首页 好孩子国际(hk01086)-基本信息

好孩子国际(hk01086)-基本信息

日报更新时间:07-10 18:28

周报更新时间:

行情信息

今开价:0.99

最高价:1.04

成交量:383000.0

昨收价:1.03

最低价:0.99

最新价:1.03

行情图标
概要信息

中文名称:好孩子国际


英文名称:Goodbaby


行业:个人及家居用品


简介:好孩子国际控股有限公司是一家总部设在中国的国际儿童耐用品公司。於二零零九年,以已售出单位及零售值计算,我们占有中国婴儿推车的最大市场份额。我们主要从事婴儿推车、儿童汽车安全座、婴儿床、自行车、三轮车及其它儿童耐用品的设计、研发、生产、行销及销售。於二零零九年,在中国、北美及欧盟销售的每2


网址:http://www.gbinternational.com.hk


电话:0512-57871888


最新量化综合结论
百科信息
  • 公司介绍
  • 持有人权益
  • 蜗轮

公司资料 公司回顾 公司展望
证劵代码 01086
公司名称(中文) 好孩子国际控股有限公司
公司名称(英文) Goodbaby International Holdings Limited
公司业务 好孩子国际控股有限公司是一家主要从事制造及分销儿童用品业务的投资控股公司。该公司通过三个业务分部进行运营。儿童推车及配件分部以该公司自有品牌及第三方品牌从事研究、设计、制造及销售儿童推车及配件业务。汽车座及配件分部以该公司自有品牌及第三方品牌从事研究、设计、制造及销售汽车座及配件业务。其他儿童耐用品分部以该公司自有品牌及第三方品牌从事研究、设计、制造及销售童床及配件,以及其他儿童用品业务。该公司也通过其子公司从事生产婴儿护理产品业务。
所属行业 家庭电器及用品
港股股份数目 1668023166(股)
主席 宋郑还
主要持股人 Cayey Enterprises Limited
董事 宋郑还(执行董事) 宋郑还(主席) 张昀(独立非执行董事) BRUCE, Iain Ferguson(独立非执行董事) 石晓光(独立非执行董事) 刘同友(执行董事) 曲南(执行董事) 何国贤(非执行董事) Martin POS(执行董事) 金鹏(独立非执行董事) 夏欣跃(执行董事) 富晶秋(非执行董事)
公司秘书 何小碧
注册办事处 Cricket Square Hutchins Drive P.O. Box 2681 Grand Cayman KY1-1111 Cayman Islands
公司总部 香港北角英皇道338号华懋交易广场2期20楼2001
股份过户登记处 香港中央证券登记有限公司
核数师 安永会计师事务所
主要往来银行 中国银行股份有限公司昆山分行
法律顾问 盛德律师事务所
公司网址 www.gbinternational.com.hk
电邮地址 business@gbinternational.com.hk
电话号码 86-512-5787-1888
传真号码 86-512-5767-1515
于本期间,本集团的核心战略品牌表现如下: Cybex品牌于本期间的全球收益由2018年相应期间的约955.8百万港元大幅增加29.6%(按恒定货币口径增加37.1%)至约1,238.7百万港元。该增幅乃直接得益于其持续强劲的品牌表现、新型及创新产品的推出以及欧非中东地区物流能力的加强。特别是Cybex汽车座和婴儿推车产品在欧非中东地区的销售表现为本期间增长的关键驱动因素。于本期间,Cybex通过独立机构,例如德国消费者测试实验室ADAC的认可,获得的三项红点设计奖以及不断拓展其国际名人和社交媒体粉丝群体,继续巩固其作为高端「技术—生活方式」品牌的领导地位。 此外,Cybex于欧洲以外市场录得30.7%(按恒定货币口径增加38.3%)的强劲增长,由2018年相应期间的约166.2百万港元增加至本期间的约217.3百万港元,增长主要得益于持续的品牌建设活动及进一步的渠道拓展。 gb品牌继续实现业务表现的稳定,整体收益由2018年相应期间的约1,576.3百万港元净减少5.5%(按恒定货币口径增加0.1%)至本期间的约1,490.0百万港元。 在主要中国市场,gb品牌的收益由2018年相应期间的约1,408.8百万港元略微减少3.2%(按恒定货币口径增加2.5%)至本期间的约1,363.4百万港元。我们有效应对中国日益充满挑战的经济和零售环境,实现了gb品牌在中国市场的增长。儘管预期中国出生率会有进一步下降,但从整体婴儿用品市场的规模来看,其仍提供了众多增长机会。棉纺品及服饰的收益继续录得稳健增长约8.7%(按恒定货币口径增加15.3%)。耐用品业务收入减少(主要是汽车座)约12.5%(按恒定货币口径减少7.5%),但于2019年上半年末推出的新耐用品婴儿推车产品,加上对批销渠道策略的持续调整,同2018年6月相比,2019年6月耐用品业务实现了正增长,为耐用品业务2019年全年的稳固发展势头奠定基础。总体来看,中国市场实施的业务稳定措施正在取得成效,且预计随着gb进一步加深与消费者的直接互动,其将于2019年下半年录得进一步正面表现,gb自有的綫上和綫下零售渠道的强劲增长就证明了这一点。 gb品牌于本期间在中国市场以外的收益约为126.6百万港元,而于2018年相应期间,该收益约为167.1百万港元。该降幅乃直接由于我们淘汰过时的产品组合;我们已于上半年后期推出了新品,gb下半年将恢复增长。 Evenflo品牌的收益从2019年初的疲软表现中反弹,收益略微减少0.4%(按恒定货币口径减少0.2%),由2018年相应期间的约917.8百万港元减少至约913.9百万港元。因潜在关税的不明朗因素、政府停摆及主要零售商促销效果不佳而导致消费者信心整体缺乏,从而致使2018年末╱2019年初的零售环境充满挑战,该环境于本期间开始企稳,上半年中╱末的零售POS表现回升。此外,由于ToysRUs(「TRU」)及其附属公司BabiesRUs(「BRU」)于2018年初进行清算,本期间内并无录得来自TRU/BRU的任何收益,而于2018年相应期间,该部份收益约为15.6百万港元。本期间内,Evenflo在其他北美渠道的收益增加,抵销了该影响。因Evenflo继续推出新产品且近期已获得来自主要全国性零售商的新业务订单,预计2019年下半年将延续上半年后期以来的增势。 Evenflo绝大部分的收益来自于北美市场,该部分收益持平(按恒定货币口径增加0.1%),由于零售POS的稳定及年中推出的新产品,本期间后半期的销售出现反弹。 于本期间,蓝筹业务的收益由2018年相应期间的约611.5百万港元减少15.8%至约514.7百万港元。该降幅乃直接由于当时关税的不明朗因素,使得主要蓝筹客户采取了增加库存的策略而于2018年同期进行了更多采购。本集团与其蓝筹客户的关係依然稳固,且我们预计2019年下半年收益将取得积极发展。 于本期间,本集团其他业务单元,包括战术品牌及零售商品牌业务,所得收益约为276.9百万港元,而于2018年相应期间,该收益约为364.3百万港元。该约24%(按恒定货币口径减少20.6%)的降幅乃直接由于本集团专注于发展其盈利性业务并继续全力聚焦其核心战略品牌业务的发展。 创新及技术 本集团继续投资其位于中国、欧洲及北美的创新型研发中心。该等研发枢纽使我们能够以协作的方式设计及创新以消费者为中心的各类产品、分享最佳常规。为了进一步秉承该等原则,本集团于本期间投资了分别位于德国及中国的两项全新汽车座模拟碰撞测试设施。该等投资将确保Goodbaby维持其全球汽车座儿童安全措施的领导者地位,加快产品开发╱发布,促进未来增长。 Goodbaby的品牌不断在设计和安全方面受到认可。于本期间,通过多个消费者测试机构(比如德国ADAC组织)颁发的独立认证和奖项、Cybex(三项)和gb(一项)分获的红点设计奖、Evenflo获得的两项北美行业奖以及不断增长的国际名人和社交媒体粉丝数量,Goodbaby继续巩固其在业界的领先地位。 生产及供应链 我们持续执行Goodbaby卓越体系(GBES),使得我们的供应链达到了世界级标准和卓越营运;同时,我们正在投资智能自动化生产技术,以缓解及减少不断增加的劳务及日常开支,从而确保集团竞争力。该等营运将确保本集团继续提供世界级品质、具竞争优势的成本并快速响应市场。
我们的三个核心战略品牌及组织架构均已取得积极发展,使我们继续相信日后我们将实现更佳的财务表现。随着我们继续应对不断充满挑战的全球政治、经济和零售环境,我们预计收入和盈利能力将录得进一步增长。我们将通过集中投资核心战略品牌Cybex、gb和Evenflo以及来自蓝筹业务的持续支持来实现这一目标。得益于其目前的产品组合及新产品发布、供应链能力的提升及分销平台的扩张,Cybex品牌产品在全球所有主要地区的需求将继续其强劲增长。随着非耐用品产品组合持续取得成功,加之耐用品产品的预期回弹,gb品牌在主要中国市场的业务正在企稳,并做好准备实现2019年下半年的增长。由于其致力于提升整体品牌形象而进行的新产品发布,及来自主要零售商新业务定单,Evenflo已从2019年初的严峻市场环境中实现反弹,并将于2019年下半年及2020年进入增长阶段。就全球而言,我们继续致力于在我们现有以及新开发市场的全国性分销平台上投资B2C平台,以确保我们维持与粉丝及消费者之间的直接关係,并为其提供世界级的线上体验。世界级制造、精良供应链及成本优化仍将是我们引领全球婴幼生态系统及实现持续盈利增长愿景的核心。

