首页 华南城(hk01668)-基本信息

华南城(hk01668)-基本信息

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行情信息

今开价:0.8

最高价:0.81

成交量:1.066252E7

昨收价:0.79

最低价:0.78

最新价:0.79

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概要信息

中文名称:华南城


英文名称:China South City


行业:中国房地产


简介:华南城中国领先的大型综合物流及交易中心开发商和营运商,其交易中心为原材料及商品买家及卖家提供优质兼具成本效益的物流交易平台


网址:http://www.chinasouthcity.com


电话:00852-31883118


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 01668
公司名称(中文) 华南城控股有限公司
公司名称(英文) China South City Holdings Limited
公司业务 华南城控股有限公司主要从事物业发展业务。该公司通过五个业务部门运营。物业发展部从事发展综合商贸物流中心及住宅和商业配套设施业务。物业投资部从事从事投资综合商贸物流中心及住宅和商业配套设施业务。物业管理部从事管理本公司已建成物业的业务。电子商贸部从事发展、经营及维持电子商贸平台业务。其他部从事提供广告、展览、物流及仓储服务,奥特莱斯经营及其他服务业务。
所属行业 地产
港股股份数目 8107228848(股)
主席 郑松兴
主要持股人 Accurate Gain Developments Limited
董事 郑松兴(执行董事) 郑松兴(主席) 马介璋(非执行董事) 梁君彦(独立非执行董事) 李伟强(独立非执行董事) 冯星航(集团副主席) 冯星航(执行董事) 郑大报(非执行董事) 许照中(独立非执行董事) 容永祺(独立非执行董事) 林璟骅(非执行董事) 郑嘉汶(执行董事) 赵立东(执行董事)
公司秘书 谢文瑜
注册办事处 香港九龙尖沙咀广东道15号港威大厦永明金融大楼22楼2205室
公司总部 香港九龙尖沙咀广东道15号港威大厦永明金融大楼22楼2205室
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 上海浦东发展银行股份有限公司,中信银行股份有限公司,交通银行股份有限公司,香港上海滙丰银行有限公司,中国建设银行股份有限公司,中国农业银行股份有限公司,中国银行有限公司,中国工商银行股份有限公司,兴业银行股份有限公司,中国进出口银行
法律顾问 通商律师事务所,礼德齐伯礼律师行,年利达律师事务所
公司网址 www.chinasouthcity.com
电邮地址 ir@chinasouthcity.com
电话号码 (+852) 3188-3118
传真号码 (+852) 3188-1323
重招商强运营建设商业综合体 为抓住行业升级转型所带来的市场机遇,并支持华南城的长远发展,本年度内华南城落实「重招商、强运营」的战略部署,成立了商业管理集团与投资开发集团,使本集团在项目开发建设、招商营运等方面分工更细化,执行更精准、更专注,从战略、组织架构、业务领域等方面进行管理升级,优化管理模式。商业管理集团负责招商营运及物业管理,由专业团队负责物色能为华南城各项目带来良好协同效应的商户,而投资开发集团则专注于项目开发建设,为华南城各项目在不同阶段的需求建设所需要的物业。集团加强了信息化工程及流程管理,有效掌握工程节点,保障建设质素及安全,同时持续加强成本管理,全面建立目标成本管理体系。 作为中国领先大型综合物流及商品交易中心的开发商及运营商,华南城已发展出多元灵活的商业模式,确保本集团得以稳定收入来源及业务的可持续发展。其项目组合涵盖综合物流及商品交易中心,辅以商业及住宅配套设施,透过成功复制商业模式,战略布局于中国一綫城市、主要省会及直辖市,服务不同业态及多种业务类型的商户。 藉着向商家及访客提供多元化物业及配套服务的独特商业模式,本集团按各项目的发展阶段及当地市场需求,战略性地不断调整和优化业务重点。本集团引进了教育等新业态以吸引优质客户,提升商户实力,为品牌未来发展保驾护航。除此之外,为强化市场运营,本集团于年内增加多种经营收入,并提高租金收缴率,成功完善运营体系。 