Diwang Industrial Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK Main 01950  2020-03-12    
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

Boom Securities (H.K.) Limited 寶盛證券(香港)有限公司

CCASSID: B02132

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 2025-11-14 0.229 2025-11-12
2 2025-11-13 0.230 2025-11-11
3 2025-11-12 0.228 2025-11-10
4 2025-04-02 287,200 -44,000 0.04 720,000,000 26,997 0.094 2025-03-31
5 2025-03-31 331,200 44,000 0.05 720,000,000 23,846 0.072 2025-03-27
6 2024-10-29 287,200 -176,000 0.04 720,000,000 40,782 0.142 2024-10-25
7 2024-01-08 463,200 120,000 0.06 720,000,000 91,250 0.197 2024-01-04
8 2023-12-01 343,200 -76,000 0.05 720,000,000 81,338 0.237 2023-11-29
9 2023-11-10 419,200 76,000 0.06 720,000,000 144,624 0.345 2023-11-08
10 2023-07-06 343,200 56,000 0.12 288,000,000 178,464 0.520 2023-07-04
11 2023-05-12 287,200 -2,400 0.10 288,000,000 147,908 0.515 2023-05-10
12 2022-12-21 289,600 -20,000 0.10 288,000,000 243,264 0.840 2022-12-19
13 2022-12-20 309,600 1,600 0.11 288,000,000 252,324 0.815 2022-12-16
14 2022-12-19 308,000 18,400 0.11 288,000,000 255,640 0.830 2022-12-15
15 2022-09-16 289,600 10,400 0.10 288,000,000 269,328 0.930 2022-09-14
16 2022-09-08 279,200 1,600 0.10 288,000,000 268,032 0.960 2022-09-06
17 2022-09-07 277,600 5,600 0.10 288,000,000 278,988 1.005 2022-09-05
18 2022-09-01 272,000 -5,600 0.09 288,000,000 257,040 0.945 2022-08-30
19 2022-06-27 277,600 16,000 0.12 240,000,000 305,360 1.100 2022-06-23
20 2022-06-21 261,600 -40,000 0.11 240,000,000 241,980 0.925 2022-06-17
21 2022-06-13 301,600 -40,000 0.13 240,000,000 286,520 0.950 2022-06-09
22 2022-06-02 341,600 -20,000 0.14 240,000,000 312,564 0.915 2022-05-31
23 2022-05-31 361,600 -40,000 0.15 240,000,000 278,432 0.770 2022-05-27
24 2022-05-30 401,600 -38,400 0.17 240,000,000 343,368 0.855 2022-05-26
25 2022-05-27 440,000 8,000 0.18 240,000,000 396,000 0.900 2022-05-25
26 2022-05-26 432,000 38,400 0.18 240,000,000 324,000 0.750 2022-05-24
27 2022-05-12 393,600 40,000 0.16 240,000,000 196,800 0.500 2022-05-10
28 2022-03-09 353,600 -108,800 0.15 240,000,000 169,728 0.480 2022-03-07
29 2022-03-02 462,400 -2,400 0.19 240,000,000 238,136 0.515 2022-02-28
30 2022-02-23 464,800 10,400 0.19 240,000,000 253,316 0.545 2022-02-21
31 2021-11-30 454,400 29,600 0.19 240,000,000 279,456 0.615 2021-11-26
32 2021-11-29 424,800 46,400 0.18 240,000,000 252,756 0.595 2021-11-25
33 2021-11-18 378,400 -5,600 0.16 240,000,000 351,912 0.930 2021-11-16
34 2021-10-08 384,000 15,200 0.16 240,000,000 428,160 1.115 2021-10-06
35 2021-10-07 368,800 -8,000 0.15 240,000,000 411,212 1.115 2021-10-05
36 2021-09-27 376,800 27,200 0.16 240,000,000 403,176 1.070 2021-09-23
37 2021-09-06 349,600 -45,600 0.15 240,000,000 421,268 1.205 2021-09-02
38 2021-09-03 395,200 -800 0.16 240,000,000 464,360 1.175 2021-09-01
39 2021-08-24 396,000 20,000 0.17 240,000,000 461,340 1.165 2021-08-20
40 2021-08-23 376,000 -24,000 0.16 240,000,000 443,680 1.180 2021-08-19
41 2021-08-20 400,000 20,000 0.17 240,000,000 488,000 1.220 2021-08-18
42 2021-08-04 380,000 -8,000 0.16 240,000,000 442,700 1.165 2021-08-02
43 2021-07-30 388,000 -24,800 0.16 240,000,000 461,720 1.190 2021-07-28
44 2021-07-29 412,800 -11,200 0.17 240,000,000 505,680 1.225 2021-07-27
45 2021-07-28 424,000 -3,200 0.18 240,000,000 561,800 1.325 2021-07-26
46 2021-07-27 427,200 7,200 0.18 240,000,000 608,760 1.425 2021-07-23
47 2021-07-26 420,000 8,000 0.18 240,000,000 598,500 1.425 2021-07-22
48 2021-07-23 412,000 28,000 0.17 240,000,000 597,400 1.450 2021-07-21
49 2021-07-22 384,000 45,600 0.16 240,000,000 547,200 1.425 2021-07-20
50 2021-07-21 338,400 8,800 0.14 240,000,000 499,140 1.475 2021-07-19
51 2021-07-15 329,600 -4,000 0.14 240,000,000 519,120 1.575 2021-07-13
