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)
CS20211012E00017
BlackRock, Inc.
1201
(L)
17,900(L)
HKD 163.2521
8,606,013(L)
46,700(S)
6.99(L)
0.04(S)
07/10/2021
CS20211012E00426
Citigroup Inc.
1316
(L)
15,456(L)
7,504,565(L)
27,282(S)
7,382,317(P)
6.09(L)
0.02(S)
5.99(P)
07/10/2021
CS20211008E00452
NINETY ONE UK LIMITED
1201
(L)
7,900(L)
HKD 161.0772
7,384,900(L)
5.99(L)
07/10/2021
CS20211011E00468
Citigroup Inc.
1316
(L)
17,556(L)
7,520,021(L)
27,282(S)
7,396,573(P)
6.10(L)
0.02(S)
6.00(P)
06/10/2021
CS20211008E00433
Citigroup Inc.
1316
(L)
23,260(L)
7,503,590(L)
27,282(S)
7,378,342(P)
6.09(L)
0.02(S)
5.99(P)
05/10/2021
CS20211007E00182
JPMorgan Chase & Co.
1402
(S)
822,397(S)
12,989,404(L)
1,609,776(S)
2,769,946(P)
10.54(L)
1.30(S)
2.24(P)
04/10/2021
CS20211005E00163
JPMorgan Chase & Co.
1502
(S)
1,092,430(S)
12,715,892(L)
787,379(S)
3,138,632(P)
10.32(L)
0.63(S)
2.54(P)
30/09/2021
CS20210924E00343
NINETY ONE UK LIMITED
1101
(L)
17,000(L)
HKD 175.1741
7,495,800(L)
6.08(L)
23/09/2021
CS20210921E00447
BAILLIE GIFFORD & CO
1213
(L)
40,800(L)
6,149,000(L)
4.99(L)
20/09/2021
CS20210917E00098
JPMorgan Chase & Co.
1101
(L)
275,300(L)
HKD 166.2375
12,469,502(L)
1,347,006(S)
2,395,314(P)
10.12(L)
1.09(S)
1.94(P)
14/09/2021
CS20210917E00223
UBS Group AG
1704
(L)
633,799(L)
5,530,559(L)
4.49(L)
14/09/2021
CS20210916E00077
JPMorgan Chase & Co.
1402
(S)
75,700(S)
12,194,202(L)
1,268,805(S)
2,397,214(P)
9.90(L)
1.03(S)
1.94(P)
13/09/2021
CS20210916E00303
UBS Group AG
1004
(L)
86,000(L)
6,160,658(L)
5.00(L)
13/09/2021
CS20210915E00335
Citigroup Inc.
1316
(L)
134,338(L)
7,578,055(L)
3,300(S)
7,443,395(P)
6.15(L)
0.00(S)
6.04(P)
10/09/2021
CS20210910E00574
Citigroup Inc.
1316
(L)
100,954(L)
7,456,323(L)
3,000(S)
7,310,463(P)
6.05(L)
0.00(S)
5.93(P)
07/09/2021
CS20210910E00223
JPMorgan Chase & Co.
1201
(L)
134,699(L)
HKD 147.2388
12,311,333(L)
1,085,037(S)
2,574,814(P)
9.99(L)
0.88(S)
2.09(P)
07/09/2021
CS20210909E00395
Citigroup Inc.
1316
(L)
155,190(L)
7,570,473(L)
3,000(S)
7,422,713(P)
6.14(L)
0.00(S)
6.02(P)
06/09/2021
CS20210908E00103
BlackRock, Inc.
1201
(L)
21,625(L)
HKD 135.4794
9,836,632(L)
45,500(S)
7.99(L)
0.04(S)
03/09/2021
CS20210904E00017
BlackRock, Inc.
1104
(L)
23,564(L)
9,863,494(L)
45,500(S)
8.01(L)
0.04(S)
02/09/2021
CS20210907E00301
Citigroup Inc.
1113
(L)
65,919(L)
7,414,810(L)
3,000(S)
7,243,254(P)
6.02(L)
0.00(S)
5.88(P)
02/09/2021
CS20210903E00030
BlackRock, Inc.
1205
(L)
317,188(L)
9,841,930(L)
40,500(S)
7.99(L)
0.03(S)
01/09/2021
CS20210902E00004
BlackRock, Inc.
1104
(L)
269,107(L)
10,070,648(L)
40,500(S)
8.18(L)
0.03(S)
30/08/2021
CS20210902E00305
UBS Group AG
1704
(L)
727,800(L)
HKD 139.1447
6,130,975(L)
4.98(L)
30/08/2021
CS20210827E00426
BAILLIE GIFFORD & CO
1001
(L)
501,800(L)
HKD 142.2816
6,196,000(L)
5.03(L)
27/08/2021
CS20210901E00010
BlackRock, Inc.
