Green Fresh Biotechnology Company Limited (KY): O

Exchange Code Listed Last trade Delisted
HK Main 01084  2019-10-17    
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 2025-12-03 756,707,850 1,930,000 85 86.5680 874,120,000 2025-06-30
2 2025-11-12 754,777,850 -1,930,000 87 86.3472 874,120,000 2025-06-30
3 2025-10-28 756,707,850 1,930,000 88 86.5680 874,120,000 2025-06-30
4 2025-09-23 754,777,850 -3,866,000 87 86.3472 874,120,000 2025-06-30
5 2025-08-12 758,643,850 -1,930,000 88 86.7894 874,120,000 2025-06-30
6 2025-07-25 760,573,850 -2,306,000 89 87.0102 874,120,000 2025-06-30
7 2025-07-02 762,879,850 -100 90 87.2740 874,120,000 2025-06-30
8 2024-09-19 762,879,950 4,160,000 93 87.2741 874,120,000 2024-08-31
9 2024-07-22 758,719,950 198,450,000 96 90.9605 834,120,000 2024-06-30
10 2024-07-17 560,269,950 1,200,000 96 67.1690 834,120,000 2024-06-30
11 2024-06-03 559,069,950 -198,450,000 100 67.3832 829,688,000 2024-05-31
12 2024-05-21 757,519,950 198,450,000 100 91.3018 829,688,000 2024-04-30
13 2023-07-20 559,069,950 1,200,000 115 67.3832 829,688,000 2023-06-30
14 2023-05-17 557,869,950 66,150,000 115 67.5996 825,256,000 2023-04-30
15 2023-02-23 491,719,950 98,000 122 59.5839 825,256,000 2023-01-31
16 2023-02-21 491,621,950 100,000 97 59.5721 825,256,000 2023-01-31
17 2023-02-14 491,521,950 400,000 99 59.5599 825,256,000 2023-01-31
18 2023-02-13 491,121,950 70,000 92 59.5115 825,256,000 2023-01-31
19 2023-02-07 491,051,950 24,000 92 59.5030 825,256,000 2023-01-31
20 2023-02-02 491,027,950 200,000 91 59.5001 825,256,000 2023-01-31
21 2023-01-30 490,827,950 204,000 88 59.4758 825,256,000 2022-12-31
22 2023-01-26 490,623,950 -892,000 100 59.4511 825,256,000 2022-12-31
23 2023-01-19 491,515,950 -204,000 97 59.5592 825,256,000 2022-12-31
24 2023-01-18 491,719,950 22,500,000 95 59.5839 825,256,000 2022-12-31
25 2023-01-17 469,219,950 7,250,000 95 56.8575 825,256,000 2022-12-31
26 2022-12-15 461,969,950 750,000 94 55.9790 825,256,000 2022-11-30
27 2022-12-14 461,219,950 300,000 95 55.8881 825,256,000 2022-11-30
28 2022-12-01 460,919,950 750,000 95 55.8518 825,256,000 2022-11-30
29 2022-11-25 460,169,950 -1,800,000 96 55.7609 825,256,000 2022-10-31
30 2022-07-20 461,969,950 4,160,000 98 55.9790 825,256,000 2022-06-30
31 2022-07-13 457,809,950 4,000 109 55.4749 825,256,000 2022-06-30
32 2022-06-30 457,805,950 4,000 98 55.4744 825,256,000 2022-06-30
33 2022-06-15 457,801,950 1,200,000 98 55.7735 820,824,000 2022-05-31
34 2022-06-13 456,601,950 2,000 99 55.6273 820,824,000 2022-05-31
35 2022-06-08 456,599,950 2,000 94 55.6270 820,824,000 2022-05-31
36 2022-06-06 456,597,950 4,000 93 55.6268 820,824,000 2022-05-31
37 2022-05-26 456,593,950 4,290,000 87 55.6263 820,824,000 2022-04-30
38 2022-05-25 452,303,950 2,000 87 55.1036 820,824,000 2022-04-30
39 2022-05-13 452,301,950 2,000 86 55.1034 820,824,000 2022-04-30