主要持有人权益变动 公司股份回购
事件日期 中文股东名称 持股人名字 涉及股份(股) 先前结余(股) 先前结余率(%) 先前类别 目前结余(股) 目前结余率(%) 目前类别 股份类别
2018-12-04 Pandanus Partners L.P. 2608000 99915000 5.9900 L 102523000 6.1500 L Ordinary Shares
2018-12-04 Pandanus Associates Inc. 2608000 99915000 5.9900 L 102523000 6.1500 L Ordinary Shares
2018-12-04 富达国际有限公司 FIL Limited 2608000 99915000 5.9900 L 102523000 6.1500 L Ordinary Shares
2018-10-12 Pandanus Associates Inc. 97627000 5.8500 L 97627000 5.8500 L Ordinary Shares
2018-10-12 Pandanus Partners L.P. 97627000 5.8500 L 97627000 5.8500 L Ordinary Shares
2018-09-13 Amundi Asset Management 500000 83628000 5.0100 L 83128000 4.9800 L Ordinary Shares and Preference Shares
2018-07-01 Amundi Asset Management 87008000 0 0.0000 L 87008000 5.2200 L Ordinary Shares and Preference Shares
2018-07-01 Amundi Ireland Ltd 87008000 87008000 5.2200 L 0 0.0000 L Ordinary Shares
2018-05-29 富达国际有限公司 FIL Limited 1420000 100609000 6.0300 L 99189000 5.9500 L Ordinary Shares
2018-05-25 Invesco Hong Kong Limited 2307000 81509000 4.8900 L 83816000 5.0200 L Ordinary Shares
2018-04-20 Amundi Luxembourg S.A. 285000 83530000 5.0100 L 83245000 4.9900 L A Shares
2018-02-28 Amundi Luxembourg S.A. 949000 82916000 4.9800 L 83865000 5.0300 L Ordinary Shares
2018-01-30 Pioneer Investment Management Limited 1079000 83254000 4.9900 L 84333000 5.0600 L Ordinary Shares
2018-01-11 Pioneer Investment Management Limited 1488000 84518000 5.0700 L 83030000 4.9800 L Ordinary Shares
2017-10-25 Templeton Investment Counsel, LLC 0 61382133 5.4700 L 61382133 3.7000 L Ordinary Shares
2017-10-24 Pioneer Investment Management Limited 1348000 82679000 4.9800 L 84027000 5.0600 L Ordinary Shares
2017-10-23 Credit Suisse Trust Limited 87753871 0 0.0000 L 87753871 5.2800 L Ordinary Shares
2017-10-23 Credit Suisse Trust Limited 289994581 259000000 23.0600 L 548994581 33.0800 L Ordinary Shares
2017-10-23 富达国际有限公司 FIL Limited 109101000 9.7200 L 109101000 6.5800 L Ordinary Shares
2017-10-23 Sure Growth Investments Limited 129293975 0 0.0000 L 129293975 7.7900 L Ordinary Shares
2017-10-23 Pioneer Investment Management Limited 0 82649000 7.3800 L 82679000 4.9800 L Ordinary Shares
2017-10-23 Pioneer Asset Management S.A. 0 75223000 6.7000 L 75439000 4.5500 L Ordinary Shares
2017-10-23 Grappa Holdings Limited 289994581 259000000 23.0600 L 548994581 33.0800 L Ordinary Shares
2017-10-23 Golden Phoenix Limited 87753871 0 0.0000 L 87753871 5.2800 L Ordinary Shares
2017-10-23 Fidelity Funds 77963000 6.9500 L 77963000 4.7000 L Ordinary Shares
2017-10-23 Rosy Phoenix Limited 87753871 0 0.0000 L 87753871 5.2800 L Ordinary Shares
2017-10-23 Pacific United Developments Limited 150518229 259000000 23.0600 L 409518229 24.6800 L Ordinary Shares
2017-10-23 富晶秋 Fu Jingqiu 507042427 261780000 23.3000 L 768822427 46.3300 L Ordinary Shares
2017-10-23 Cayey Enterprises Limited 289994581 259000000 23.0600 L 548994581 33.0800 L Ordinary Shares
2017-09-28 Fidelity Funds 1333000 79296000 7.0800 L 77963000 6.9600 L Ordinary Shares
2017-07-28 Pioneer Investment Management Limited 1041000 89816000 8.0200 L 88775000 7.9300 L Ordinary Shares
2017-07-05 Pioneer Investment Management Limited 643000 89311000 7.9800 L 89954000 8.0300 L Ordinary Shares
2017-06-28 富达国际有限公司 FIL Limited 1001000 112760000 10.0900 L 111759000 9.9900 L Ordinary Shares
2017-06-28 Pioneer Asset Management S.A. 586000 66832000 5.9800 L 67418000 6.0300 L Common Stock
2017-04-05 Templeton Investment Counsel, LLC 568000 55154133 4.9500 L 55722133 5.0000 L Ordinary Shares
2017-02-27 富达国际有限公司 FIL Limited 119283000 10.7000 L 119283000 10.7000 L Common Stock
2017-02-21 Pioneer Investments Management Limited 1678000 76492000 6.8600 L 78170000 7.0100 L Common Stock
2017-02-09 Fidelity Funds 80835000 7.2500 L 80835000 7.2500 L Common Stock
2017-01-24 Pioneer Asset Management S.A. 1865000 54966000 4.9300 L 56831000 5.1000 L Common Stock
2016-12-01 Pioneer Investments Management Limited 2466 66758000 5.9900 L 69224000 6.2100 L Common Stock
2016-09-14 惠理集团有限公司 Value Partners Group Limited 1587000 56244000 5.0400 L 54657000 4.9000 L Ordinary Shares
2016-06-17 惠理集团有限公司 Value Partners Group Limited 3000000 52964000 4.7500 L 55964000 5.0200 L Ordinary Shares
2016-06-16 资本集团有限公司 The Capital Group Companies, Inc. 1012000 56454000 5.0700 L 55442000 4.9800 L Ordinary Shares
2016-06-14 惠理集团有限公司 Value Partners Group Limited 2822000 56652000 5.0800 L 53830000 4.8300 L Ordinary Shares
2016-05-26 惠理集团有限公司 Value Partners Group Limited 1086000 67181000 6.0400 L 66095000 5.9400 L Ordinary Shares
2016-04-14 Pioneer Investments Management Limited 576000 66667000 6.1000 L 66091000 5.9600 L Common Stock
2016-04-13 惠理集团有限公司 Value Partners Group Limited 12657000 56144000 5.0600 L 68801000 6.2000 L Ordinary Shares