52 2021-07-14 333,600 800 0.14 240,000,000 425,340 1.275 2021-07-12
53 2021-07-09 332,800 13,600 0.14 240,000,000 474,240 1.425 2021-07-07
54 2021-07-08 319,200 800 0.13 240,000,000 454,860 1.425 2021-07-06
55 2021-07-07 318,400 15,200 0.13 240,000,000 461,680 1.450 2021-07-05
56 2021-07-06 303,200 22,400 0.13 240,000,000 500,280 1.650 2021-07-02
57 2021-07-05 280,800 21,600 0.12 240,000,000 421,200 1.500 2021-06-30
58 2021-07-02 259,200 11,200 0.11 240,000,000 395,280 1.525 2021-06-29
59 2021-06-22 248,000 18,400 0.10 240,000,000 403,000 1.625 2021-06-18
60 2021-06-15 229,600 5,600 0.10 240,000,000 373,100 1.625 2021-06-10
61 2021-06-11 224,000 12,800 0.09 240,000,000 375,200 1.675 2021-06-09
62 2021-06-10 211,200 5,600 0.09 240,000,000 359,040 1.700 2021-06-08
63 2021-06-09 205,600 8,000 0.09 240,000,000 349,520 1.700 2021-06-07
64 2021-06-08 197,600 6,400 0.08 240,000,000 350,740 1.775 2021-06-04
65 2021-06-07 191,200 21,600 0.08 240,000,000 320,260 1.675 2021-06-03
66 2021-06-03 169,600 800 0.07 240,000,000 309,520 1.825 2021-06-01
67 2021-05-25 168,800 -7,200 0.07 240,000,000 506,400 3.000 2021-05-21
68 2021-05-24 176,000 -1,600 0.07 240,000,000 633,600 3.600 2021-05-20
69 2021-05-21 177,600 3,200 0.07 240,000,000 630,480 3.550 2021-05-18
70 2021-04-23 174,400 800 0.07 240,000,000 431,640 2.475 2021-04-21
71 2021-04-14 173,600 -100,000 0.07 240,000,000 360,220 2.075 2021-04-12
72 2021-04-13 273,600 20,000 0.11 240,000,000 547,200 2.000 2021-04-09
73 2021-04-09 253,600 -2,400 0.11 240,000,000 583,280 2.300 2021-04-07
74 2021-04-08 256,000 -7,200 0.13 200,000,000 640,000 2.500 2021-04-01
75 2021-04-07 263,200 43,200 0.13 200,000,000 526,400 2.000 2021-03-31
76 2021-04-01 220,000 177,600 0.11 200,000,000 990,000 4.500 2021-03-30
77 2021-03-31 42,400 -36,000 0.02 200,000,000 171,720 4.050 2021-03-29
78 2021-03-30 78,400 -23,200 0.04 200,000,000 258,720 3.300 2021-03-26
79 2021-03-29 101,600 -131,200 0.05 200,000,000 340,360 3.350 2021-03-25
80 2021-03-26 232,800 68,800 0.12 200,000,000 605,280 2.600 2021-03-24
81 2021-03-25 164,000 -26,400 0.08 200,000,000 410,000 2.500 2021-03-23
82 2021-03-16 190,400 24,000 0.10 200,000,000 266,560 1.400 2021-03-12
83 2021-03-11 166,400 18,400 0.08 200,000,000 241,280 1.450 2021-03-09
84 2021-03-09 148,000 75,200 0.07 200,000,000 203,500 1.375 2021-03-05
85 2021-03-08 72,800 17,600 0.04 200,000,000 107,380 1.475 2021-03-04
86 2021-03-02 55,200 32,000 0.03 200,000,000 104,880 1.900 2021-02-26
87 2021-02-26 23,200 -16,000 0.01 200,000,000 48,720 2.100 2021-02-24
88 2021-02-24 39,200 -23,200 0.02 200,000,000 78,400 2.000 2021-02-22
89 2021-02-22 62,400 17,600 0.03 200,000,000 106,080 1.700 2021-02-18
90 2021-02-19 44,800 21,600 0.02 200,000,000 76,160 1.700 2021-02-17
91 2021-02-17 23,200 -32,000 0.01 200,000,000 41,760 1.800 2021-02-10
92 2021-01-18 55,200 -800 0.03 200,000,000 68,724 1.245 2021-01-14
93 2020-11-10 56,000 -4,800 0.03 200,000,000 78,400 1.400 2020-11-06
94 2020-10-21 60,800 -27,200 0.03 200,000,000 86,640 1.425 2020-10-19
95 2020-10-05 88,000 -28,000 0.04 200,000,000 109,560 1.245 2020-09-29
96 2020-09-25 116,000 -1,600 0.06 200,000,000 156,600 1.350 2020-09-23
97 2020-09-02 117,600 -3,200 0.06 200,000,000 176,400 1.500 2020-08-31
98 2020-08-19 120,800 18,400 0.06 200,000,000 172,140 1.425 2020-08-17
99 2020-08-17 102,400 16,000 0.05 200,000,000 153,600 1.500 2020-08-13
100 2020-08-14 86,400 80,800 0.04 200,000,000 708,480 8.200 2020-08-12
101 2020-08-12 5,600 5,600 0.00 200,000,000 43,960 7.850 2020-08-10
102 2020-04-24 0 -4,000 0.00 200,000,000 0 6.750 2020-04-22
103 2020-04-23 4,000 4,000 0.00 200,000,000 28,000 7.000 2020-04-21
104 2020-03-25 0 -6,400 0.00 200,000,000 0 4.450 2020-03-23
105 2020-03-24 6,400 6,400 0.00 200,000,000 31,360 4.900 2020-03-20

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