Minerva Group Holding Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 00397  1993-10-13    
Stock code:

Adjust for splits and bonus issues: Yes No

Use price on: trading date holding/settlement date

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Table rows with no holding change: include exclude

GREAT BAY SECURITIES LIMITED 大灣區深港證券有限公司

CCASSID: B01471

Data table

Prices, holdings and issued shares are adjusted for splits and bonus issues.

Using prices on the last related trading date, which is 2 trading days before settlement.

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Row Holding
date
Holding Change Stake
%
Issued
shares
Holding
Value
Price @
trade
date
Trade
date
1 2025-11-06 0.048 2025-11-04
2 2025-11-05 0.049 2025-11-03
3 2025-07-31 0 -5,390,000 0.00 2,371,692,734 0 0.052 2025-07-29
4 2025-07-30 5,390,000 -3,650,000 0.23 2,371,692,734 280,280 0.052 2025-07-28
5 2025-07-29 9,040,000 -32,840,000 0.38 2,371,692,734 488,160 0.054 2025-07-25
6 2025-07-28 41,880,000 -10,200,000 1.77 2,371,692,734 2,470,920 0.059 2025-07-24
7 2025-07-25 52,080,000 -7,610,000 2.20 2,371,692,734 3,124,800 0.060 2025-07-23
8 2025-07-24 59,690,000 -2,730,000 2.52 2,371,692,734 3,700,780 0.062 2025-07-22
9 2025-07-22 62,420,000 62,420,000 2.63 2,371,692,734 3,932,460 0.063 2025-07-18
10 2025-04-03 0 -97,030,000 0.00 2,505,282,734 0 0.073 2025-04-01
11 2025-03-24 97,030,000 -740,000 3.87 2,505,282,734 8,441,610 0.087 2025-03-20
12 2025-03-21 97,770,000 -800,000 3.90 2,505,282,734 7,821,600 0.080 2025-03-19
13 2025-03-18 98,570,000 -100,000 3.93 2,505,282,734 7,097,040 0.072 2025-03-14
14 2025-03-10 98,670,000 -100,000 3.94 2,505,282,734 7,696,260 0.078 2025-03-06
15 2025-03-07 98,770,000 -300,000 3.94 2,505,282,734 8,395,450 0.085 2025-03-05
16 2025-03-05 99,070,000 -50,000 3.95 2,505,282,734 8,024,670 0.081 2025-03-03
17 2025-03-04 99,120,000 -330,000 3.96 2,505,282,734 7,830,480 0.079 2025-02-28
18 2025-03-03 99,450,000 -140,000 3.97 2,505,282,734 7,757,100 0.078 2025-02-27
19 2025-02-28 99,590,000 -770,000 3.98 2,505,282,734 7,369,660 0.074 2025-02-26
20 2025-02-18 100,360,000 -70,000 4.01 2,505,282,734 7,828,080 0.078 2025-02-14
21 2025-02-06 100,430,000 -30,000 4.01 2,505,282,734 8,436,120 0.084 2025-02-04
22 2025-01-27 100,460,000 -100,000 4.01 2,505,282,734 8,137,260 0.081 2025-01-23
23 2025-01-24 100,560,000 -100,000 4.01 2,505,282,734 8,447,040 0.084 2025-01-22
24 2025-01-22 100,660,000 -130,000 4.02 2,505,282,734 8,254,120 0.082 2025-01-20
25 2025-01-21 100,790,000 -70,000 4.02 2,505,282,734 8,163,990 0.081 2025-01-17
26 2025-01-20 100,860,000 -20,000 4.03 2,505,282,734 8,169,660 0.081 2025-01-16
27 2025-01-17 100,880,000 -60,000 4.03 2,505,282,734 8,373,040 0.083 2025-01-15
28 2025-01-16 100,940,000 -160,000 4.03 2,505,282,734 8,579,900 0.085 2025-01-14
29 2025-01-15 101,100,000 -60,000 4.04 2,505,282,734 8,795,700 0.087 2025-01-13
30 2025-01-14 101,160,000 -140,000 4.04 2,505,282,734 9,104,400 0.090 2025-01-10
31 2025-01-13 101,300,000 -200,000 4.04 2,505,282,734 9,015,700 0.089 2025-01-09
32 2025-01-08 101,500,000 -60,000 4.05 2,505,282,734 9,338,000 0.092 2025-01-06
33 2024-12-30 101,560,000 -110,000 4.05 2,505,282,734 8,327,920 0.082 2024-12-23
34 2024-12-20 101,670,000 -30,000 4.06 2,505,282,734 9,556,980 0.094 2024-12-18
35 2024-12-19 101,700,000 -40,000 4.06 2,505,282,734 8,441,100 0.083 2024-12-17
36 2024-12-13 101,740,000 -30,000 4.06 2,505,282,734 8,749,640 0.086 2024-12-11
37 2024-12-11 101,770,000 -30,000 4.06 2,505,282,734 8,853,990 0.087 2024-12-09
38 2024-12-05 101,800,000 -100,000 4.06 2,505,282,734 9,162,000 0.090 2024-12-03
39 2024-11-25 101,900,000 -100,000 4.07 2,505,282,734 9,680,500 0.095 2024-11-21
40 2024-07-16 102,000,000 102,000,000 4.07 2,505,282,734 13,260,000 0.130 2024-07-12
41 2020-09-21 0 -60,000 0.00 2,783,552,734 0 0.088 2020-09-17
42 2017-11-27 60,000 60,000 0.00 2,911,712,734 13,560 0.226 2017-11-23

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