Powerlong Commercial Management Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 09909  2019-12-30    
Stock code:

Adjust for splits and bonus issues: Yes No

Use price on: trading date holding/settlement date

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XIN YONGAN INTERNATIONAL SECURITIES COMPANY LIMITED 新永安國際證券有限公司

CCASSID: B02141

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 2025-11-27 2.420 2025-11-25
2 2025-11-26 2.500 2025-11-24
3 2021-05-17 0 -3,500 0.00 644,000,000 0 28.20 2021-05-13
4 2021-04-13 3,500 -2,500 0.00 644,000,000 93,275 26.65 2021-04-09
5 2021-04-12 6,000 3,500 0.00 644,000,000 171,000 28.50 2021-04-08
6 2021-03-30 2,500 2,500 0.00 644,000,000 64,125 25.65 2021-03-26
7 2021-03-05 0 -1,500 0.00 644,000,000 0 26.90 2021-03-03
8 2021-02-08 1,500 -1,000 0.00 644,000,000 35,100 23.40 2021-02-04
9 2021-02-04 2,500 -500 0.00 644,000,000 59,125 23.65 2021-02-02
10 2021-02-02 3,000 1,500 0.00 644,000,000 69,450 23.15 2021-01-29
11 2021-01-27 1,500 500 0.00 644,000,000 36,600 24.40 2021-01-25
12 2021-01-26 1,000 -500 0.00 644,000,000 24,400 24.40 2021-01-22
13 2021-01-25 1,500 -1,000 0.00 644,000,000 36,600 24.40 2021-01-21
14 2021-01-15 2,500 500 0.00 644,000,000 65,875 26.35 2021-01-13
15 2021-01-14 2,000 2,000 0.00 644,000,000 54,000 27.00 2021-01-12
16 2020-01-06 0 -3,000 0.00 600,000,000 0 9.800 2020-01-02

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