随着更多的项目开展及日渐成熟,华南城亦关注战略新兴产业孵化,建设商业综合体。本集团针对个别高新科技产业包括初创企业等,进行产业协会及商会洽谈,以升级商业综合服务,务求促进产业培育及聚集,加快行业融合。本年度内,本集团加大力度发展多功能商办及公寓,以把握市场机遇,并提供住宅配套设施及物业管理服务,刺激市场需求,成功促进「华南城生态圈」的发展。 因时制宜制定灵活经营策略促进业务稳定增长作为中国领先的大型综合物流及商品交易中心的开发商及运营商,除了提升商业和住宅物业价值外,本集团持续发展租赁业务、物业管理、仓储及物流服务、奥特莱斯运营及电子商贸等五大核心业务,服务不同业态的商户,助推华南城迈向高质量的多元化发展。 随着多个项目陆续投入运营,经营面积不断增加,本集团的仓储物流服务开始从以园区租赁业务为主,向综合性第三方物流伸展,并取得多个知名品牌的仓配项目或运输项目。本集团的仓储物流运营网点增至14个,物流配送可及时送达全国700多个城市。随着业务的扩展和服务的升级,本集团预计此业务分部未来能保持稳定增长。 奥特莱斯的运营表现保持稳定增长。随着城乡居民收入持续增长,居民对折扣品牌产品需求大幅增加。为优化资源分配,并提升营运效率,本集团于本年度内整合奥特莱斯各自营品牌的业务,以满足新消费趋势。 本集团加强与好百年家居就家居建材交易中心的合作,致力于打造融合展示、仓储、物流一体化的泛家居业基地。除深圳及南宁华南城项目外,本年度内,好百年家居于长沙新增门店,并于鄂尔多斯、长沙、郴州、威海等地新增5间加盟店;预计将于2019/20财政年度于郑州华南城开设业务。 谨慎稳健的财务管理灵活畅通的融资渠道 回望本年度,本集团维持多元而广泛的融资渠道。境外,于2018年5月发行1.5亿美元优先票据,并于2018年6月增加发行1亿美元优先票据;于2019年3月发行2亿美元优先票据,并于2019年6月增加发行6,000万美元优先票据。境内,于2019年4月发行人民币6亿元中期票据。通过有效利用境内外发债额度,有效优化整体债券结构、降低融资成本、维护境内外的多元融资渠道保持畅通,为本集团未来的发展提供良好的支撑。透过有效运用境内外资本市场票据融资、银行贷款及内部营运现金流,本集团于本年度偿还多笔境内票据,有效降低整体负债,反映本集团的资金运转灵活和财务基础稳健。此外,本集团通过回购境外债券,注销回购债券,进一步降低本集团的负债水平,同时为集团提升资金效益回报。展望下一财年,本集团将继续采取谨慎稳健的财务管理策略,维护灵活畅通的融资渠道,并致力实现更佳的资金管理,务求在财务稳定及业务发展上取得平衡,为股东创造最大价值。
踏入2019年,在国内外的不明朗因素影响下,中国将奉行「稳」、「进」并举的发展方向,在稳定的前提下,持续推进改革发展。房地产行业将寻求稳步推进的方向发展,房地产标竿企业亦将继续转型,延伸价值链。 展望2019/20财政年度,华南城将加强资本运作力度,加强财务管控,努力拓宽融资渠道,并提高招商、运营及项目品质,做精产品、严控成本,效益优先,兼顾规模,推动集团的升级发展。华南城多年坚守的「商贸物流+」的模式,将有助华南城于这行业转型的趋势下把握机遇振翅腾飞,发挥本集团所处的优势环境整合资源。本集团位于郑州、西安、深圳、南昌等的项目经过多年发展,已建成多项配套,成功覆盖更多业态,配合毗邻的轨道交通发展,为项目带来更多租户及访客,未来将成为重点突破的项目。 华南城一直致力践行国家发展策略,随着2018年中国正式进入全面贯彻十九大精神的开局之年,华南城将继续落实「产城融合、宜业宜居美丽新城」的发展战略,透过「一中心」-凭藉华南城多年来发展实体经济,开创国内大型综合商贸物流典范的经验,继续发展世界商贸物流中心;「两基地」-继续实行华南城的升级转型计划,着力研究新兴产业,建立战略新兴产业孵化基地,以配合国家的战略和经济转型方向,携手实体经济培育新增长点。同时,透过推动各华南城项目当地的城市化建设,完善城市功能和产业布局,打造一座座繁华的宜业宜居美好生活智慧服务基地。 管理层预期本集团截至2020年3月31日止财政年度(「2019/20财政年度」)将实现160亿港元的年度合约销售目标。在持续性业务方面,本集团将致力保持其增长动力,继续拓展多元化且稳定的收入来源。 最后,本人谨代表董事会,向本集团的尊贵股东、客户以及业务伙伴一直以来对本集团的信任及支持致以最诚恳的感谢,同时亦感谢管理层及员工对协助华南城日益壮大所作的贡献及全心投入。