2016-04-12 惠理集团有限公司 Value Partners Group Limited 4351000 51793000 4.6700 L 56144000 5.0600 L Ordinary Shares
2016-04-12 新加坡政府投资公司 GIC Private Limited 5782000 57929000 5.2300 L 52147000 4.7000 L Ordinary
2016-04-08 新加坡政府投资公司 GIC Private Limited 11930000 77287000 6.9700 L 65357000 5.9000 L Ordinary
2016-03-14 Pioneer Investments Management Limited 565000 66733000 6.0200 L 66168000 5.9700 L Common Stock
2016-03-11 Pioneer Investments Management Limited 1132000 66168000 5.9700 L 67300000 6.0700 L Common Stock
2016-02-29 Pioneer Investments Management Limited 1326000 65575000 5.9100 L 66901000 6.0300 L Common Stock
2016-02-16 Pioneer Investments Management Limited 654000 66597000 6.0100 L 65943000 5.9500 L Common Stock
2016-02-04 Pioneer Asset Management S.A. 8553000 57366000 5.1700 L 48813000 4.4000 L Common Stock
2016-02-04 Pioneer Investments Management Limited 9415000 80163000 7.2300 L 70748000 6.3800 L Common Stock
2016-02-03 Pioneer Investments Management Limited 10138000 90301000 8.1400 L 80163000 7.2300 L Common Stock
2016-01-26 Pioneer Asset Management S.A. 14587000 80264000 7.2400 L 65677000 5.9200 L Common Stock
2016-01-26 Pioneer Investments Management Limited 19527000 110688000 9.9800 L 91161000 8.2200 L Common Stock
2016-01-19 Pioneer Investments Management Limited 152000 110882000 10.0000 L 110730000 9.9800 L Common Stock
2015-10-29 资本集团有限公司 The Capital Group Companies, Inc. 3750000 66577000 6.0100 L 62827000 5.6800 L Ordinary Shares
2015-09-11 Pioneer Asset Management S.A. 6411000 91837000 8.3000 L 85426000 7.7200 L Common Stock
2015-09-11 Pioneer Investments Management Limited 6411000 123941000 11.2000 L 117530000 10.6200 L Common Stock
2015-08-21 Pioneer Asset Management S.A. 925000 99893000 9.0600 L 98968000 8.9700 L Common Stock
2015-08-21 Pioneer Investments Management Limited 1000000 132986000 12.0600 L 131986000 11.9700 L Common Stock
2015-05-05 Pioneer Investments Management Limited 1248000 143958000 13.0700 L 142710000 12.9600 L Common Stock
2015-02-05 Pioneer Investments Management Limited 1660000 141603000 12.8600 L 143263000 13.0100 L Ordinary Shares
2015-01-27 Pioneer Investments Management Limited 99194000 95058000 8.6300 L 99194000 9.0100 L Common Stock
2015-01-26 Pioneer Asset Management S.A. 1911000 97311000 8.8400 L 99222000 9.0100 L Ordinary Shares
2015-01-22 Pioneer Investments Management Limited 4319000 130366000 11.8400 L 134685000 12.2300 L Ordinary Shares
2015-01-20 Pioneer Investments Management Limited 88856000 87908000 7.9800 L 88856000 8.0700 L Common Stock
2015-01-13 Pioneer Asset Management S.A. 838000 87328000 7.9300 L 88166000 8.0100 L Ordinary Shares
2015-01-13 资本集团有限公司 The Capital Group Companies, Inc. 1062000 77709000 7.0600 L 76647000 6.9600 L Ordinary Shares
2014-12-18 Pioneer Investments Management Limited 985000 120899000 10.9800 L 121884000 11.0700 L Ordinary Shares
2014-10-07 新加坡政府投资公司 GIC Private Limited 606000 77279000 7.0200 L 76673000 6.9600 L Ordinary
2014-09-29 富晶秋 Fu Jingqiu 1390000 259000000 23.5200 L 260390000 23.6500 L Ordinary Shares
2014-09-25 资本集团有限公司 The Capital Group Companies, Inc. 4017000 74685000 6.7800 L 78702000 7.1500 L Ordinary Shares
2014-09-24 Pioneer Investments Management Limited 77758000 76911000 6.9900 L 77758000 7.0600 L Common Stock
2014-09-23 Pioneer Asset Management S.A. 847000 76931000 6.9900 L 77778000 7.0600 L Ordinary Shares
2014-09-12 Pioneer Investments Management Limited 1000000 109997000 9.9900 L 110997000 10.0800 L Ordinary Shares
2014-08-28 Pioneer Investments Management Limited 67251000 65479000 5.9400 L 67251000 6.1000 L Common Stock
2014-08-27 Pioneer Asset Management S.A. 1772000 65499000 5.9500 L 67271000 6.1100 L Ordinary Shares
2014-08-26 Pioneer Investments Management Limited 2833000 97242000 8.8300 L 100075000 9.0900 L Ordinary Shares
2014-08-05 富达国际有限公司 FIL Limited 910000 98471000 8.9400 L 99381000 9.0200 L Common Stock
2014-07-09 Pioneer Investments Management Limited 1530000 87409000 7.9400 L 88939000 8.0800 L Ordinary Shares
2014-07-08 Pioneer Asset Management S.A. 6083000 50163000 4.5600 L 56246000 5.1100 L Ordinary Shares
2014-07-07 Pioneer Investments Management Limited 240000 0.0200 S 240000 0.0200 S Common Stock
2014-07-07 Pioneer Investments Management Limited 55712000 54633000 4.9600 L 55712000 5.0600 L Common Stock
2014-07-03 富达国际有限公司 FIL Limited 1271000 86882000 7.8900 L 88153000 8.0000 L Common Stock
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2014-05-30 富达国际有限公司 FIL Limited 1125000 76468000 6.9500 L 77593000 7.0500 L Common Stock
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2014-04-28 富达国际有限公司 FIL Limited 803000 66055000 5.9900 L 66858000 6.0700 L Common Stock
2014-04-22 Pioneer Investments Management Limited 1216000 54259000 4.9300 L 55475000 5.0400 L Ordinary Shares
