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)
CS20211203E00245
JPMorgan Chase & Co.
1101
(L)
183,700(L)
HKD 124.8381
12,427,999(L)
723,127(S)
2,835,746(P)
10.09(L)
0.58(S)
2.30(P)
30/11/2021
CS20211130E00330
JPMorgan Chase & Co.
1201
(L)
89,227(L)
HKD 129.5510
12,258,233(L)
654,427(S)
2,842,446(P)
9.95(L)
0.53(S)
2.30(P)
25/11/2021
CS20211122E00343
JPMorgan Chase & Co.
1104
(L)
505,258(L)
HKD 144.1630
12,564,622(L)
904,368(S)
2,823,628(P)
10.20(L)
0.73(S)
2.29(P)
17/11/2021
CS20211117E00402
NINETY ONE UK LIMITED
1201
(L)
1,105,300(L)
HKD 130.9100
5,976,800(L)
4.85(L)
16/11/2021
CS20211118E00516
Citigroup Inc.
1013
(L)
1,831,637(L)
7,610,903(L)
30,382(S)
7,546,290(P)
6.18(L)
0.02(S)
6.12(P)
15/11/2021
CS20211117E00312
Citigroup Inc.
1213
(L)
1,829,709(L)
5,779,266(L)
30,382(S)
5,714,700(P)
4.69(L)
0.02(S)
4.64(P)
12/11/2021
CS20211112E00189
JPMorgan Chase & Co.
1201
(L)
187,747(L)
HKD 133.8851
12,148,227(L)
831,968(S)
2,907,978(P)
9.86(L)
0.67(S)
2.36(P)
09/11/2021
CS20211111E00425
JPMorgan Chase & Co.
1314
(L)
206,391(L)
12,335,974(L)
844,468(S)
2,953,278(P)
10.01(L)
0.68(S)
2.39(P)
08/11/2021
CS20211111E00420
JPMorgan Chase & Co.
1101
(L)
93,467(L)
HKD 128.5626
12,335,974(L)
844,468(S)
2,953,278(P)
10.01(L)
0.68(S)
2.39(P)
08/11/2021
CS20211110E00483
Citigroup Inc.
1316
(L)
63,775(L)
7,505,015(L)
30,382(S)
7,433,749(P)
6.09(L)
0.02(S)
6.03(P)
05/11/2021
CS20211105E00449
2017 Eagle Holdings LLC
1101
(L)
219,100(L)
HKD 136.2192
14,858,500(L)
12.07(L)
04/11/2021
CS20211105E00001
Brown Brothers Harriman & Co.
16011
(L)
244,300(L)
7,532,185(L)
7,532,185(P)
6.12(L)
6.12(P)
04/11/2021
CS20211105E00450
F-J Sands Family I, LLC
1101
(L)
219,100(L)
HKD 136.2192
14,858,500(L)
12.07(L)
04/11/2021
CS20211105E00454
Sands Capital Management, LLC
1101
(L)
219,100(L)
HKD 136.2192
14,858,500(L)
12.07(L)
04/11/2021
CS20211105E00452
Sands Capital Management, LP
1101
(L)
219,100(L)
HKD 136.2192
14,858,500(L)
12.07(L)
04/11/2021
CS20211105E00451
Sands Family Trust, LLC
1101
(L)
219,100(L)
HKD 136.2192
14,858,500(L)
12.07(L)
04/11/2021
IS20211105E00448
Sands Frank Melville Jr.
1101
(L)
219,100(L)
HKD 136.2192
14,858,500(L)
12.07(L)
04/11/2021
CS20211108E00309
Citigroup Inc.
1113
(L)
63,464(L)
7,390,590(L)
30,382(S)
7,316,124(P)
6.00(L)
0.02(S)
5.94(P)
03/11/2021
CS20211108E00326
JPMorgan Chase & Co.
1201
(L)
307,598(L)
HKD 136.6113
12,089,266(L)
833,868(S)
3,053,978(P)
9.81(L)
0.67(S)
2.48(P)
03/11/2021
CS20211104E00160
2017 Eagle Holdings LLC
1101
(L)
736,700(L)
HKD 137.5860
14,200,700(L)
11.53(L)
02/11/2021
CS20211104E00161
F-J Sands Family I, LLC
1101
(L)
736,700(L)
HKD 137.5860
14,200,700(L)
11.53(L)
02/11/2021
CS20211104E00173
Sands Capital Management, LLC
1101
(L)
736,700(L)
HKD 137.5860
14,200,700(L)
11.53(L)
02/11/2021
CS20211104E00172
Sands Capital Management, LP
1101
(L)
736,700(L)
HKD 137.5860
14,200,700(L)
11.53(L)
02/11/2021
CS20211104E00171
Sands Family Trust, LLC
1101
(L)
736,700(L)
HKD 137.5860
14,200,700(L)
11.53(L)
02/11/2021
IS20211104E00159
Sands Frank Melville Jr.
