AM Group Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 01849  2019-06-26    
Stock code:

Adjust for splits and bonus issues: Yes No

Use price on: trading date holding/settlement date

Show: chart & table chart only table only

Table rows with no holding change: include exclude

WIN WONG SECURITIES LIMITED 宏旺証券有限公司

CCASSID: B01407

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 2025-11-18 0.050 2025-11-14
2 2025-11-17 0.050 2025-11-13
3 2025-11-14 0.050 2025-11-12
4 2025-10-15 0 -4,950 0.00 800,000,000 0 0.050 2025-10-13
5 2021-10-25 4,950 -10,000 0.00 800,000,000 3,317 0.670 2021-10-21
6 2021-10-22 14,950 -10,000 0.00 800,000,000 10,465 0.700 2021-10-20
7 2021-10-19 24,950 -20,000 0.00 800,000,000 16,218 0.650 2021-10-15
8 2021-10-06 44,950 -60,000 0.01 800,000,000 26,071 0.580 2021-10-04
9 2021-10-04 104,950 20,000 0.01 800,000,000 60,871 0.580 2021-09-29
10 2021-09-27 84,950 50,000 0.01 800,000,000 50,970 0.600 2021-09-23
11 2021-09-15 34,950 -40,000 0.00 800,000,000 20,621 0.590 2021-09-13
12 2021-08-30 74,950 20,000 0.01 800,000,000 44,221 0.590 2021-08-26
13 2021-08-23 54,950 -25,000 0.01 800,000,000 30,772 0.560 2021-08-19
14 2021-08-20 79,950 35,000 0.01 800,000,000 46,371 0.580 2021-08-18
15 2021-08-02 44,950 20,000 0.01 800,000,000 25,172 0.560 2021-07-29
16 2021-07-21 24,950 10,000 0.00 800,000,000 15,719 0.630 2021-07-19
17 2021-07-16 14,950 -10,000 0.00 800,000,000 9,269 0.620 2021-07-14
18 2021-07-15 24,950 -10,000 0.00 800,000,000 13,972 0.560 2021-07-13
19 2021-07-13 34,950 20,000 0.00 800,000,000 19,223 0.550 2021-07-09
20 2021-07-02 14,950 10,000 0.00 800,000,000 8,671 0.580 2021-06-29
21 2020-08-31 4,950 -20,000 0.00 800,000,000 3,416 0.690 2020-08-27
22 2020-08-26 24,950 -20,000 0.00 800,000,000 17,465 0.700 2020-08-24
23 2020-08-20 44,950 10,000 0.01 800,000,000 31,915 0.710 2020-08-18
24 2020-08-17 34,950 30,000 0.00 800,000,000 23,067 0.660 2020-08-13
25 2020-05-26 4,950 -20,000 0.00 800,000,000 2,129 0.430 2020-05-22
26 2020-05-21 24,950 20,000 0.00 800,000,000 11,851 0.475 2020-05-19
27 2020-05-19 4,950 -40,000 0.00 800,000,000 2,079 0.420 2020-05-15
28 2020-05-18 44,950 40,000 0.01 800,000,000 18,879 0.420 2020-05-14
29 2020-05-13 4,950 -45,000 0.00 800,000,000 2,030 0.410 2020-05-11
30 2020-04-29 49,950 -20,000 0.01 800,000,000 20,729 0.415 2020-04-27
31 2020-04-28 69,950 -35,000 0.01 800,000,000 28,330 0.405 2020-04-24
32 2020-04-27 104,950 45,000 0.01 800,000,000 41,980 0.400 2020-04-23
33 2020-04-22 59,950 35,000 0.01 800,000,000 25,179 0.420 2020-04-20
34 2019-07-17 24,950 -50 0.00 800,000,000 8,358 0.335 2019-07-15
35 2019-07-12 25,000 -345,000 0.00 800,000,000 8,750 0.350 2019-07-10
36 2019-07-11 370,000 345,000 0.05 800,000,000 127,650 0.345 2019-07-09
37 2019-07-05 25,000 -50,000 0.00 800,000,000 9,500 0.380 2019-07-03
38 2019-07-02 75,000 50,000 0.01 800,000,000 31,875 0.425 2019-06-27
39 2019-06-28 25,000 0.00 800,000,000 12,250 0.490 2019-06-26

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