2014-04-11 花旗集团 Citigroup Inc. 37478162 3.4000 P 37375162 3.3900 P H Shares
2014-04-11 花旗集团 Citigroup Inc. 12486000 1.1300 S 12486000 1.1300 S H Shares
2014-04-11 花旗集团 Citigroup Inc. 5044000 56562525 5.1300 L 51518525 4.6700 L H Shares
2014-04-09 花旗集团 Citigroup Inc. 37634162 3.4100 P 37634162 3.4100 P H Shares
2014-04-09 花旗集团 Citigroup Inc. 18238400 1.6500 S 18607000 1.6900 S H Shares
2014-04-09 花旗集团 Citigroup Inc. 1247000 56324925 5.1100 L 56693525 5.1400 L H Shares
2014-03-27 花旗集团 Citigroup Inc. 37669162 3.4200 P 37669162 3.4200 P H Shares
2014-03-27 花旗集团 Citigroup Inc. 18290100 1.6600 S 18290100 1.6600 S H Shares
2014-03-27 花旗集团 Citigroup Inc. 1441000 56316625 5.1100 L 56316625 5.1100 L H Shares
2014-03-13 花旗集团 Citigroup Inc. 35669162 3.2400 P 37669162 3.4200 P H Shares
2014-03-13 花旗集团 Citigroup Inc. 18156400 1.6400 S 18156400 1.6400 S H Shares
2014-03-13 花旗集团 Citigroup Inc. 1344000 54838925 4.9800 L 56182925 5.1000 L H Shares
2014-03-11 花旗集团 Citigroup Inc. 35774162 3.2400 P 35669162 3.2400 P H Shares
2014-03-11 花旗集团 Citigroup Inc. 18156400 1.6400 S 18156400 1.6400 S H Shares
2014-03-11 花旗集团 Citigroup Inc. 605000 55399925 5.0300 L 54794925 4.9700 L H Shares
2014-02-11 花旗集团 Citigroup Inc. 18664600 1.6900 S 18664600 1.6900 S H Shares
2014-02-11 花旗集团 Citigroup Inc. 33590635 3.0500 P 36809632 3.3400 P H Shares
2014-02-11 花旗集团 Citigroup Inc. 3218997 53768598 4.8800 L 56987595 5.1700 L H Shares
2014-02-10 花旗集团 Citigroup Inc. 36836635 3.3400 P 33590635 3.0500 P H Shares
2014-02-10 花旗集团 Citigroup Inc. 18664600 1.6900 S 18664600 1.6900 S H Shares
2014-02-10 花旗集团 Citigroup Inc. 3246000 57014598 5.1700 L 53768598 4.8800 L H Shares
2014-02-06 富达国际有限公司 FIL Limited 1402000 54088000 4.9100 L 55490000 5.0400 L Common Stock
2014-02-06 花旗集团 Citigroup Inc. 33078237 3.0000 P 35038236 3.1800 P H Shares
2014-02-06 花旗集团 Citigroup Inc. 18664600 1.6900 S 18664600 1.6900 S H Shares
2014-02-06 花旗集团 Citigroup Inc. 1959999 53256200 4.8300 L 55216199 5.0100 L H Shares
2014-02-05 花旗集团 Citigroup Inc. 37585638 3.4100 P 33078237 3.0000 P H Shares
2014-02-05 花旗集团 Citigroup Inc. 18664600 1.6900 S 18664600 1.6900 S H Shares
2014-02-05 花旗集团 Citigroup Inc. 4507401 57763601 5.2400 L 53256200 4.8300 L H Shares
2014-01-31 资本集团有限公司 The Capital Group Companies, Inc. 0 71037000 7.0600 L 71037000 6.4500 L Ordinary Shares
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2014-01-27 花旗集团 Citigroup Inc. 37882638 3.7600 P 37882638 3.7600 P H Shares
2014-01-27 花旗集团 Citigroup Inc. 18121200 1.8000 S 18664600 1.8500 S H Shares
2014-01-27 花旗集团 Citigroup Inc. 5360518 57463201 5.7100 L 58006601 5.7600 L H Shares
2014-01-20 花旗集团 Citigroup Inc. 37882638 3.7600 P 37882638 3.7600 P H Shares
2014-01-20 花旗集团 Citigroup Inc. 18121200 1.8000 S 18121200 1.8000 S H Shares
2014-01-20 花旗集团 Citigroup Inc. 6760518 57407201 5.7000 L 57407201 5.7000 L H Shares
2014-01-16 花旗集团 Citigroup Inc. 37882638 3.7600 P 37882638 3.7600 P H Shares
2014-01-16 花旗集团 Citigroup Inc. 18121200 1.8000 S 18121200 1.8000 S H Shares
2014-01-16 花旗集团 Citigroup Inc. 7760518 57407201 5.7000 L 57407201 5.7000 L H Shares
2014-01-06 花旗集团 Citigroup Inc. 37936638 3.7700 P 37936638 3.7700 P H Shares
2014-01-06 花旗集团 Citigroup Inc. 10442100 1.0300 S 17442100 1.7300 S H Shares
2014-01-06 花旗集团 Citigroup Inc. 7000000 49782101 4.9500 L 56782101 5.6400 L H Shares
2013-12-30 花旗集团 Citigroup Inc. 37936638 3.7700 P 37936638 3.7700 P H Shares
2013-12-30 花旗集团 Citigroup Inc. 9857500 0.9800 S 9857500 0.9800 S H Shares
2013-12-30 花旗集团 Citigroup Inc. 600000 50723501 5.0400 L 50123501 4.9800 L H Shares
2013-12-20 花旗集团 Citigroup Inc. 37936638 3.7700 P 37882638 3.7600 P H Shares
2013-12-20 花旗集团 Citigroup Inc. 9857500 0.9800 S 9857500 0.9800 S H Shares
2013-12-20 花旗集团 Citigroup Inc. 0 51547501 5.1200 L 50967501 5.0700 L H Shares
2013-12-11 花旗集团 Citigroup Inc. 36804638 3.6600 P 37936638 3.7700 P H Shares
2013-12-11 花旗集团 Citigroup Inc. 8471100 0.8400 S 8965100 0.8900 S H Shares
2013-12-11 花旗集团 Citigroup Inc. 1626000 49530101 4.9200 L 51156101 5.0800 L H Shares
2013-12-03 资本集团有限公司 The Capital Group Companies, Inc. 955000 69595000 6.9200 L 70550000 7.0200 L Ordinary Shares
2013-10-15 富达国际有限公司 FIL Limited 1875000 51812000 5.1600 L 49937000 4.9700 L Common Stock
2013-08-28 富达国际有限公司 FIL Limited 1250000 50099000 4.9800 L 51349000 5.1100 L Common Stock
2013-08-20 富达国际有限公司 FIL Limited 1114000 51067000 5.0800 L 49953000 4.9700 L Common Stock
2013-08-01 富达国际有限公司 FIL Limited 862000 60660000 6.0400 L 59798000 5.9500 L Common Stock
2013-07-12 富达国际有限公司 FIL Limited 2161000 71128000 7.0800 L 68967000 6.8600 L Common Stock
2013-06-24 富达国际有限公司 FIL Limited 5342000 82321000 8.1900 L 76979000 7.6600 L Common Stock
2013-06-18 富达国际有限公司 FIL Limited 1156000 91070000 9.0600 L 89914000 8.9500 L Common Stock
