000(L)
HKD 0.1300355,390,000(L)
7.98(L)
09/11/2020  
IS20201110E00360崔憲國1201(L)
184,610,000(L)
HKD 0.1300355,390,000(L)
7.98(L)
09/11/2020  
DA20201111E00372袁紅兵1101(L)
2,660,000(L)
HKD 0.120911,140,000(L)
0.25(L)
09/11/2020  
DA20201109E00009袁紅兵1101(L)
560,000(L)
HKD 0.11638,480,000(L)
0.19(L)
06/11/2020  
DA20201104E00073袁紅兵1101(L)
400,000(L)
HKD 0.12867,920,000(L)
0.18(L)
02/11/2020  
CS20201104E00349Qilu International Funds SPC (acting for and on behalf of Zhongtai Dingfeng Classified Fund SP)11031(L)
828,006,769(L)
 2,649,059,881(L)
59.46(L)
30/10/2020  
CS20201104E00369Zhongtai International Asset Management (Singapore) Pte. Ltd.11031(L)
828,006,769(L)
 2,649,059,881(L)
59.46(L)
30/10/2020  
CS20201104E00365Zhongtai International Asset Management Limited11031(L)
  2,649,059,881(L)
59.46(L)
30/10/2020  
DA20201102E00053袁紅兵1101(L)
500,000(L)
HKD 0.12887,520,000(L)
0.17(L)
29/10/2020  
DA20201102E00052袁紅兵1101(L)
288,000(L)
HKD 0.12817,020,000(L)
0.16(L)
28/10/2020  
CS20201029E00389Qilu International Funds SPC (acting for and on behalf of Zhongtai Dingfeng Classified Fund SP)1004(L)
1,821,053,112(L)
 1,821,053,112(L)
40.88(L)
23/10/2020  
CS20201029E00351Qilu International Funds SPC (acting for and on behalf of Zhongtai Dingfeng Classified Fund SP)10031(L)
828,006,769(L)
 828,006,769(L)
18.59(L)
23/10/2020  
CS20201029E00428Zhongtai International Asset Management (Singapore) Pte. Ltd.10031(L)
828,006,769(L)
 828,006,769(L)
18.59(L)
23/10/2020  
CS20201029E00427Zhongtai International Asset Management (Singapore) Pte. Ltd.1004(L)
1,821,053,112(L)
 1,821,053,112(L)
40.88(L)
23/10/2020  
CS20201029E00416Zhongtai International Asset Management Limited1004(L)
1,821,053,112(L)
 1,821,053,112(L)
40.88(L)
23/10/2020  
DA20201023E00100袁紅兵1101(L)
776,000(L)
HKD 0.12966,732,000(L)
0.15(L)
21/10/2020  
DA20201023E00099袁紅兵1101(L)
140,000(L)
HKD 0.12815,956,000(L)
0.13(L)
19/10/2020  
DA20201019E00160袁紅兵1101(L)
188,000(L)
HKD 0.12885,816,000(L)
0.13(L)
16/10/2020  
DA20201014E00125袁紅兵1101(L)
2,576,000(L)
HKD 0.12625,628,000(L)
0.13(L)
12/10/2020  
DA20201012E00468袁紅兵1101(L)
1,040,000(L)
HKD 0.12943,052,000(L)
0.07(L)
09/10/2020  
DA20201012E00467袁紅兵1101(L)
280,000(L)
HKD 0.12882,012,000(L)
0.05(L)
08/10/2020  
DA20201008E00169袁紅兵1101(L)
140,000(L)
HKD 0.12861,732,000(L)
0.04(L)
07/10/2020  
DA20201005E00063袁紅兵1101(L)
300,000(L)
HKD 0.12941,592,000(L)
0.04(L)
30/09/2020  
DA20201005E00062陳金樂1101(L)
488,000(L)
HKD 0.1295908,220,273(L)
20.39(L)
30/09/2020  
DA20201005E00061陳金樂1101(L)
128,000(L)
HKD 0.1289907,732,273(L)
20.38(L)
29/09/2020  
DA20201005E00060陳金樂1101(L)
224,000(L)
HKD 0.1370907,604,273(L)
20.37(L)
18/09/2020  
DA20200917E00100陳金樂1101(L)
1,568,000(L)
HKD 0.1319907,380,273(L)
20.37(L)
15/09/2020  
DA20200903E00252袁紅兵1101(L)
500,000(L)
HKD 0.12501,292,000(L)
0.03(L)
02/09/2020  
DA20200903E00239陳金樂1101(L)
3,560,000(L)
HKD 0.1333905,812,273(L)
20.33(L)
02/09/2020  
DA20200902E00108陳金樂1101(L)
464,000(L)
HKD 0.1358902,252,273(L)
20.25(L)
01/09/2020  
CS20200806E00143Hong Kong Moral Co-Operation Investment Limited1101(L)
742,503,480(L)
HKD 0.1280742,503,480(L)
16.67(L)
03/08/2020  
CS20200807E00308Winwin International Strategic Investment Funds SPC (acting for and on behalf of Win Win Stable No.1 Fund SP)1213(L)
1,821,053,112(L)
 1,821,053,112(L)
40.88(L)
03/08/2020  
CS20200807E00305Zhongtai International Asset Management (Singapore) Pte. Ltd.1213(L)
1,821,053,112(L)
 1,821,053,112(L)
40.88(L)
03/08/2020  
IS20200806E00144牛光昌1101(L)
742,503,480(L)
HKD 0.1280742,503,480(L)
16.67(L)
03/08/2020  
<1>      
顯示第 1 - 43 個紀錄  共有 43 個紀錄  
返回頁頂