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
2018-10-10 Accurate Gain Developments Limited 46666666 2178253792 26.8300 L 2224920458 27.4100 L Ordinary Shares
2018-10-10 Accurate Gain Developments Limited 25104961 2153148831 26.8800 L 2178253792 26.8300 L Ordinary Shares
2017-11-22 德意志银行 Deutsche Bank Aktiengesellschaft 120000000 444319326 5.5500 L 321521326 4.0100 L Ordinary Shares
2017-11-22 德意志银行 Deutsche Bank Aktiengesellschaft 7032352 0.0900 S 7032352 0.0900 S Ordinary Shares
2017-11-22 德意志银行 Deutsche Bank Aktiengesellschaft 432000 0.0100 P 432000 0.0100 P Ordinary Shares
2017-11-10 Accurate Gain Developments Limited 825048000 2153148831 26.8900 L 2153148831 26.8900 L Ordinary Shares
2017-11-10 PA Eminent Opportunity VII Limited 825048000 825048000 10.3000 L 0 0.0000 L Ordinary Shares
2017-11-10 PA Eminent Opportunity VII Limited 1400000000 17.4800 S 1400000000 17.4800 S Ordinary Shares
2017-11-10 Pacific Alliance Asia Opportunity Fund L.P. 825048000 1400000000 17.4800 L 1400000000 17.4800 L Ordinary Shares
2017-11-10 Pacific Alliance Asia Opportunity Fund L.P. 1400000000 17.4800 S 1400000000 17.4800 S Ordinary Shares
2017-11-10 Pacific Alliance Group Asset Management Limited 825048000 1400000000 17.4800 L 1400000000 17.4800 L Ordinary Shares
2017-11-10 Pacific Alliance Group Asset Management Limited 1400000000 17.4800 S 1400000000 17.4800 S Ordinary Shares
2017-11-10 Pacific Alliance Group Limited 825048000 1400000000 17.4800 L 1400000000 17.4800 L Ordinary Shares
2017-11-10 Pacific Alliance Group Limited 1400000000 17.4800 S 1400000000 17.4800 S Ordinary Shares
2017-11-10 Pacific Alliance Investment Management Limited 825048000 1400000000 17.4800 L 1400000000 17.4800 L Ordinary Shares
2017-11-10 Pacific Alliance Investment Management Limited 1400000000 17.4800 S 1400000000 17.4800 S Ordinary Shares
2017-11-10 PAG Holdings Limited 825048000 1400000000 17.4800 L 1400000000 17.4800 L Ordinary Shares
2017-11-10 PAG Holdings Limited 1400000000 17.4800 S 1400000000 17.4800 S Ordinary Shares
2017-11-10 德意志银行 Deutsche Bank Aktiengesellschaft 518048000 962212163 12.0200 L 443518139 5.5400 L Ordinary Shares
2017-11-10 德意志银行 Deutsche Bank Aktiengesellschaft 7916352 0.1000 S 7814352 0.1000 S Ordinary Shares
2017-11-10 德意志银行 Deutsche Bank Aktiengesellschaft 432000 0.0100 P 432000 0.0100 P Ordinary Shares
2017-11-09 德意志银行 Deutsche Bank Aktiengesellschaft 825048000 137476163 1.7200 L 962212163 12.0200 L Ordinary Shares
2017-11-09 德意志银行 Deutsche Bank Aktiengesellschaft 8082352 0.1000 S 7916352 0.1000 S Ordinary Shares
2017-11-09 德意志银行 Deutsche Bank Aktiengesellschaft 432000 0.0100 P 432000 0.0100 P Ordinary Shares
2017-10-25 PAG Holdings Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 PAG Holdings Limited 825048000 574952000 7.1800 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 PAG Holdings Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 PAG Holdings Limited 1400000000 17.4900 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 Pacific Alliance Investment Management Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Investment Management Limited 1400000000 17.4900 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 Pacific Alliance Investment Management Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Investment Management Limited 825048000 574952000 7.1800 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 Pacific Alliance Group Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Group Limited 825048000 574952000 7.1800 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 Pacific Alliance Group Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Group Limited 1400000000 17.4900 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 Pacific Alliance Group Asset Management Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Group Asset Management Limited 1400000000 17.4900 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 Pacific Alliance Group Asset Management Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Group Asset Management Limited 825048000 574952000 7.1800 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 Pacific Alliance Asia Opportunity Fund L.P. 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Asia Opportunity Fund L.P. 1400000000 17.4900 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 Pacific Alliance Asia Opportunity Fund L.P. 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Asia Opportunity Fund L.P. 825048000 574952000 7.1800 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 1400000000 17.4900 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 825048000 574952000 7.1800 L 1400000000 17.4900 L Ordinary Shares