2013-06-13 富达国际有限公司 FIL Limited 7084000 101685000 10.1200 L 94601000 9.4200 L Common Stock
2013-05-20 新加坡政府投资公司 GIC Private Limited 3354000 67487000 6.7200 L 70841000 7.0600 L Ordinary
2013-04-25 富达国际有限公司 FIL Limited 2724000 110962000 11.0900 L 108238000 10.2800 L Common Stock
2013-03-22 富达国际有限公司 FIL Limited 966000 109292000 10.9300 L 110258000 11.0300 L Common Stock
2013-02-15 新加坡政府投资公司 GIC Private Limited 2503000 57753000 5.7800 L 60256000 6.0300 L Ordinary Shares
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2013-01-08 Stark Offshore Management LLC 11796000 72790507 7.2800 L 60994507 6.1000 L Ordinary
2013-01-08 Shepherd Investments International, Ltd. 11796000 72790507 7.2800 L 60994507 6.1000 L Ordinary
2013-01-04 德意志银行 Deutsche Bank Aktiengesellschaft 13580000 58199135 5.8200 L 44619135 4.4600 L Ordinary
2013-01-04 德意志银行 Deutsche Bank Aktiengesellschaft 40408 0.0000 S 33408 0.0000 S Ordinary
2013-01-04 ARC Capital Partners Limited 15280000 52312362 5.2300 L 37032362 3.7000 L Ordinary Shares
2013-01-04 ARCH Media Investment Limited 15280000 52312362 5.2300 L 37032362 3.7000 L Ordinary Shares
2013-01-04 Pacific Alliance Equity Partners Limited 15280000 52312362 5.2300 L 37032362 3.7000 L Ordinary Shares
2013-01-04 Pacific Alliance Group Limited 15280000 52312362 5.2300 L 37032362 3.7000 L Ordinary Shares
2013-01-04 Pacific Alliance Investment Management Limited 15280000 52312362 5.2300 L 37032362 3.7000 L Ordinary Shares
2013-01-04 PAG Holdings Limited 15280000 52312362 5.2300 L 37032362 3.7000 L Ordinary Shares
2013-01-04 ARC Capital Holdings Limited 15280000 52312362 5.2300 L 37032362 3.7000 L Ordinary Shares
2013-01-03 德意志银行 Deutsche Bank Aktiengesellschaft 18010000 76209135 7.6200 L 58199135 5.8200 L Ordinary
2013-01-03 德意志银行 Deutsche Bank Aktiengesellschaft 40408 0.0000 S 40408 0.0000 S Ordinary
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2013-01-03 ARCH Media Investment Limited 17410000 69722362 6.9700 L 52312362 5.2300 L Ordinary Shares
2013-01-03 Pacific Alliance Equity Partners Limited 17410000 69722362 6.9700 L 52312362 5.2300 L Ordinary Shares
2013-01-03 Pacific Alliance Group Limited 17410000 69722362 6.9700 L 52312362 5.2300 L Ordinary Shares
2013-01-03 Pacific Alliance Investment Management Limited 17410000 69722362 6.9700 L 52312362 5.2300 L Ordinary Shares
2013-01-03 PAG Holdings Limited 17410000 69722362 6.9700 L 52312362 5.2300 L Ordinary Shares
2013-01-03 ARC Capital Holdings Limited 17410000 69722362 6.9700 L 52312362 5.2300 L Ordinary Shares
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2013-01-02 PAG Holdings Limited 9000000 78722362 7.8700 L 69722362 6.9700 L Ordinary Shares
2013-01-02 富达国际有限公司 FIL Limited 5825000 96777000 9.6800 L 102602000 10.2600 L Common Stock
2013-01-02 德意志银行 Deutsche Bank Aktiengesellschaft 35408 0.0000 S 40408 0.0000 S Ordinary
2013-01-02 德意志银行 Deutsche Bank Aktiengesellschaft 8695000 84904135 8.4900 L 76209135 7.6200 L Ordinary
2013-01-02 ARC Capital Holdings Limited 9000000 78722362 7.8700 L 69722362 6.9700 L Ordinary Shares
2012-12-31 PAG Holdings Limited 9312000 88034362 8.8000 L 78722362 7.8700 L Ordinary Shares
2012-12-31 Pacific Alliance Investment Management Limited 9312000 88034362 8.8000 L 78722362 7.8700 L Ordinary Shares
2012-12-31 Pacific Alliance Group Limited 9312000 88034362 8.8000 L 78722362 7.8700 L Ordinary Shares
2012-12-31 Pacific Alliance Equity Partners Limited 9312000 88034362 8.8000 L 78722362 7.8700 L Ordinary Shares
2012-12-31 ARC Capital Partners Limited 9312000 88034362 8.8000 L 78722362 7.8700 L Ordinary Shares
2012-12-31 ARCH Media Investment Limited 9312000 88034362 8.8000 L 78722362 7.8700 L Ordinary Shares
2012-12-31 ARC Capital Holdings Limited 9312000 88034362 8.8000 L 78722362 7.8700 L Ordinary Shares
2012-12-21 德意志银行 Deutsche Bank Aktiengesellschaft 2535707 0.2500 S 7408 0.0000 S Common Shares
2012-12-21 德意志银行 Deutsche Bank Aktiengesellschaft 4769299 93832434 9.3800 L 89063135 8.9000 L Common Shares
2012-12-19 富达国际有限公司 FIL Limited 4184000 86466000 8.6500 L 90965000 9.0700 L Common Stock
2012-12-19 ARC Capital Partners Limited 9248000 97282362 9.7200 L 88034362 8.8000 L Ordinary Shares
2012-12-19 ARCH Media Investment Limited 9248000 97282362 9.7200 L 88034362 8.8000 L Ordinary Shares
2012-12-19 Pacific Alliance Group Limited 9248000 97282362 9.7200 L 88034362 8.8000 L Ordinary Shares
2012-12-19 Pacific Alliance Equity Partners Limited 9248000 97282362 9.7200 L 88034362 8.8000 L Ordinary Shares
2012-12-19 Pacific Alliance Investment Management Limited 9248000 97282362 9.7200 L 88034362 8.8000 L Ordinary Shares
2012-12-19 PAG Holdings Limited 9248000 97282362 9.7200 L 88034362 8.8000 L Ordinary Shares
