Samsung HSI Daily (-1x) Inverse Product: Unit

Exchange Code Listed Last trade Delisted
HKCIS 07312  2017-03-14  2021-01-18  2021-03-18
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 2020-10-08 3,600,000 -300,000 27 100.0000 3,600,000 2020-10-07
2 2020-09-29 3,900,000 -5,400,000 29 100.0000 3,900,000 2020-09-28
3 2020-04-06 9,300,000 -900,000 33 100.0000 9,300,000 2020-04-03
4 2020-03-30 10,200,000 -6,300,000 33 100.0000 10,200,000 2020-03-27
5 2020-03-27 16,500,000 -1,500,000 34 161.7647 10,200,000 2020-03-27
6 2020-01-31 18,000,000 300,000 40 100.0000 18,000,000 2020-01-30
7 2019-12-24 17,700,000 -2,400,000 38 100.0000 17,700,000 2019-12-23
8 2019-12-18 20,100,000 -600,000 38 100.0000 20,100,000 2019-12-17
9 2019-12-12 20,700,000 -300,000 39 100.0000 20,700,000 2019-12-11
10 2019-08-13 21,000,000 -1,500,000 38 100.0000 21,000,000 2019-08-13
11 2019-07-31 22,500,000 300,000 48 100.0000 22,500,000 2019-07-30
12 2019-06-18 22,200,000 -600,000 46 100.0000 22,200,000 2019-06-18
13 2019-05-24 22,800,000 -600,000 47 97.4359 23,400,000 2019-04-24
14 2019-04-25 23,400,000 300,000 53 100.0000 23,400,000 2019-04-24
15 2019-04-17 23,100,000 300,000 51 100.0000 23,100,000 2019-04-16
16 2019-04-03 22,800,000 300,000 53 100.0000 22,800,000 2019-04-02
17 2019-03-21 22,500,000 300,000 52 100.0000 22,500,000 2019-03-20
18 2019-03-04 22,200,000 300,000 52 100.0000 22,200,000 2019-03-01
19 2019-02-28 21,900,000 300,000 52 100.0000 21,900,000 2019-02-27
20 2019-02-27 21,600,000 300,000 53 98.6301 21,900,000 2019-02-27
21 2019-02-25 21,300,000 300,000 54 100.0000 21,300,000 2019-02-22
22 2019-02-20 21,000,000 300,000 53 100.0000 21,000,000 2019-02-19
23 2019-02-11 20,700,000 300,000 48 100.0000 20,700,000 2019-02-08
24 2019-02-08 20,400,000 300,000 50 98.5507 20,700,000 2019-02-08
25 2019-01-30 20,100,000 300,000 46 100.0000 20,100,000 2019-01-29
26 2019-01-29 19,800,000 300,000 47 98.5075 20,100,000 2019-01-29
27 2019-01-22 19,500,000 300,000 44 100.0000 19,500,000 2019-01-22
28 2018-12-05 19,200,000 600,000 49 103.2258 18,600,000 2018-11-12
29 2018-11-06 18,600,000 300,000 44 92.5373 20,100,000 2018-10-26
30 2018-10-31 18,300,000 -1,800,000 45 91.0448 20,100,000 2018-10-26
31 2018-10-29 20,100,000 -3,000,000 46 100.0000 20,100,000 2018-10-26
32 2018-10-10 23,100,000 -1,500,000 44 89.5349 25,800,000 2018-10-02
33 2018-10-09 24,600,000 -1,200,000 43 95.3488 25,800,000 2018-10-02
34 2018-09-19 25,800,000 600,000 45 102.3810 25,200,000 2018-09-13
35 2018-09-14 25,200,000 1,200,000 47 100.0000 25,200,000 2018-09-13
36 2018-09-13 24,000,000 3,900,000 47 95.2381 25,200,000 2018-09-13
37 2018-08-10 20,100,000 -3,000,000 45 87.0130 23,100,000 2018-07-13
38 2018-07-05 23,100,000 -2,400,000 46 79.3814 29,100,000 2018-06-26
39 2018-07-03 25,500,000 -3,600,000 46 87.6289 29,100,000 2018-06-26
40 2018-06-27 29,100,000 -4,500,000 49 100.0000 29,100,000 2018-06-26
41 2018-05-10 33,600,000 6,300,000 50 100.0000 33,600,000 2018-05-10
42 2018-04-24 27,300,000 -7,500,000 49 100.0000 27,300,000 2018-04-24
43 2018-03-27 34,800,000 300,000 44 100.0000 34,800,000 2018-03-26
44 2018-03-09 34,500,000 6,000,000 44 121.0526 28,500,000 2018-03-08
45 2018-03-08 28,500,000 1,800,000 44 100.0000 28,500,000 2018-03-08
46 2018-02-06 26,700,000 3,000,000 39 118.6667 22,500,000 2017-12-31
47 2018-02-02 23,700,000 1,200,000 38 105.3333 22,500,000 2017-12-31
48 2017-12-28 22,500,000 -3,000,000 33 88.2353 25,500,000 2017-10-31
49 2017-10-11 25,500,000 2,100,000 33 100.0000 25,500,000 2017-10-11
50 2017-09-27 23,400,000 -1,800,000 34 100.0000 23,400,000 2017-09-27
51 2017-08-07 25,200,000 3,000,000 26 100.0000 25,200,000 2017-08-07
52 2017-06-23 22,200,000 -4,200,000 30 100.0000 22,200,000 2017-06-23
53 2017-05-22 26,400,000 2,400,000 27 100.0000 26,400,000 2017-05-22
54 2017-05-19 24,000,000 -6,000,000 26 90.9091 26,400,000 2017-05-19
55 2017-05-04 30,000,000 -900,000 26 100.0000 30,000,000 2017-05-04
56 2017-03-27 30,900,000 300,000 19 100.0000 30,900,000 2017-03-27

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