2017-10-25 PAG Holdings Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 PAG Holdings Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Investment Management Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Investment Management Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Group Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Group Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Group Asset Management Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Group Asset Management Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Asia Opportunity Fund L.P. 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Asia Opportunity Fund L.P. 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Accurate Gain Developments Limited 825048000 2153148831 26.8900 L 2153148831 26.8900 L Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 825048000 10.3000 L 825048000 10.3000 L Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 825048000 0 0.0000 L 825048000 10.3000 L Ordinary Shares
2017-10-25 PA Eminent Opportunity VII Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Asia Opportunity Fund L.P. 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Asia Opportunity Fund L.P. 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Group Asset Management Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Group Asset Management Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Group Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Group Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 Pacific Alliance Investment Management Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-10-25 Pacific Alliance Investment Management Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 PAG Holdings Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-10-25 PAG Holdings Limited 825048000 574952000 7.1800 S 1400000000 17.4900 S Ordinary Shares
2017-07-04 陈姚丽妮 Chen Li Ni Yao 30000000 427518000 5.3400 L 397518000 4.9700 L Ordinary Shares
2017-07-04 陈红天 Chen Hong Tian 30000000 427518000 5.3400 L 397518000 4.9700 L Ordinary Shares
2017-07-04 Chen Family Assets Management Company Limited 30000000 427518000 5.3400 L 397518000 4.9700 L Ordinary Shares
2017-06-19 Chen Family Assets Management Company Limited 3500000 480718000 6.0000 L 477218000 5.9600 L Ordinary Shares
2017-06-19 陈红天 Chen Hong Tian 3500000 480718000 6.0000 L 477218000 5.9600 L Ordinary Shares
2017-06-19 陈姚丽妮 Chen Li Ni Yao 3500000 480718000 6.0000 L 477218000 5.9600 L Ordinary Shares
2017-05-24 Chen Family Assets Management Company Limited 7000000 564998000 7.0600 L 557998000 6.9700 L Ordinary Shares
2017-05-24 陈红天 Chen Hong Tian 7000000 564998000 7.0600 L 557998000 6.9700 L Ordinary Shares
2017-05-24 陈姚丽妮 Chen Li Ni Yao 7000000 564998000 7.0600 L 557998000 6.9700 L Ordinary Shares
2017-05-23 Pacific Alliance Asia Opportunity Fund L.P. 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-05-23 Pacific Alliance Asia Opportunity Fund L.P. 124952000 574952000 7.1800 L 574952000 7.1800 L Ordinary Shares
2017-05-23 Accurate Gain Developments Limited 124952000 2153148831 26.8900 L 2153148831 26.8900 L Ordinary Shares
2017-05-18 Accurate Gain Developments Limited 250000000 2153148831 26.8900 L 2153148831 26.8900 L Ordinary Shares
2017-05-02 PA Eminent Opportunity VII Limited 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-05-02 Accurate Gain Developments Limited 200000000 2153148831 26.8900 L 2153148831 26.8900 L Ordinary Shares
2017-05-02 Accurate Gain Developments Limited 250000000 2153148831 26.8900 L 2153148831 26.8900 L Ordinary Shares
2017-05-02 Pacific Alliance Asia Opportunity Fund L.P. 574952000 7.1800 S 574952000 7.1800 S Ordinary Shares