2012-12-19 ARC Capital Holdings Limited 9248000 97282362 9.7200 L 88034362 8.8000 L Ordinary Shares
2012-12-18 德意志银行 Deutsche Bank Aktiengesellschaft 6100000 102816434 10.2800 L 96716434 9.6700 L Common Shares
2012-12-18 德意志银行 Deutsche Bank Aktiengesellschaft 6707 0.0000 S 6707 0.0000 S Common Shares
2012-12-14 富达国际有限公司 FIL Limited 1548000 79173000 7.9200 L 80721000 8.0700 L Common Stock
2012-12-14 德意志银行 Deutsche Bank Aktiengesellschaft 6620000 110055434 11.0000 L 103435434 10.3400 L Common Shares
2012-12-14 德意志银行 Deutsche Bank Aktiengesellschaft 6707 0.0000 S 6707 0.0000 S Common Shares
2012-12-14 Pacific Alliance Investment Management Limited 11159000 108441362 10.8400 L 97282362 9.7200 L Ordinary Shares
2012-12-14 PAG Holdings Limited 11159000 108441362 10.8400 L 97282362 9.7200 L Ordinary Shares
2012-12-14 Pacific Alliance Group Limited 11159000 108441362 10.8400 L 97282362 9.7200 L Ordinary Shares
2012-12-14 Pacific Alliance Equity Partners Limited 11159000 108441362 10.8400 L 97282362 9.7200 L Ordinary Shares
2012-12-14 ARCH Media Investment Limited 11159000 108441362 10.8400 L 97282362 9.7200 L Ordinary Shares
2012-12-14 ARC Capital Holdings Limited 11159000 108441362 10.8400 L 97282362 9.7200 L Ordinary Shares
2012-12-14 ARC Capital Partners Limited 11159000 108441362 10.8400 L 97282362 9.7200 L Ordinary Shares
2012-11-30 富达国际有限公司 FIL Limited 967000 69132000 6.9100 L 70099000 7.0100 L Common Stock
2012-11-30 ARC Capital Partners Limited 11537000 119978362 11.9900 L 108441362 10.8400 L Ordinary Shares
2012-11-30 ARCH Media Investment Limited 11537000 119978362 11.9900 L 108441362 10.8400 L Ordinary Shares
2012-11-30 Pacific Alliance Equity Partners Limited 11537000 119978362 11.9900 L 108441362 10.8400 L Ordinary Shares
2012-11-30 Pacific Alliance Group Limited 11537000 119978362 11.9900 L 108441362 10.8400 L Ordinary Shares
2012-11-30 Pacific Alliance Investment Management Limited 11537000 119978362 11.9900 L 108441362 10.8400 L Ordinary Shares
2012-11-30 PAG Holdings Limited 11537000 119978362 11.9900 L 108441362 10.8400 L Ordinary Shares
2012-11-30 Stark Offshore Management LLC 3613000 90986507 9.1000 L 87373507 8.7400 L Ordinary
2012-11-30 ARC Capital Holdings Limited 11537000 119978362 11.9900 L 108441362 10.8400 L Ordinary Shares
2012-11-29 德意志银行 Deutsche Bank Aktiengesellschaft 4500000 123836857 12.3800 L 119336857 11.9300 L Common Shares
2012-11-29 德意志银行 Deutsche Bank Aktiengesellschaft 7130 0.0000 S 7130 0.0000 S Common Shares
2012-11-29 资本集团有限公司 The Capital Group Companies, Inc. 2614000 70481000 7.0500 L 67867000 6.7900 L Ordinary Shares
2012-11-29 Shepherd Investments International, Ltd. 3613000 90986507 9.1000 L 87373507 8.7400 L Ordinary
2012-11-29 Stark Brian Jay 3613000 90986507 9.1000 L 87373507 8.7400 L Ordinary
2012-11-27 富达国际有限公司 FIL Limited 2288000 59811000 5.9800 L 62099000 6.2100 L Common Stock
2012-11-16 富达国际有限公司 FIL Limited 447000 49642000 4.9600 L 50089000 5.0100 L Common Stock
2012-11-14 Shepherd Investments International, Ltd. 228000 100018507 10.0100 L 99790507 9.9800 L Ordinary
2012-11-14 Stark Offshore Management LLC 228000 100018507 10.0100 L 99790507 9.9800 L Ordinary
2012-11-14 Stark Brian Jay 228000 100018507 10.0100 L 99790507 9.9800 L Ordinary
2012-11-12 ARC Capital Partners Limited 9826000 129804362 12.9800 L 119978362 11.9900 L Ordinary Shares
2012-11-12 Pacific Alliance Equity Partners Limited 9826000 129804362 12.9800 L 119978362 11.9900 L Ordinary Shares
2012-11-12 Pacific Alliance Group Limited 9826000 129804362 12.9800 L 119978362 11.9900 L Ordinary Shares
2012-11-12 Pacific Alliance Investment Management Limited 9826000 129804362 12.9800 L 119978362 11.9900 L Ordinary Shares
2012-11-12 PAG Holdings Limited 9826000 129804362 12.9800 L 119978362 11.9900 L Ordinary Shares
2012-11-12 ARCH Media Investment Limited 9826000 129804362 12.9800 L 119978362 11.9900 L Ordinary Shares
2012-11-12 ARC Capital Holdings Limited 9826000 129804362 12.9800 L 119978362 11.9900 L Ordinary Shares
2012-11-09 德意志银行 Deutsche Bank Aktiengesellschaft 5858 0.0000 S 5858 0.0000 S Common Shares
2012-11-09 德意志银行 Deutsche Bank Aktiengesellschaft 1000000 130954585 13.0900 L 129954585 12.9900 L Common Shares
2012-11-01 ARC Capital Partners Limited 8262000 138066362 13.8000 L 129804362 12.9800 L Ordinary Shares
2012-11-01 ARCH Media Investment Limited 8262000 138066362 13.8000 L 129804362 12.9800 L Ordinary Shares
2012-11-01 Pacific Alliance Equity Partners Limited 8262000 138066362 13.8000 L 129804362 12.9800 L Ordinary Shares
2012-11-01 Pacific Alliance Group Limited 8262000 138066362 13.8000 L 129804362 12.9800 L Ordinary Shares
2012-11-01 Pacific Alliance Investment Management Limited 8262000 138066362 13.8000 L 129804362 12.9800 L Ordinary Shares
