Premia China Treasury and Policy Bank Bond Long Duration ETF: Unit

Exchange Code Listed Last trade Delisted
HKCIS 09177  2022-08-17    
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 2025-09-05 1,300,000 -4,750,000 9 21.8487 5,950,000 2025-03-31
2 2025-08-27 6,050,000 50,000 9 101.6807 5,950,000 2025-03-31
3 2025-08-05 6,000,000 50,000 9 100.8403 5,950,000 2025-03-31
4 2025-02-28 5,950,000 600,000 8 100.0000 5,950,000 2025-02-28
5 2025-01-13 5,350,000 350,000 8 100.0000 5,350,000 2025-01-10
6 2025-01-10 5,000,000 250,000 8 93.4579 5,350,000 2025-01-10
7 2025-01-08 4,750,000 -400,000 7 100.0000 4,750,000 2025-01-07
8 2024-11-06 5,150,000 1,550,000 7 100.0000 5,150,000 2024-11-05
9 2024-08-12 3,600,000 -150,000 7 100.0000 3,600,000 2024-08-09
10 2024-05-17 3,750,000 400,000 7 100.0000 3,750,000 2024-05-17
11 2024-04-08 3,350,000 700,000 6 100.0000 3,350,000 2024-04-08
12 2023-09-20 2,650,000 2,050,000 5 100.0000 2,650,000 2023-09-19
13 2023-08-22 600,000 -200,000 5 100.0000 600,000 2023-08-21
14 2023-03-27 800,000 -50,000 5 100.0000 800,000 2023-03-24
15 2023-03-24 850,000 -150,000 5 106.2500 800,000 2023-03-24
16 2023-02-10 1,000,000 -200,000 5 100.0000 1,000,000 2023-02-09
17 2023-01-12 1,200,000 -100,000 5 100.0000 1,200,000 2023-01-11
18 2022-11-11 1,300,000 550,000 5 100.0000 1,300,000 2022-11-10
19 2022-11-08 750,000 -100,000 5 100.0000 750,000 2022-11-04
20 2022-11-03 850,000 150,000 6 100.0000 850,000 2022-11-03
21 2022-10-05 700,000 400,000 6 100.0000 700,000 2022-10-03
22 2022-09-02 300,000 100,000 5 100.0000 300,000 2022-09-01
23 2022-09-01 200,000 50,000 5 66.6667 300,000 2022-09-01
24 2022-08-22 150,000 50,000 3 100.0000 150,000 2022-08-19
25 2022-08-19 100,000 50,000 1 66.6667 150,000 2022-08-19

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