2017-05-02 Pacific Alliance Asia Opportunity Fund L.P. 450000000 574952000 7.1800 L 574952000 7.1800 L Ordinary Shares
2017-05-02 PA Eminent Opportunity VII Limited 450000000 574952000 7.1800 L 124952000 1.5600 L Ordinary Shares
2017-04-29 Accurate Gain Developments Limited 574952000 2153148831 26.8900 L 2153148831 26.8900 L Ordinary Shares
2017-04-29 Accurate Gain Developments Limited 124952000 2028196831 25.3300 L 2153148831 26.8900 L Ordinary Shares
2017-04-29 Accurate Gain Developments Limited 250000000 1778196831 22.2000 L 2028196831 25.3300 L Ordinary Shares
2017-04-29 京晖国际有限公司 Kings Faith International Limited 250000000 463899770 5.7900 L 213899770 2.6700 L Ordinary Shares
2017-04-29 PA Eminent Opportunity VII Limited 574952000 7.1800 L 574952000 7.1800 L Ordinary Shares
2017-04-29 PA Eminent Opportunity VII Limited 574952000 0 0.0000 S 574952000 7.1800 S Ordinary Shares
2017-04-29 PAG Holdings Limited 574952000 0 0.0000 L 574952000 7.1800 L Ordinary Shares
2017-04-29 PAG Holdings Limited 574952000 0 0.0000 S 574952000 7.1800 S Ordinary Shares
2017-04-29 PAG Holdings Limited 574952000 7.1800 L 574952000 7.1800 L Ordinary Shares
2017-04-29 Pacific Alliance Investment Management Limited 574952000 0 0.0000 L 574952000 7.1800 L Ordinary Shares
2017-04-29 Pacific Alliance Investment Management Limited 574952000 0 0.0000 S 574952000 7.1800 S Ordinary Shares
2017-04-29 Pacific Alliance Investment Management Limited 574952000 7.1800 L 574952000 7.1800 L Ordinary Shares
2017-04-29 Pacific Alliance Group Limited 574952000 0 0.0000 L 574952000 7.1800 L Ordinary Shares
2017-04-29 Pacific Alliance Group Limited 574952000 0 0.0000 S 574952000 7.1800 S Ordinary Shares
2017-04-29 Pacific Alliance Group Limited 574952000 7.1800 L 574952000 7.1800 L Ordinary Shares
2017-04-29 Pacific Alliance Group Asset Management Limited 574952000 0 0.0000 L 574952000 7.1800 L Ordinary Shares
2017-04-29 Pacific Alliance Group Asset Management Limited 574952000 0 0.0000 S 574952000 7.1800 S Ordinary Shares
2017-04-29 Pacific Alliance Group Asset Management Limited 574952000 7.1800 L 574952000 7.1800 L Ordinary Shares
2017-04-29 Pacific Alliance Asia Opportunity Fund L.P. 574952000 0 0.0000 L 574952000 7.1800 L Ordinary Shares
2017-04-29 Pacific Alliance Asia Opportunity Fund L.P. 574952000 0 0.0000 S 574952000 7.1800 S Ordinary Shares
2017-04-29 Pacific Alliance Asia Opportunity Fund L.P. 574952000 7.1800 L 574952000 7.1800 L Ordinary Shares
2017-04-29 PA Eminent Opportunity VII Limited 574952000 0 0.0000 L 574952000 7.1800 L Ordinary Shares
2017-04-10 陈姚丽妮 Chen Li Ni Yao 7170000 641658000 8.0100 L 634488000 7.9200 L Ordinary Shares
2017-04-10 陈红天 Chen Hong Tian 7170000 641658000 8.0100 L 634488000 7.9200 L Ordinary Shares
2017-04-10 Chen Family Assets Management Company Limited 7170000 641658000 8.0100 L 634488000 7.9200 L Ordinary Shares
2017-04-06 Accurate Gain Developments Limited 1778196831 1778196831 22.2000 L 1778196831 22.2000 L Ordinary Shares
2017-04-06 佳智集团有限公司 Best Wisdom Group Limited 1857196831 1857196831 23.1900 L 0 0.0000 L Ordinary
2017-04-06 深圳市中洲置地有限公司 Shenzhen City In The State Real Estate Co., LTD 1857196831 1857196831 23.1900 L 0 0.0000 L Ordinary
2017-04-06 深圳市中洲投资控股股份有限公司 Shenzhen City In The State Investment Holding Co., LTD 1857196831 1857196831 23.1900 L 0 0.0000 L Ordinary
2017-04-06 深圳中洲集团有限公司 Shenzhen Zhongzhou Group Co., Ltd. 1857196831 1857196831 23.1900 L 0 0.0000 L Ordinary
2017-04-06 黄光苗 Wong Kwong Miu 1857196831 1857196831 23.1900 L 0 0.0000 L Ordinary
2017-04-06 Dynamic Sunrise Limited 1857196831 1857196831 23.1900 L 0 0.0000 L Ordinary
2017-03-24 Chen Family Assets Management Company Limited 11552000 721816000 9.0200 L 710264000 8.8700 L Ordinary Shares
2017-03-24 陈红天 Chen Hong Tian 11552000 721816000 9.0200 L 710264000 8.8700 L Ordinary Shares
2017-03-24 陈姚丽妮 Chen Li Ni Yao 11552000 721816000 9.0200 L 710264000 8.8700 L Ordinary Shares
2017-03-09 Chen Family Assets Management Company Limited 5770000 803282000 10.0300 L 797512000 9.9600 L Ordinary Shares
2017-03-09 陈红天 Chen Hong Tian 5770000 803282000 10.0300 L 797512000 9.9600 L Ordinary Shares
