New Amante Group Limited: O HKD

Exchange Code Listed Last trade Delisted
HK GEM 08412  2017-04-07    
Stock code:

Table rows with no holding change: include exclude

Total holdings in CCASS

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Row Holding
date
Holding Change Holders Stake
%
Issued
shares
As at date
1 2025-03-12 98,875,371 220,000 119 80.8812 122,247,600 2025-02-28
2 2025-03-03 98,655,371 -220,000 118 80.7013 122,247,600 2025-02-28
3 2025-01-15 98,875,371 -2,500 119 80.8812 122,247,600 2024-12-31
4 2024-06-27 98,877,871 10,000,000 119 97.0556 101,877,600 2024-05-31
5 2024-03-22 88,877,871 -10,000,000 117 87.2399 101,877,600 2024-02-29
6 2023-12-18 98,877,871 -8,500 115 97.0556 101,877,600 2023-11-30
7 2023-06-23 98,886,371 11,985,600 119 97.0639 101,877,600 2023-06-23
8 2023-03-20 86,900,771 12,075,000 125 96.6724 89,892,000 2023-02-28
9 2023-02-27 74,825,771 25,899,866 125 83.2396 89,892,000 2023-02-27
10 2022-12-22 48,925,905 246,500 122 81.6411 59,928,000 2022-11-30
11 2022-12-21 48,679,405 1,644,500 122 81.2298 59,928,000 2022-11-30
12 2022-12-06 47,034,905 -2,950,000 121 78.4857 59,928,000 2022-11-30
13 2022-12-05 49,984,905 10,000 121 83.4083 59,928,000 2022-11-30
14 2022-12-02 49,974,905 -1,901,000 120 83.3916 59,928,000 2022-11-30
15 2022-11-17 51,875,905 -985,642,195 120 86.5637 59,928,000 2022-11-16
16 2022-11-02 1,037,518,100 2,720,000 123 86.5637 1,198,560,000 2022-10-31
17 2022-10-27 1,034,798,100 3,770,000 124 86.3368 1,198,560,000 2022-09-30
18 2022-10-25 1,031,028,100 -110,000,000 123 86.0222 1,198,560,000 2022-09-30
19 2022-10-17 1,141,028,100 -51,000,000 125 95.1999 1,198,560,000 2022-09-30
20 2022-09-29 1,192,028,100 -3,770,000 132 99.4550 1,198,560,000 2022-08-31
21 2022-09-20 1,195,798,100 -2,700,000 123 99.7696 1,198,560,000 2022-08-31
22 2022-06-08 1,198,498,100 199,760,000 130 99.9948 1,198,560,000 2022-06-08
23 2022-01-12 998,738,100 -10,000 130 99.9938 998,800,000 2021-12-31
24 2021-09-02 998,748,100 10,000 122 99.9948 998,800,000 2021-08-31
25 2021-08-27 998,738,100 10,000 89 99.9938 998,800,000 2021-07-31
26 2021-08-23 998,728,100 400,000 88 99.9928 998,800,000 2021-07-31
27 2021-05-17 998,328,100 19,200,000 88 99.9528 998,800,000 2021-04-30
28 2021-04-30 979,128,100 500,000 88 98.0304 998,800,000 2021-04-30
29 2021-04-27 978,628,100 19,200,000 90 97.9804 998,800,000 2021-04-27
30 2021-04-07 959,428,100 10,000 87 99.9404 960,000,000 2021-03-31
31 2021-03-03 959,418,100 20,000 84 99.9394 960,000,000 2021-02-28
32 2021-02-24 959,398,100 530,700,000 89 99.9373 960,000,000 2021-01-31
33 2021-02-23 428,698,100 80,000 91 44.6561 960,000,000 2021-01-31
34 2021-02-16 428,618,100 -20,000 92 44.6477 960,000,000 2021-01-31
35 2021-02-11 428,638,100 -50,000 92 44.6498 960,000,000 2021-01-31
36 2021-02-02 428,688,100 -10,000 93 44.6550 960,000,000 2021-01-31
37 2020-11-09 428,698,100 -500,000 90 44.6561 960,000,000 2020-10-31
38 2020-10-08 429,198,100 20,500,000 94 44.7081 960,000,000 2020-09-30
39 2020-10-05 408,698,100 7,980,000 94 42.5727 960,000,000 2020-09-30
40 2020-08-19 400,718,100 10,320,000 97 41.7415 960,000,000 2020-08-18
41 2020-08-13 390,398,100 160,000,000 95 48.7998 800,000,000 2020-07-31
42 2020-07-30 230,398,100 -10,320,000 93 28.7998 800,000,000 2020-06-30
43 2020-07-15 240,718,100 10,320,000 94 30.0898 800,000,000 2020-06-30
44 2019-03-28 230,398,100 10,000 97 28.7998 800,000,000 2019-02-28
45 2019-01-21 230,388,100 210,000 93 28.7985 800,000,000 2018-12-31
46 2018-12-19 230,178,100 -210,000 92 28.7723 800,000,000 2018-11-30
47 2018-03-27 230,388,100 15,500,000 114 28.7985 800,000,000 2018-02-28
48 2017-09-06 214,888,100 -1,800 143 26.8610 800,000,000 2017-08-31
49 2017-05-16 214,889,900 10,000 145 26.8612 800,000,000 2017-04-30
50 2017-05-02 214,879,900 10,000 149 26.8600 800,000,000 2017-04-30
51 2017-04-27 214,869,900 15,029,900 151 26.8587 800,000,000 2017-04-07
52 2017-04-13 199,840,000 10,000 160 24.9800 800,000,000 2017-04-07
53 2017-04-12 199,830,000 20,000 161 24.9788 800,000,000 2017-04-07

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