2012-11-01 PAG Holdings Limited 8262000 138066362 13.8000 L 129804362 12.9800 L Ordinary Shares
2012-11-01 ARC Capital Holdings Limited 8262000 138066362 13.8000 L 129804362 12.9800 L Ordinary Shares
2012-10-31 德意志银行 Deutsche Bank Aktiengesellschaft 809878 140396802 14.0300 L 139586924 13.9500 L Common Shares
2012-10-31 德意志银行 Deutsche Bank Aktiengesellschaft 4075 0.0000 S 3197 0.0000 S Common Shares
2012-10-25 资本集团有限公司 The Capital Group Companies, Inc. 2392000 67979000 6.8000 L 70371000 7.0400 L Ordinary Shares
2012-10-19 Stark Brian Jay 101000 110044507 11.0100 L 109943507 10.9900 L Ordinary
2012-10-19 Shepherd Investments International, Ltd. 101000 110044507 11.0100 L 109943507 10.9900 L Ordinary
2012-10-19 Stark Offshore Management LLC 101000 110044507 11.0100 L 109943507 10.9900 L Ordinary
2012-10-18 ARC Capital Partners Limited 10738361 148804723 14.8800 L 138066362 13.8000 L Ordinary Shares
2012-10-18 ARCH Media Investment Limited 10738361 148804723 14.8800 L 138066362 13.8000 L Ordinary Shares
2012-10-18 Pacific Alliance Equity Partners Limited 10738361 148804723 14.8800 L 138066362 13.8000 L Ordinary Shares
2012-10-18 Pacific Alliance Group Limited 10738361 148804723 14.8800 L 138066362 13.8000 L Ordinary Shares
2012-10-18 Pacific Alliance Investment Management Limited 10738361 148804723 14.8800 L 138066362 13.8000 L Ordinary Shares
2012-10-18 PAG Holdings Limited 10738361 148804723 14.8800 L 138066362 13.8000 L Ordinary Shares
2012-10-18 ARC Capital Holdings Limited 10738361 148804723 14.8800 L 138066362 13.8000 L Ordinary Shares
2012-10-18 新加坡政府投资公司 GIC Private Limited 1379000 49304000 4.9300 L 50683000 5.0700 L Ordinary Shares
2012-10-16 德意志银行 Deutsche Bank Aktiengesellschaft 2053 0.0000 S 2053 0.0000 S Common Shares
2012-10-16 德意志银行 Deutsche Bank Aktiengesellschaft 615000 150423780 15.0400 L 149808780 14.9800 L Common Shares
2012-10-08 资本集团有限公司 The Capital Group Companies, Inc. 3768000 58377000 5.8400 L 62145000 6.2200 L Ordinary Shares
2012-09-19 资本集团有限公司 The Capital Group Companies, Inc. 762000 49502000 4.9500 L 50264000 5.0300 L Ordinary Shares
2012-08-20 资本集团有限公司 The Capital Group Companies, Inc. 4907000 51000000 5.1000 L 46093000 4.6100 L Ordinary Shares
2012-06-25 德意志银行 Deutsche Bank Aktiengesellschaft 2500664 0.2500 S 2500664 0.2500 S Common Shares
2012-06-25 德意志银行 Deutsche Bank Aktiengesellschaft 5483128 160661515 16.0600 L 155178387 15.5100 L Common Shares
2012-06-19 德意志银行 Deutsche Bank Aktiengesellschaft 2501008 0.2500 S 2501008 0.2500 S Common Shares
2012-06-19 德意志银行 Deutsche Bank Aktiengesellschaft 148804723 11906136 1.1900 L 160710859 16.0700 L Common Shares
2012-05-11 Credit Suisse Group AG 0 0.0000 S 0 0.0000 S Ordinary Shares
2012-05-11 Credit Suisse Group AG 111485057 111505952 11.1500 L 20895 0.0000 L Ordinary Shares
2012-02-24 Millennium Partners, L.P. 148804723 148804723 14.8800 L 0 0.0000 L Ordinary Shares
2012-02-24 Millennium Management LLC 148804723 151717757 15.1700 L 2913034 0.2900 L Ordinary Shares
2012-02-24 Israel Alexander Englander 148804723 151717757 15.1700 L 2913034 0.2900 L Ordinary Shares
2012-02-24 PAG Holdings Limited 148804723 148804723 14.8800 L 0 0.0000 L Ordinary Shares
2012-02-24 PAG Holdings Limited 148804723 0 0.0000 L 148804723 14.8800 L Ordinary Shares
2012-02-24 Pacific Alliance Investment Management Limited 148804723 148804723 14.8800 L 0 0.0000 L Ordinary Shares
2012-02-24 Pacific Alliance Investment Management Limited 148804723 0 0.0000 L 148804723 14.8800 L Ordinary Shares
2012-02-24 Pacific Alliance Group Limited 148804723 148804723 14.8800 L 0 0.0000 L Ordinary Shares
2012-02-24 Pacific Alliance Group Limited 148804723 0 0.0000 L 148804723 14.8800 L Ordinary Shares
2012-02-24 Pacific Alliance Equity Partners Limited 148804723 148804723 14.8800 L 0 0.0000 L Ordinary Shares
2012-02-24 Pacific Alliance Equity Partners Limited 148804723 0 0.0000 L 148804723 14.8800 L Ordinary Shares
2012-02-24 CRF Investment Limited 0 0.0000 S 0 0.0000 S Ordinary Shares
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2012-02-24 CRF Investment Holdings Limited 0 0.0000 S 0 0.0000 S Ordinary Shares
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2012-02-23 Israel Alexander Englander 2913034 148804723 14.8800 L 151717757 15.1700 L Ordinary Shares
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2012-01-19 Israel Alexander Englander 4795000 201738300 20.1700 L 196943300 19.6900 L Ordinary Shares
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2012-01-17 Millennium Capital Management (Singapore) Pte. Ltd. 5500000 5500000 0.5500 S Ordinary Shares
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2012-01-17 Integrated Holding Group, L.P. 5500000 51150920 5.1200 L 45650920 4.5700 L Ordinary Shares
2012-01-17 Integrated Core Strategies (Asia) Pte. Ltd. 5500000 5500000 0.5500 S Ordinary Shares