2017-03-09 陈姚丽妮 Chen Li Ni Yao 5770000 803282000 10.0300 L 797512000 9.9600 L Ordinary Shares
2017-02-17 陈姚丽妮 Chen Li Ni Yao 6920000 886832000 11.0800 L 879912000 10.9900 L Ordinary Shares
2017-02-17 陈红天 Chen Hong Tian 6920000 886832000 11.0800 L 879912000 10.9900 L Ordinary Shares
2017-02-17 Chen Family Assets Management Company Limited 6920000 886832000 11.0800 L 879912000 10.9900 L Ordinary Shares
2017-02-02 陈姚丽妮 Chen Li Ni Yao 914000 961268000 12.0100 L 960354000 11.9900 L Ordinary Shares
2017-02-02 陈红天 Chen Hong Tian 914000 961268000 12.0100 L 960354000 11.9900 L Ordinary Shares
2017-02-02 Chen Family Assets Management Company Limited 914000 961268000 12.0100 L 960354000 11.9900 L Ordinary Shares
2017-01-11 Accurate Gain Developments Limited 1778196831 1778196831 22.2000 L 1778196831 22.2000 L Ordinary Shares
2017-01-11 Best Wisdom Group Limited 1857196831 0 0.0000 L 1857196831 23.1900 L Ordinary
2017-01-11 Dynamic Sunrise Limited 1857196831 0 0.0000 L 1857196831 23.1900 L Ordinary
2017-01-11 黄光苗 Wong Kwong Miu 1857196831 0 0.0000 L 1857196831 23.1900 L Ordinary
2017-01-11 深圳中洲集团有限公司 Shenzhen Zhongzhou Group Co., Ltd. 1857196831 0 0.0000 L 1857196831 23.1900 L Ordinary
2017-01-11 深圳市中洲投资控股股份有限公司 Shenzhen City In The State Investment Holding Co., LTD 1857196831 0 0.0000 L 1857196831 23.1900 L Ordinary
2017-01-11 深圳市中洲置地有限公司 Shenzhen City In The State Real Estate Co., LTD 1857196831 0 0.0000 L 1857196831 23.1900 L Ordinary
2016-07-29 MIH TC Holdings Limited 925100000 925100000 11.5500 L 0 0.0000 L Ordinary Shares
2016-07-29 Naspers Limited 925100000 925100000 11.5500 L 0 0.0000 L Ordinary Shares
2015-12-22 Proficient Success Limited 500000000 1088984145 13.6100 L 588984145 7.3600 L Ordinary Shares
2015-12-22 京晖国际有限公司 Kings Faith International Limited 60000000 523899770 6.5400 L 463899770 5.7900 L Ordinary Shares
2015-12-22 Accurate Gain Developments Limited 500000000 1278196831 15.9700 L 1778196831 22.2200 L Ordinary Shares
2015-03-11 PAG Holdings Limited 63196000 0.7900 S 63196000 0.7900 S Ordinary Shares
2015-03-11 PAG Holdings Limited 8000000 403221999 5.0300 L 395221999 4.9300 L Ordinary Shares
2015-03-11 Pacific Alliance Investment Management Limited 63196000 0.7900 S 63196000 0.7900 S Ordinary Shares
2015-03-11 Pacific Alliance Investment Management Limited 8000000 403221999 5.0300 L 395221999 4.9300 L Ordinary Shares
2015-03-11 Pacific Alliance Group Limited 63196000 0.7900 S 63196000 0.7900 S Ordinary Shares
2015-03-11 Pacific Alliance Group Limited 8000000 403221999 5.0300 L 395221999 4.9300 L Ordinary Shares
2015-03-11 Pacific Alliance Group Asset Management Limited 63196000 0.7900 S 63196000 0.7900 S Ordinary Shares
2015-03-11 Pacific Alliance Group Asset Management Limited 8000000 403221999 5.0300 L 395221999 4.9300 L Ordinary Shares
2015-03-11 Pacific Alliance Asia Opportunity Fund L.P. 63196000 0.7900 S 63196000 0.7900 S Ordinary Shares
2015-03-11 Pacific Alliance Asia Opportunity Fund L.P. 8000000 403221999 5.0300 L 395221999 4.9300 L Ordinary Shares
2015-02-26 Pacific Alliance Asia Opportunity Fund L.P. 426357999 5.3200 L 426357999 5.3200 L Ordinary Shares
2015-02-26 Pacific Alliance Asia Opportunity Fund L.P. 37500000 100696000 1.2600 S 63196000 0.7900 S Ordinary Shares
2015-02-26 Pacific Alliance Group Asset Management Limited 426357999 5.3200 L 426357999 5.3200 L Ordinary Shares
2015-02-26 Pacific Alliance Group Asset Management Limited 37500000 100696000 1.2600 S 63196000 0.7900 S Ordinary Shares
2015-02-26 Pacific Alliance Group Limited 426357999 5.3200 L 426357999 5.3200 L Ordinary Shares
2015-02-26 Pacific Alliance Group Limited 37500000 100696000 1.2600 S 63196000 0.7900 S Ordinary Shares
2015-02-26 Pacific Alliance Investment Management Limited 426357999 5.3200 L 426357999 5.3200 L Ordinary Shares
2015-02-26 Pacific Alliance Investment Management Limited 37500000 100696000 1.2600 S 63196000 0.7900 S Ordinary Shares
2015-02-26 PAG Holdings Limited 426357999 5.3200 L 426357999 5.3200 L Ordinary Shares
2015-02-26 PAG Holdings Limited 37500000 100696000 1.2600 S 63196000 0.7900 S Ordinary Shares
