Chan, Bobby Yum Kit 陳欽杰

Dealings in MOISELLE INTERNATIONAL HOLDINGS LIMITED: O

Exchange Code Listed Last trade Delisted
HK Main 00130  2002-02-11    

Click the date to see more details. L=Long, S=Short. Click the on-exchange price to see the CCASS movements on the settlement date corresponding to the relevant event, for trades after 22-Jun-2007.

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Relevant
date
Y-M-D
Probable
reason
L
/
S
Shares
involved
CapacityCapacity of the shares involved Interest
in shares
Curr OnEx
Price
OffEx
Price
Value Stake
%
Stake
Δ %
1 24-01-10 BoughtPurchased shares L 4,000 JointInterest held jointy with other(s) 200,902,000 HKD 0.249 996 69.77 0.00
2 24-01-05 BoughtPurchased shares L 500,000 JointInterest held jointy with other(s) 200,898,000 HKD 0.255 127,500 69.77 0.17
3 24-01-04 BoughtPurchased shares L 200,000 JointInterest held jointy with other(s) 200,398,000 HKD 0.254 50,740 69.60 0.07
4 24-01-03 BoughtPurchased shares L 200,000 JointInterest held jointy with other(s) 200,198,000 HKD 0.255 51,000 69.53 0.07
5 23-12-29 BoughtPurchased shares L 4,000 JointInterest held jointy with other(s) 199,998,000 HKD 0.250 1,000 69.46 0.00
6 23-12-28 BoughtPurchased shares L 20,000 JointInterest held jointy with other(s) 199,994,000 HKD 0.240 4,800 69.46 0.01
7 23-12-27 BoughtPurchased shares L 26,000 JointInterest held jointy with other(s) 199,974,000 HKD 0.240 6,240 69.45 0.01
8 23-12-22 BoughtPurchased shares L 156,000 JointInterest held jointy with other(s) 199,948,000 HKD 0.240 37,440 69.44 0.05
9 23-12-21 BoughtPurchased shares L 38,000 JointInterest held jointy with other(s) 199,792,000 HKD 0.225 8,550 69.39 0.01
10 23-12-19 BoughtPurchased shares L 32,000 JointInterest held jointy with other(s) 199,754,000 HKD 0.205 6,560 69.38 0.02
11 23-12-18 BoughtPurchased shares L 14,000 JointInterest held jointy with other(s) 199,722,000 HKD 0.202 2,828 69.36 0.00
12 23-12-14 BoughtPurchased shares L 108,000 JointInterest held jointy with other(s) 199,708,000 HKD 0.198 21,384 69.36 0.04
13 23-12-12 BoughtPurchased shares L 70,000 JointInterest held jointy with other(s) 199,600,000 HKD 0.188 13,160 69.32 0.02
14 23-12-11 BoughtPurchased shares L 16,000 JointInterest held jointy with other(s) 199,530,000 HKD 0.178 2,848 69.30 0.01
15 23-12-08 BoughtPurchased shares L 216,000 JointInterest held jointy with other(s) 199,514,000 HKD 0.166 35,813 69.29 0.07
16 23-12-07 BoughtPurchased shares L 580,000 JointInterest held jointy with other(s) 199,298,000 HKD 0.165 95,642 69.22 0.20
17 23-12-06 BoughtPurchased shares L 226,000 JointInterest held jointy with other(s) 198,718,000 HKD 0.151 34,149 69.02 0.08
18 23-12-05 BoughtPurchased shares L 374,000 JointInterest held jointy with other(s) 198,492,000 HKD 0.148 55,277 68.94 0.13
19 22-04-01 BoughtPurchased shares L 210,000 CorporateInterest of corporation >=1/3 controlled 198,118,000 HKD 0.285 59,850 68.81 0.08
20 22-03-31 BoughtPurchased shares L 4,000 CorporateInterest of corporation >=1/3 controlled 197,908,000 HKD 0.255 1,020 68.73 0.00
21 22-02-21 BoughtPurchased shares L 66,000 CorporateInterest of corporation >=1/3 controlled 197,904,000 HKD 0.259 17,087 68.73 0.02
22 22-02-17 BoughtPurchased shares L 22,000 CorporateInterest of corporation >=1/3 controlled 197,838,000 HKD 0.260 5,720 68.71 0.01
23 18-01-31 BoughtPurchased shares L 40,000 CorporateInterest of corporation >=1/3 controlled 197,816,000 HKD 1.370 54,800 68.70 0.01
24 18-01-29 BoughtPurchased shares L 1,000,000 CorporateInterest of corporation >=1/3 controlled 197,776,000 HKD 1.370 1,369,800 68.69 0.35
25 18-01-26 BoughtPurchased shares L 20,000 CorporateInterest of corporation >=1/3 controlled 196,776,000 HKD 1.330 26,600 68.34 0.01
26 18-01-25 BoughtPurchased shares L 500,000 CorporateInterest of corporation >=1/3 controlled 196,756,000 HKD 1.320 660,000 68.33 0.17
27 18-01-23 BoughtPurchased shares L 50,000 CorporateInterest of corporation >=1/3 controlled 196,256,000 HKD 1.320 66,000 68.16 0.02
28 18-01-15 BoughtPurchased shares L 500,000 CorporateInterest of corporation >=1/3 controlled 196,206,000 HKD 1.350 675,000 68.14 0.17
29 18-01-10 BoughtPurchased shares L 262,000 CorporateInterest of corporation >=1/3 controlled 195,706,000 HKD 1.350 353,700 67.97 0.09
30 18-01-03 BoughtPurchased shares L 148,000 CorporateInterest of corporation >=1/3 controlled 195,444,000 HKD 1.337 197,846 67.88 0.05
31 18-01-02 BoughtPurchased shares L 58,000 CorporateInterest of corporation >=1/3 controlled 195,296,000 HKD 1.320 76,560 67.83 0.02
32 17-12-15 BoughtPurchased shares L 38,000 CorporateInterest of corporation >=1/3 controlled 195,238,000 HKD 1.346 51,159 67.81 0.02
33 17-12-15 BoughtPurchased shares L 94,000 CorporateInterest of corporation >=1/3 controlled 195,200,000 HKD 1.340 125,960 67.79 0.03
34 17-12-15 BoughtPurchased shares L 34,000 CorporateInterest of corporation >=1/3 controlled 195,106,000 HKD 1.330 45,220 67.76 0.01
35 12-03-27 ExerciseExercising an option L 4,200,000 CorporateInterest of corporation >=1/3 controlled 195,072,000 HKD 1.150 4,830,000 67.75 1.46
36 05-10-21 AcquireBecoming interested L 430,000 CorporateInterest of corporation >=1/3 controlled 190,872,000 HKD 1.600 688,000 67.71 0.15
37 05-10-20 AcquireBecoming interested L 40,000 CorporateInterest of corporation >=1/3 controlled 190,442,000 HKD 1.600 64,000 67.56 0.02
38 05-10-19 AcquireBecoming interested L 402,000 CorporateInterest of corporation >=1/3 controlled 190,402,000 HKD 1.600 643,200 67.54 0.14
39 05-04-12 SellingSale contract L -20,000,000 CorporateInterest of corporation >=1/3 controlled 190,000,000 HKD 2.950 -59,000,001 67.42 -7.10

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