在指明期間內大股東所提交的披露權益通知一覽表 - 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

表格序號股東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)
CS20220415E00014BlackRock, Inc.1313(L)
44,000(L)
 10,537,474(L)
70,800(S)
8.56(L)
0.06(S)
13/04/2022
CS20220418E00141JPMorgan Chase & Co.1101(L)
228,465(L)
HKD 89.089911,248,904(L)
1,318,128(S)
2,991,047(P)
9.13(L)
1.07(S)
2.42(P)
12/04/2022
CS20220414E00017BlackRock, Inc.1313(L)
27,500(L)
 10,537,525(L)
70,800(S)
8.56(L)
0.06(S)
11/04/2022
CS20220407E00418JPMorgan Chase & Co.1201(L)
189,459(L)
HKD 97.573411,006,731(L)
1,265,827(S)
2,714,578(P)
8.93(L)
1.02(S)
2.20(P)
04/04/2022
CS20220406E00006BlackRock, Inc.1205(L)
632,101(L)
 10,850,405(L)
70,800(S)
8.81(L)
0.06(S)
01/04/2022
CS20220401E00480Brown Brothers Harriman & Co.16011(L)
107,500(L)
 7,463,525(L)
7,463,525(P)
6.06(L)
6.06(P)
01/04/2022
CS20220406E00429JPMorgan Chase & Co.1101(L)
372,101(L)
HKD 91.904311,196,190(L)
1,279,527(S)
2,714,578(P)
9.09(L)
1.03(S)
2.20(P)
01/04/2022
CS20220405E00091JPMorgan Chase & Co.14015(S)36,800(S) 10,824,089(L)
1,259,227(S)
2,715,178(P)
8.79(L)
1.02(S)
2.20(P)
31/03/2022
CS20220402E00016BlackRock, Inc.1314(L)
120,000(L)
 11,488,371(L)
70,800(S)
9.33(L)
0.06(S)
30/03/2022
CS20220404E00376JPMorgan Chase & Co.15015(S)38,700(S) 10,714,686(L)
1,222,427(S)
2,714,678(P)
8.70(L)
0.99(S)
2.20(P)
30/03/2022
CS20220401E00032BlackRock, Inc.1104(L)
46,133(L)
 11,109,560(L)
70,800(S)
9.02(L)
0.06(S)
29/03/2022
CS20220331E00015BlackRock, Inc.1205(L)
140,212(L)
 11,069,227(L)
70,800(S)
8.99(L)
0.06(S)
28/03/2022
CS20220331E00403JPMorgan Chase & Co.1201(L)
344,300(L)
HKD 89.088311,076,350(L)
1,262,827(S)
2,704,242(P)
8.99(L)
1.02(S)
2.19(P)
28/03/2022
CS20220331E00434UBS Group AG1201(L)
41,600(L)
HKD 93.96168,581,781(L)
3,155,897(S)
6.97(L)
2.56(S)
28/03/2022
CS20220330E00319UBS Group AG1502(S)741,752(S) 8,622,581(L)
3,157,467(S)
7.00(L)
2.56(S)
25/03/2022
CS20220329E00012BlackRock, Inc.1313(L)
33,000(L)
 11,396,893(L)
70,800(S)
9.26(L)
0.06(S)
24/03/2022
CS20220329E00170JPMorgan Chase & Co.1101(L)
361,900(L)
HKD 94.995311,319,650(L)
1,411,127(S)
2,704,242(P)
9.19(L)
1.14(S)
2.19(P)
24/03/2022
CS20220329E00335UBS Group AG1101(L)
298,400(L)
HKD 93.36298,724,381(L)
3,921,219(S)
7.09(L)
3.18(S)
24/03/2022
CS20220325E00202UBS Group AG1402(S)94,000(S) 8,309,081(L)
3,717,117(S)
6.75(L)
3.02(S)
22/03/2022
CS20220322E00256UBS Group AG1402(S)835,300(S) 8,593,184(L)
3,213,921(S)
6.98(L)
2.61(S)
17/03/2022
CS20220322E00255UBS Group AG1201(L)
436,200(L)
HKD 70.66018,593,184(L)
2,378,621(S)
6.98(L)
1.93(S)
17/03/2022
CS20220318E00025BlackRock, Inc.1314(L)
43,000(L)
 11,700,089(L)
44,900(S)
9.50(L)
0.04(S)
16/03/2022
CS20220321E00227UBS Group AG1104(L)
6,000,000(L)
 8,778,684(L)
2,455,821(S)
7.13(L)
1.99(S)
16/03/2022
CS20220317E00030BlackRock, Inc.1313(L)
280,000(L)
 11,672,807(L)
44,900(S)
9.48(L)
0.04(S)
15/03/2022
CS20220318E00228UBS Group AG1013(L)
1,378,300(L)
 7,453,578(L)
1,619,122(S)