2015-02-17 PAG Holdings Limited 90200000 1.1300 S 90200000 1.1300 S Ordinary Shares
2015-02-17 PAG Holdings Limited 64000000 364835999 4.5500 L 428835999 5.3500 L Ordinary Shares
2015-02-17 Pacific Alliance Investment Management Limited 90200000 1.1300 S 90200000 1.1300 S Ordinary Shares
2015-02-17 Pacific Alliance Investment Management Limited 64000000 364835999 4.5500 L 428835999 5.3500 L Ordinary Shares
2015-02-17 Pacific Alliance Group Limited 90200000 1.1300 S 90200000 1.1300 S Ordinary Shares
2015-02-17 Pacific Alliance Group Limited 64000000 364835999 4.5500 L 428835999 5.3500 L Ordinary Shares
2015-02-17 Pacific Alliance Group Asset Management Limited 90200000 1.1300 S 90200000 1.1300 S Ordinary Shares
2015-02-17 Pacific Alliance Group Asset Management Limited 64000000 364835999 4.5500 L 428835999 5.3500 L Ordinary Shares
2015-02-17 Pacific Alliance Asia Opportunity Fund L.P. 90200000 1.1300 S 90200000 1.1300 S Ordinary Shares
2015-02-17 Pacific Alliance Asia Opportunity Fund L.P. 64000000 364835999 4.5500 L 428835999 5.3500 L Ordinary Shares
2014-09-29 MIH TC Holdings Limited 244800000 925100000 11.9200 L 925100000 11.5500 L Ordinary Shares
2014-09-29 Naspers Limited 244800000 925100000 11.9200 L 925100000 11.5500 L Ordinary Shares
2014-09-29 Accurate Gain Developments Limited 1278196831 16.4700 L 1278196831 15.9600 L Ordinary Shares
2014-09-29 Proficient Success Limited 1088984145 14.0300 L 1088984145 13.6000 L Ordinary Shares
2014-09-29 腾讯控股有限公司 Tencent Holdings Limited 244800000 925100000 11.9200 L 925100000 11.5500 L Ordinary Shares
2014-08-21 Chen Family Assets Management Company Limited 1002524000 13.0400 L 1002524000 12.9400 L Ordinary Shares
2014-08-21 陈红天 Chen Hong Tian 1002524000 13.0400 L 1002524000 12.9400 L Ordinary Shares
2014-08-21 陈姚丽妮 Chen Li Ni Yao 1002524000 13.0400 L 1002524000 12.9400 L Ordinary Shares
2014-08-21 MIH TC Holdings Limited 925100000 12.0800 L 925100000 11.9400 L Ordinary Shares
2014-08-21 Naspers Limited 925100000 12.0800 L 925100000 11.9400 L Ordinary Shares
2014-08-21 腾讯控股有限公司 Tencent Holdings Limited 925100000 12.0800 L 925100000 11.9400 L Ordinary Shares
2014-08-04 Accurate Gain Developments Limited 61716928 1339913759 17.6300 L 1278196831 16.8200 L Ordinary Shares
2014-08-04 Proficient Success Limited 61716928 1027267217 13.5100 L 1088984145 14.3300 L Ordinary Shares
2014-07-31 PAG Holdings Limited 335076798 4.4200 S 335076798 4.4200 S Ordinary Shares
2014-07-31 PAG Holdings Limited 250000000 619245999 8.1700 L 369245999 4.8700 L Ordinary Shares
2014-07-31 Pacific Alliance Investment Management Limited 335076798 4.4200 S 335076798 4.4200 S Ordinary Shares
2014-07-31 Pacific Alliance Investment Management Limited 250000000 619245999 8.1700 L 369245999 4.8700 L Ordinary Shares
2014-07-31 Pacific Alliance Group Limited 335076798 4.4200 S 335076798 4.4200 S Ordinary Shares
2014-07-31 Pacific Alliance Group Limited 250000000 619245999 8.1700 L 369245999 4.8700 L Ordinary Shares
2014-07-31 Pacific Alliance Group Asset Management Limited 335076798 4.4200 S 335076798 4.4200 S Ordinary Shares
2014-07-31 Pacific Alliance Group Asset Management Limited 250000000 619245999 8.1700 L 369245999 4.8700 L Ordinary Shares
2014-07-31 Pacific Alliance Asia Opportunity Fund L.P. 335076798 4.4200 S 335076798 4.4200 S Ordinary Shares
2014-07-31 Pacific Alliance Asia Opportunity Fund L.P. 250000000 619245999 8.1700 L 369245999 4.8700 L Ordinary Shares
2014-07-15 Pacific Alliance Asia Opportunity Fund L.P. 36420000 624999999 8.2500 L 624999999 8.2500 L Ordinary Shares
2014-07-15 Pacific Alliance Asia Opportunity Fund L.P. 36420000 337244974 4.4500 S 337244974 4.4500 S Ordinary Shares
2014-07-15 Pacific Alliance Group Asset Management Limited 36420000 624999999 8.2500 L 624999999 8.2500 L Ordinary Shares
2014-07-15 Pacific Alliance Group Asset Management Limited 36420000 337244974 4.4500 S 337244974 4.4500 S Ordinary Shares
2014-07-15 Pacific Alliance Group Limited 36420000 624999999 8.2500 L 624999999 8.2500 L Ordinary Shares
2014-07-15 Pacific Alliance Group Limited 36420000 337244974 4.4500 S 337244974 4.4500 S Ordinary Shares
2014-07-15 Pacific Alliance Investment Management Limited 36420000 624999999 8.2500 L 624999999 8.2500 L Ordinary Shares
