PCD STORES (GROUP) LIMITED: O

Exchange Code Listed Last trade Delisted
HK Main 00331  2009-12-15  2013-08-30  2013-12-05
Stock code: Show unadjusted for splits and bonus shares Show method

Buybacks

In the daily list, click on the date to see CCASS movements on the settlement date.

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Row Date Number Value Curr. Av.
price
Out-
standing
at Date Stake %
1 2012-09-04 500,000 280,000 HKD 0.560 4,212,800,000 2012-08-31 0.012
2 2012-09-03 2,000,000 1,143,600 HKD 0.572 4,212,800,000 2012-08-31 0.047
3 2012-06-28 500,000 352,550 HKD 0.705 4,221,000,000 2012-05-31 0.012
4 2012-06-27 500,000 358,600 HKD 0.717 4,221,000,000 2012-05-31 0.012
5 2012-06-26 700,000 505,330 HKD 0.722 4,221,000,000 2012-05-31 0.017
6 2012-06-15 500,000 370,200 HKD 0.740 4,221,000,000 2012-05-31 0.012
7 2012-06-14 1,000,000 748,400 HKD 0.748 4,221,000,000 2012-05-31 0.024
8 2012-06-12 1,000,000 757,500 HKD 0.758 4,221,000,000 2012-05-31 0.024
9 2012-06-11 1,000,000 761,100 HKD 0.761 4,221,000,000 2012-05-31 0.024
10 2012-06-08 1,000,000 740,500 HKD 0.741 4,221,000,000 2012-05-31 0.024
11 2012-06-05 1,000,000 739,400 HKD 0.739 4,221,000,000 2012-05-31 0.024
12 2012-06-04 1,000,000 735,400 HKD 0.735 4,221,000,000 2012-05-31 0.024
13 2012-05-28 2,000,000 1,504,600 HKD 0.752 4,225,000,000 2012-04-30 0.047
14 2012-05-25 2,000,000 1,490,800 HKD 0.745 4,225,000,000 2012-04-30 0.047
Total 14,700,000 10,487,980 HKD 0.713 4,225,000,000 2012-04-30 0.348

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