6.05(L)
1.32(S)
15/03/2022
CS20220317E00415JPMorgan Chase & Co.1104(L)
791,539(L)
HKD 74.674610,072,133(L)
1,555,527(S)
2,789,684(P)
8.18(L)
1.26(S)
2.26(P)
14/03/2022
CS20220315E00011BlackRock, Inc.1314(L)
68,000(L)
 11,293,258(L)
44,900(S)
9.17(L)
0.04(S)
10/03/2022
CS20220315E00195UBS Group AG1704(L)
62,000(L)
HKD 74.47816,108,314(L)
1,626,521(S)
4.96(L)
1.32(S)
10/03/2022
CS20220312E00023BlackRock, Inc.1313(L)
24,000(L)
 11,418,350(L)
45,900(S)
9.27(L)
0.04(S)
09/03/2022
CS20220314E00361Citigroup Inc.1213(L)
103,093(L)
 7,291,244(L)
42,800(S)
7,179,164(P)
5.92(L)
0.03(S)
5.83(P)
09/03/2022
CS20220314E00315UBS Group AG1013(L)
70,000(L)
 6,205,614(L)
1,649,221(S)
5.04(L)
1.34(S)
09/03/2022
CS20220310E00376UBS Group AG1704(L)
68,400(L)
HKD 86.18206,103,175(L)
1,574,523(S)
4.96(L)
1.28(S)
07/03/2022
CS20220309E00346UBS Group AG1004(L)
200,000(L)
 6,208,375(L)
1,614,020(S)
5.04(L)
1.31(S)
04/03/2022
CS20220308E00380Citigroup Inc.1113(L)
50,353(L)
 7,413,466(L)
43,200(S)
7,297,586(P)
6.02(L)
0.03(S)
5.92(P)
03/03/2022
CS20220308E00177JPMorgan Chase & Co.1314(L)
526,662(L)
 8,834,889(L)
1,660,727(S)
2,689,381(P)
7.17(L)
1.34(S)
2.18(P)
03/03/2022
CS20220308E00317UBS Group AG1704(L)
286,000(L)
 6,115,274(L)
1,427,722(S)
4.97(L)
1.16(S)
03/03/2022
CS20220304E00298Citigroup Inc.1213(L)
17,141(L)
 7,373,626(L)
60,040(S)
7,236,446(P)
5.98(L)
0.04(S)
5.87(P)
01/03/2022
CS20220303E00293Citigroup Inc.1113(L)
21,414(L)
 7,390,767(L)
60,940(S)
7,241,604(P)
6.00(L)
0.04(S)
5.88(P)
28/02/2022
CS20220301E00003Ninety One UK Limited1101(L)
320,800(L)
HKD 90.88937,560,500(L)
6.14(L)
25/02/2022
CS20220301E00331UBS Group AG10033(L)
219,900(L)
 6,229,437(L)
1,398,520(S)
5.06(L)
1.14(S)
24/02/2022
CS20220228E00306JPMorgan Chase & Co.1313(L)
338,635(L)
 8,848,069(L)
1,672,127(S)
2,713,161(P)
7.18(L)
1.35(S)
2.20(P)
23/02/2022
CS20220224E00313UBS Group AG1704(L)
66,100(L)
HKD 85.65536,120,063(L)
1,511,012(S)
4.97(L)
1.23(S)
21/02/2022
CS20220223E00280UBS Group AG10033(L)
40,500(L)
 6,165,963(L)
1,547,012(S)
5.01(L)
1.26(S)
18/02/2022
CS20220221E00174Aggregate of abrdn plc affiliated investment management entities1101(L)
225,100(L)
HKD 86.36398,730,154(L)
7.09(L)
17/02/2022
CS20220222E00196JPMorgan Chase & Co.1205(L)
863,500(L)
HKD 86.02589,410,414(L)
1,555,427(S)
2,693,782(P)
7.64(L)
1.26(S)
2.18(P)
17/02/2022
CS20220222E00202UBS Group AG1704(L)
60,900(L)
HKD 78.38786,135,363(L)
1,513,612(S)
4.98(L)
1.23(S)
17/02/2022
CS20220218E00055BlackRock, Inc.1104(L)
393,098(L)
 11,434,422(L)
66,300(S)
9.29(L)
0.05(S)
16/02/2022
CS20220218E00234UBS Group AG1004(L)
41,100(L)
 6,187,563(L)
1,578,410(S)
5.03(L)
1.28(S)
15/02/2022
CS20220216E00337JPMorgan Chase & Co.1205(L)
1,081,423(L)
HKD 74.167110,824,069(L)
1,499,327(S)
2,683,582(P)
8.79(L)
1.21(S)
2.17(P)
11/02/2022
CS20220216E00321UBS Group AG1704(L)
175,000(L)
 6,112,134(L)
1,540,610(S)
4.96(L)
1.25(S)
11/02/2022
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