1101
(L)
736,700(L)
HKD 137.5860
14,200,700(L)
11.53(L)
02/11/2021
CS20220208E00042
(
CS20211103E00195
之修訂本)
Aggregate of abrdn plc affiliated investment management entities
1001
(L)
401,300(L)
HKD 139.8042
6,522,754(L)
5.30(L)
01/11/2021
CS20211103E00195
(已被
CS20220208E00042
取替)
Aggregate of abrdn plc affiliated investment management entities
1001
(L)
401,300(L)
HKD 139.8042
6,522,754(L)
5.30(L)
01/11/2021
CS20211103E00126
2017 Eagle Holdings LLC
1101
(L)
621,100(L)
HKD 152.6668
12,759,500(L)
10.36(L)
29/10/2021
CS20211103E00128
F-J Sands Family I, LLC
1101
(L)
621,100(L)
HKD 152.6668
12,759,500(L)
10.36(L)
29/10/2021
CS20211103E00479
JPMorgan Chase & Co.
1502
(S)
587,008(S)
12,649,177(L)
1,089,568(S)
3,098,728(P)
10.27(L)
0.88(S)
2.51(P)
29/10/2021
CS20211103E00131
Sands Capital Management, LLC
1101
(L)
621,100(L)
HKD 152.6668
12,759,500(L)
10.36(L)
29/10/2021
CS20211103E00130
Sands Capital Management, LP
1101
(L)
621,100(L)
HKD 152.6668
12,759,500(L)
10.36(L)
29/10/2021
CS20211103E00129
Sands Family Trust, LLC
1101
(L)
621,100(L)
HKD 152.6668
12,759,500(L)
10.36(L)
29/10/2021
IS20211103E00125
Sands Frank Melville Jr.
1101
(L)
621,100(L)
HKD 152.6668
12,759,500(L)
10.36(L)
29/10/2021
CS20211029E00005
BlackRock, Inc.
1101
(L)
118,400(L)
HKD 150.9116
8,721,489(L)
47,200(S)
7.08(L)
0.04(S)
26/10/2021
CS20220208E00041
(
CS20211027E00093
之修訂本)
Aggregate of abrdn plc affiliated investment management entities
1201
(L)
34,700(L)
HKD 154.4715
6,126,254(L)
4.98(L)
25/10/2021
CS20211027E00093
(已被
CS20220208E00041
取替)
Aggregate of abrdn plc affiliated investment management entities
1201
(L)
34,700(L)
HKD 154.4715
6,126,254(L)
4.98(L)
25/10/2021
CS20220208E00040
(
CS20211026E00215
之修訂本)
Aggregate of abrdn plc affiliated investment management entities
1001
(L)
19,900(L)
HKD 149.1945
6,160,954(L)
5.00(L)
22/10/2021
CS20211026E00215
(已被
CS20220208E00040
取替)
Aggregate of abrdn plc affiliated investment management entities
1001
(L)
19,900(L)
HKD 149.1945
6,160,954(L)
5.00(L)
22/10/2021
CS20211025E00220
NINETY ONE UK LIMITED
1201
(L)
22,700(L)
HKD 150.1379
7,381,800(L)
5.99(L)
22/10/2021
CS20211022E00471
NINETY ONE UK LIMITED
1101
(L)
20,300(L)
HKD 150.2697
7,404,500(L)
6.01(L)
21/10/2021
CS20211023E00014
BlackRock, Inc.
1201
(L)
4,300(L)
HKD 153.6620
8,617,161(L)
46,700(S)
6.99(L)
0.04(S)
20/10/2021
CS20211021E00042
BlackRock, Inc.
1101
(L)
33,100(L)
HKD 154.9069
8,625,361(L)
46,700(S)
7.01(L)
0.04(S)
18/10/2021
CS20220208E00038
(
CS20211019E00453
之修訂本)
Aggregate of abrdn plc affiliated investment management entities
1201
(L)
45,000(L)
HKD 148.9276
6,135,654(L)
4.98(L)
15/10/2021
CS20211019E00453
(已被
CS20220208E00038
取替)
Aggregate of abrdn plc affiliated investment management entities
1201
(L)
45,000(L)
HKD 148.9276
6,135,654(L)
4.98(L)
15/10/2021
CS20211019E00018
BlackRock, Inc.
1205
(L)
38,821(L)
8,594,961(L)
46,700(S)
6.98(L)
0.04(S)
14/10/2021
CS20211019E00590
Citigroup Inc.
1013
(L)
1,558,081(L)
7,358,774(L)
27,282(S)
7,263,026(P)
5.97(L)
0.02(S)
5.89(P)
13/10/2021
CS20211015E00076
BlackRock, Inc.
1104
(L)
162,033(L)
8,761,760(L)
46,700(S)
7.12(L)
0.04(S)
12/10/2021
CS20211018E00379
Citigroup Inc.
1213
(L)
1,582,996(L)
5,800,693(L)
27,282(S)
5,704,945(P)
4.71(L)
0.02(S)
4.63(P)
12/10/2021
CS20211015E00352
Citigroup Inc.
1213
(L)
82,757(L)
7,383,689(L)
27,282(S)
7,283,041(P)
5.99(L)
0.02(S)
5.91(P)
11/10/2021
頁
1
2
3
4
<5>
6
顯示第 201 - 250 個紀錄
共有
297
個紀錄
返回頁頂