JTF International Holdings Limited: O HKD

Exchange Code Listed Last trade Delisted
HK GEM 08479  2018-01-17  2023-05-16  2023-05-17
HK Main 09689  2023-05-17    
Stock code:

Table rows with no holding change: include exclude

Estimated securities not in CCASS

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Row Holding
date
Holding Change Stake
%
Issued
shares
As at date
1 2025-08-13 394,176,200 -580,000 42.38 930,000,000 2025-07-31
2 2025-03-19 394,756,200 580,000 42.45 930,000,000 2025-02-28
3 2024-07-29 394,176,200 -1,000,000 42.38 930,000,000 2024-06-30
4 2024-04-26 395,176,200 -2,732,000 42.49 930,000,000 2024-03-31
5 2024-04-09 397,908,200 2,732,000 42.79 930,000,000 2024-03-31
6 2024-03-22 395,176,200 19,964,000 42.49 930,000,000 2024-02-29
7 2023-12-29 375,212,200 -19,964,000 40.35 930,000,000 2023-11-30
8 2023-11-24 395,176,200 4,228,000 42.49 930,000,000 2023-10-31
9 2023-11-22 390,948,200 1,000,000 42.04 930,000,000 2023-10-31
10 2023-11-17 389,948,200 86,664,000 41.93 930,000,000 2023-10-31
11 2023-11-15 303,284,200 27,764,000 32.61 930,000,000 2023-10-31
12 2023-11-14 275,520,200 29,620,000 29.63 930,000,000 2023-10-31
13 2023-11-01 245,900,200 19,964,000 26.44 930,000,000 2023-10-31
14 2023-09-26 225,936,200 -2,008,000 24.29 930,000,000 2023-08-31
15 2023-09-04 227,944,200 2,008,000 24.51 930,000,000 2023-08-31
16 2023-06-23 225,936,200 -1,908,000 24.29 930,000,000 2023-05-31
17 2023-05-24 227,844,200 1,908,000 24.50 930,000,000 2023-04-30
18 2023-02-16 225,936,200 -1,888,000 24.29 930,000,000 2023-01-31
19 2022-11-02 227,824,200 -1,900,000 24.50 930,000,000 2022-10-31
20 2022-10-14 229,724,200 1,900,000 24.70 930,000,000 2022-09-30
21 2022-10-07 227,824,200 -28,000 24.50 930,000,000 2022-09-30
22 2022-09-29 227,852,200 1,888,000 24.50 930,000,000 2022-08-31
23 2022-09-05 225,964,200 28,000 24.30 930,000,000 2022-08-31
24 2022-06-09 225,936,200 -8,000 24.29 930,000,000 2022-05-31
25 2022-03-25 225,944,200 -75,000,000 24.30 930,000,000 2022-02-28
26 2022-03-03 300,944,200 8,000 32.36 930,000,000 2022-02-28
27 2021-07-26 300,936,200 864,000 32.36 930,000,000 2021-06-30
28 2020-01-10 300,072,200 300,000,000 32.27 930,000,000 2020-01-10
29 2019-12-18 72,200 12,000 0.01 630,000,000 2019-11-30
30 2019-06-11 60,200 12,000 0.01 630,000,000 2019-06-11
31 2019-05-08 48,200 -20,000 0.01 420,000,000 2019-04-30
32 2019-04-09 68,200 100 0.02 420,000,000 2019-03-31
33 2018-11-20 68,100 -56,000 0.02 420,000,000 2018-10-31
34 2018-10-30 124,100 56,000 0.03 420,000,000 2018-09-30
35 2018-10-09 68,100 -4,000 0.02 420,000,000 2018-09-30
36 2018-09-28 72,100 -170,080,000 0.02 420,000,000 2018-08-31
37 2018-09-21 170,152,100 -56,680,000 40.51 420,000,000 2018-08-31
38 2018-09-11 226,832,100 4,000 54.01 420,000,000 2018-08-31
39 2018-05-30 226,828,100 -4,000 54.01 420,000,000 2018-04-30
40 2018-05-29 226,832,100 -4,000 54.01 420,000,000 2018-04-30
41 2018-05-18 226,836,100 -88,200,000 54.01 420,000,000 2018-04-30
42 2018-04-24 315,036,100 -4,000 75.01 420,000,000 2018-03-31
43 2018-04-03 315,040,100 -4,000 75.01 420,000,000 2018-03-31
44 2018-03-19 315,044,100 -4,000 75.01 420,000,000 2018-02-28
45 2018-03-14 315,048,100 -4,000 75.01 420,000,000 2018-02-28
46 2018-03-07 315,052,100 -4,000 75.01 420,000,000 2018-02-28
47 2018-03-01 315,056,100 50 75.01 420,000,000 2018-02-28
48 2018-02-28 315,056,050 -4,000 75.01 420,000,000 2018-02-28
49 2018-02-23 315,060,050 -8,000 75.01 420,000,000 2018-01-31
50 2018-02-01 315,068,050 50 75.02 420,000,000 2018-01-31
51 2018-01-24 315,068,000 -8,000 75.02 420,000,000 2018-01-17
52 2018-01-23 315,076,000 -4,000 75.02 420,000,000 2018-01-17
53 2018-01-22 315,080,000 -36,000 75.02 420,000,000 2018-01-17
54 2018-01-19 315,116,000 -80,000 75.03 420,000,000 2018-01-17
55 2018-01-18 315,196,000 -4,000 75.05 420,000,000 2018-01-17

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