40 2022-01-04 452,299,950 230,000 73 55.1032 820,824,000 2021-12-31
41 2022-01-03 452,069,950 2,402,000 74 55.0751 820,824,000 2021-12-31
42 2021-11-24 449,667,950 1,706,000 74 54.7825 820,824,000 2021-10-31
43 2021-11-17 447,961,950 878,000 74 54.5747 820,824,000 2021-10-31
44 2021-11-16 447,083,950 -12,462,000 74 54.4677 820,824,000 2021-10-31
45 2021-11-12 459,545,950 -17,998,000 74 55.9859 820,824,000 2021-10-31
46 2021-11-11 477,543,950 -9,980,000 74 58.1786 820,824,000 2021-10-31
47 2021-11-10 487,523,950 -22,400,000 74 59.3945 820,824,000 2021-10-31
48 2021-11-09 509,923,950 -11,948,000 75 62.1234 820,824,000 2021-10-31
49 2021-10-28 521,871,950 -1,706,000 73 63.5790 820,824,000 2021-09-30
50 2021-07-07 523,577,950 1,200,000 79 63.7869 820,824,000 2021-06-30
51 2020-12-09 522,377,950 -200,000 74 63.9862 816,392,000 2020-11-30
52 2020-08-20 522,577,950 -140,000 76 64.0107 816,392,000 2020-07-31
53 2020-06-30 522,717,950 -1,822,000 77 64.0278 816,392,000 2020-06-30
54 2020-06-12 524,539,950 2,000 77 64.2510 816,392,000 2020-05-31
55 2020-06-04 524,537,950 -152,000 77 64.2507 816,392,000 2020-05-31
56 2020-06-01 524,689,950 -130,000 77 64.2694 816,392,000 2020-05-31
57 2020-05-19 524,819,950 1,200,000 77 65.6025 800,000,000 2020-04-30
58 2020-05-08 523,619,950 -750,000 77 65.4525 800,000,000 2020-04-30
59 2020-04-16 524,369,950 -500,000 79 65.5462 800,000,000 2020-03-31
60 2020-03-19 524,869,950 -178,000 81 65.6087 800,000,000 2020-02-29
61 2020-03-05 525,047,950 -580,000 83 65.6310 800,000,000 2020-02-29
62 2020-02-25 525,627,950 -886,000 83 65.7035 800,000,000 2020-01-31
63 2020-02-05 526,513,950 -600,000 84 65.8142 800,000,000 2020-01-31
64 2020-02-03 527,113,950 -1,240,000 84 65.8892 800,000,000 2020-01-31
65 2020-01-08 528,353,950 -1,008,000 89 66.0442 800,000,000 2019-12-31
66 2019-12-30 529,361,950 -28,000 88 66.1702 800,000,000 2019-11-30
67 2019-12-24 529,389,950 -40,000 88 66.1737 800,000,000 2019-11-30
68 2019-12-23 529,429,950 -824,000 88 66.1787 800,000,000 2019-11-30
69 2019-12-20 530,253,950 -60,000 87 66.2817 800,000,000 2019-11-30
70 2019-12-19 530,313,950 -5,040,000 86 66.2892 800,000,000 2019-11-30
71 2019-12-18 535,353,950 2,000 86 66.9192 800,000,000 2019-11-30
72 2019-12-10 535,351,950 161,702,000 87 66.9190 800,000,000 2019-11-30
73 2019-11-29 373,649,950 161,700,000 89 46.7062 800,000,000 2019-10-31
74 2019-11-20 211,949,950 2,000 94 26.4937 800,000,000 2019-10-31
75 2019-11-12 211,947,950 2,000 97 26.4935 800,000,000 2019-10-31
76 2019-11-04 211,945,950 -50 104 26.4932 800,000,000 2019-10-31
77 2019-10-28 211,946,000 12,000,000 105 26.4933 800,000,000 2019-10-17
78 2019-10-23 199,946,000 2,000 108 24.9933 800,000,000 2019-10-17
79 2019-10-22 199,944,000 2,000 115 24.9930 800,000,000 2019-10-17
80 2019-10-18 199,942,000 4,000 100 24.9928 800,000,000 2019-10-17

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