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2012-01-16 Millennium Partners, L.P. 51150920 209724220 20.9700 L 158573300 15.9000 L Ordinary Shares
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2012-01-16 Israel Alexander Englander 51150920 260875140 26.0900 L 209724220 20.9700 L Ordinary Shares
2012-01-16 PAG Holdings Limited 51150920 209724220 20.9700 L 158573300 15.8600 L Ordinary Shares
2012-01-16 Pacific Alliance Investment Management Limited 51150920 209724220 20.9700 L 158573300 15.8600 L Ordinary Shares
2012-01-16 Pacific Alliance Group Limited 51150920 209724220 20.9700 L 158573300 15.8600 L Ordinary Shares
2012-01-16 Pacific Alliance Equity Partners Limited 51150920 209724220 20.9700 L 158573300 15.8600 L Ordinary Shares
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2012-01-16 CRF Investment Holdings Limited 51150920 209724220 20.9700 L 158573300 15.8600 L Ordinary Shares
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2012-01-16 ARC Capital Partners Limited 51150920 209724220 20.9700 L 158573300 15.8600 L Ordinary Shares
2012-01-16 ARC Capital Holdings Limited 51150920 209724220 20.9700 L 158573300 15.8600 L Ordinary Shares
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2012-01-13 Millennium International Management GP LLC 51150920 0 0.0000 L 51150920 5.1200 L Ordinary Shares
2012-01-13 Millennium Capital Management (Singapore) Pte. Ltd. 51150920 0 0.0000 L 51150920 5.1200 L Ordinary Shares
2012-01-13 Integrated Holding Group, L.P. 51150920 0 0.0000 L 51150920 5.1200 L Ordinary Shares
2012-01-13 Integrated Core Strategies (Asia) Pte. Ltd. 51150920 0 0.0000 L 51150920 5.1200 L Ordinary Shares
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2012-01-13 Israel Alexander Englander 51150920 209724220 20.9700 L 280875140 26.0900 L Ordinary Shares
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2012-01-05 Millennium Management LLC 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
2012-01-05 Israel Alexander Englander 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
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2012-01-05 Pacific Alliance Investment Management Limited 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
2012-01-05 Pacific Alliance Group Limited 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
2012-01-05 Pacific Alliance Equity Partners Limited 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
2012-01-05 CRF Investment Limited 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
2012-01-05 CRF Investment Holdings Limited 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
2012-01-05 CRF Enterprise Limited 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
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2012-01-05 ARC Capital Holdings Limited 155072540 364796760 36.4800 L 209724220 20.9700 L Ordinary Shares
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2012-01-05 Stark Brian Jay 119258057 0 0.0000 L 119258057 11.9300 L Ordinary
2012-01-05 Shepherd Investments International, Ltd. 119258057 0 0.0000 L 119258057 11.9300 L Ordinary
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2011-12-09 资本集团有限公司 The Capital Group Companies, Inc. 584000 49668000 4.9700 L 50252000 5.0300 L Ordinary Shares
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2010-11-24 ARC Capital Partners Limited 441000000 44.1000 L 441000000 44.1000 L Ordinary Shares
2010-11-24 ARC Capital Holdings Limited 45000000 45000000 4.5000 S 45000000 4.5000 S Ordinary Shares
2010-11-24 ARC Capital Holdings Limited 441000000 441000000 44.1000 L 441000000 44.1000 L Ordinary Shares
2010-11-24 ARC Capital Holdings Limited 46000000 4.5000 S 45000000 4.5000 S Ordinary Shares
2010-11-24 ARC Capital Holdings Limited 45000000 441000000 44.1000 L 441000000 44.1000 L Ordinary Shares
2010-11-24 ARC Capital Holdings Limited 45000000 45000000 4.5000 S 45000000 4.5000 S Ordinary Shares
2010-11-24 ARC Capital Holdings Limited 441000000 44.1000 L 441000000 44.1000 L Ordinary Shares
回购日期 回购数量(股) 最高回购价(港元) 最低回购价(港元) 回购总价(港元) 平均回购价(港元)
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认购 认沽 牛证 熊证
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窝轮代码 窝轮名称 发 行 人 发 行 日 行 使 价 形 式 发 行 价 行权比例 存续截止日 最后交易 行权截止日 最新份额
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窝轮代码 窝轮名称 发 行 人 发 行 日 行 使 价 形 式 发 行 价 行权比例 存续截止日 最后交易 行权截止日 最新份额
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窝轮代码 窝轮名称 发 行 人 发 行 日 行 使 价 形 式 发 行 价 行权比例 存续截止日 最后交易 行权截止日 最新份额
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量化对比
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  • 因受疫情影响,好孩子国际预期上半年归属股东利润减少约60%至70%。

  • 港股好孩子国际上涨23%,交易量为截至此时刻日均水平的四倍。

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