1205
(L)
405,843(L)
9,838,241(L)
40,500(S)
7.99(L)
0.03(S)
27/08/2021
CS20210828E00002
NINETY ONE UK LIMITED
1101
(L)
423,300(L)
HKD 141.2320
6,522,700(L)
5.30(L)
26/08/2021
CS20210831E00392
UBS Group AG
10033
(L)
724,000(L)
6,257,275(L)
5.08(L)
26/08/2021
CS20210830E00451
Citigroup Inc.
1213
(L)
689,466(L)
7,378,333(L)
3,000(S)
7,197,121(P)
5.99(L)
0.00(S)
5.84(P)
25/08/2021
CS20210826E00319
Citigroup Inc.
1316
(L)
202,500(L)
8,282,323(L)
46,934(S)
7,200,487(P)
6.72(L)
0.03(S)
5.84(P)
23/08/2021
CS20220208E00036
(
CS20210823E00156
之修訂本)
Aggregate of abrdn plc affiliated investment management entities
1001
(L)
204,600(L)
HKD 132.2200
6,278,954(L)
5.10(L)
19/08/2021
CS20210823E00156
(已被
CS20220208E00036
取替)
Aggregate of abrdn plc affiliated investment management entities
1001
(L)
204,600(L)
HKD 132.2200
6,278,954(L)
5.10(L)
19/08/2021
CS20210824E00389
Citigroup Inc.
1313
(L)
314,170(L)
8,097,723(L)
223,399(S)
7,200,487(P)
6.57(L)
0.18(S)
5.84(P)
19/08/2021
CS20210820E00248
Citigroup Inc.
1316
(L)
263,593(L)
8,080,786(L)
223,399(S)
7,191,150(P)
6.56(L)
0.18(S)
5.84(P)
17/08/2021
CS20210820E00092
JPMorgan Chase & Co.
1104
(L)
401,169(L)
HKD 130.8784
12,544,599(L)
688,039(S)
2,658,979(P)
10.18(L)
0.55(S)
2.15(P)
17/08/2021
CS20210819E00372
Citigroup Inc.
1313
(L)
475,626(L)
7,892,993(L)
223,399(S)
7,187,957(P)
6.41(L)
0.18(S)
5.83(P)
16/08/2021
CS20210818E00295
JPMorgan Chase & Co.
1313
(L)
1,100,000(L)
12,051,094(L)
688,039(S)
2,653,079(P)
9.78(L)
0.55(S)
2.15(P)
13/08/2021
CS20210817E00386
Citigroup Inc.
1101
(L)
490,300(L)
HKD 136.1597
7,800,384(L)
223,399(S)
7,159,148(P)
6.33(L)
0.18(S)
5.81(P)
12/08/2021
CS20210816E00383
Citigroup Inc.
1213
(L)
126,400(L)
7,310,084(L)
223,399(S)
7,159,148(P)
5.93(L)
0.18(S)
5.81(P)
11/08/2021
CS20210811E00304
Citigroup Inc.
1013
(L)
3,109,428(L)
7,690,009(L)
263,427(S)
7,166,573(P)
6.24(L)
0.21(S)
5.82(P)
06/08/2021
CS20210810E00004
BlackRock, Inc.
1201
(L)
122,000(L)
HKD 152.7430
10,991,624(L)
29,300(S)
8.93(L)
0.02(S)
05/08/2021
CS20210805E00006
BlackRock, Inc.
1104
(L)
453,818(L)
11,302,926(L)
29,300(S)
9.18(L)
0.02(S)
02/08/2021
CS20210729E00005
BlackRock, Inc.
1205
(L)
379,448(L)
11,044,609(L)
28,400(S)
8.97(L)
0.02(S)
26/07/2021
CS20210728E00041
BlackRock, Inc.
1104
(L)
431,897(L)
11,419,657(L)
28,400(S)
9.27(L)
0.02(S)
23/07/2021
CS20210727E00380
JPMorgan Chase & Co.
1104
(L)
259,518(L)
HKD 173.3758
11,187,970(L)
635,438(S)
2,814,519(P)
9.08(L)
0.51(S)
2.28(P)
22/07/2021
CS20210715E00310
Canada Pension Plan Investment Board
1101
(L)
131,800(L)
HKD 176.1402
7,395,500(L)
6.01(L)
13/07/2021
CS20210715E00325
UBS Group AG
1704
(L)
193,800(L)
HKD 154.1269
5,989,486(L)
4.86(L)
12/07/2021
CS20210714E00480
Canada Pension Plan Investment Board
1101
(L)
723,600(L)
HKD 154.1692
6,811,300(L)
5.53(L)
08/07/2021
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