2014-07-15 Pacific Alliance Investment Management Limited 36420000 337244974 4.4500 S 337244974 4.4500 S Ordinary Shares
2014-07-15 PAG Holdings Limited 36420000 624999999 8.2500 L 624999999 8.2500 L Ordinary Shares
2014-07-15 PAG Holdings Limited 36420000 337244974 4.4500 S 337244974 4.4500 S Ordinary Shares
2014-07-14 Pacific Alliance Asia Opportunity Fund L.P. 134334000 759333999 10.0200 L 624999999 8.2500 L Ordinary Shares
2014-07-14 Pacific Alliance Asia Opportunity Fund L.P. 134334000 471578974 6.2200 S 337244974 4.4500 S Ordinary Shares
2014-07-14 Pacific Alliance Group Asset Management Limited 134334000 759333999 10.0200 L 624999999 8.2500 L Ordinary Shares
2014-07-14 Pacific Alliance Group Asset Management Limited 134334000 471578974 6.2200 S 337244974 4.4500 S Ordinary Shares
2014-07-14 Pacific Alliance Group Limited 134334000 759333999 10.0200 L 624999999 8.2500 L Ordinary Shares
2014-07-14 Pacific Alliance Group Limited 134334000 471578974 6.2200 S 337244974 4.4500 S Ordinary Shares
2014-07-14 Pacific Alliance Investment Management Limited 134334000 759333999 10.0200 L 624999999 8.2500 L Ordinary Shares
2014-07-14 Pacific Alliance Investment Management Limited 134334000 471578974 6.2200 S 337244974 4.4500 S Ordinary Shares
2014-07-14 PAG Holdings Limited 134334000 759333999 10.0200 L 624999999 8.2500 L Ordinary Shares
2014-07-14 PAG Holdings Limited 134334000 471578974 6.2200 S 337244974 4.4500 S Ordinary Shares
2014-07-09 Chen Family Assets Management Company Limited 1001720000 14.3800 L 1001720000 13.2000 L Ordinary Shares
2014-07-09 陈红天 Chen Hong Tian 1001720000 14.3800 L 1001720000 13.2000 L Ordinary Shares
2014-07-09 陈姚丽妮 Chen Li Ni Yao 1001720000 14.3800 L 1001720000 13.2000 L Ordinary Shares
2014-07-09 Sincere United Holdings Limited 138966649 2.2900 L 138966649 1.8300 L Ordinary
2014-07-09 嘉坚发展有限公司 Gartrend Development Limited 138966649 2.2900 L 138966649 1.8300 L Ordinary
2014-07-09 佳宁娜集团有限公司 Carrianna Holdings Limited 138966649 2.2900 L 138966649 1.8300 L Ordinary
2014-07-09 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 138966649 2.2900 L 138966649 1.8300 L Ordinary
2014-07-09 Carrianna Development Limited 138966649 2.2900 L 138966649 1.8300 L Ordinary
2014-07-09 Carrianna (BVI) Ltd 138966649 2.2900 L 138966649 1.8300 L Ordinary
2014-07-09 Naspers Limited 925100000 13.2800 L 925100000 12.1900 L Ordinary Shares
2014-07-09 MIH TC Holdings Limited 925100000 13.2800 L 925100000 12.1900 L Ordinary Shares
2014-07-09 腾讯控股有限公司 Tencent Holdings Limited 925100000 13.2800 L 925100000 12.1900 L Ordinary Shares
2014-07-09 Proficient Success Limited 1027267217 14.7500 L 1027267217 13.5300 L Ordinary Shares
2014-07-09 京晖国际有限公司 Kings Faith International Limited 523899770 7.5200 L 523899770 6.9000 L Ordinary Shares
2014-07-09 Accurate Gain Developments Limited 1339913759 19.2400 L 1339913759 17.6500 L Ordinary Shares
2014-07-09 PAG Holdings Limited 624999999 759333999 10.0000 L 759333999 10.0000 L Ordinary Shares
2014-07-09 PAG Holdings Limited 471578974 6.2100 S 471578974 6.2100 S Ordinary Shares
2014-07-09 Pacific Alliance Investment Management Limited 471578974 6.2100 S 471578974 6.2100 S Ordinary Shares
2014-07-09 Pacific Alliance Investment Management Limited 624999999 759333999 10.0000 L 759333999 10.0000 L Ordinary Shares
2014-07-09 Pacific Alliance Group Limited 471578974 6.2100 S 471578974 6.2100 S Ordinary Shares
2014-07-09 Pacific Alliance Group Limited 624999999 759333999 10.0000 L 759333999 10.0000 L Ordinary Shares
2014-07-09 Pacific Alliance Group Asset Management Limited 471578974 6.2100 S 471578974 6.2100 S Ordinary Shares
2014-07-09 Pacific Alliance Group Asset Management Limited 624999999 759333999 10.0000 L 759333999 10.0000 L Ordinary Shares
2014-07-09 Pacific Alliance Asia Opportunity Fund L.P. 471578974 6.2100 S 471578974 6.2100 S Ordinary Shares
2014-07-09 Pacific Alliance Asia Opportunity Fund L.P. 624999999 759333999 10.0000 L 759333999 10.0000 L Ordinary Shares
2014-06-03 Pacific Alliance Asia Opportunity Fund L.P. 737654000 10.5900 L 757654000 10.8800 L Ordinary Shares
2014-06-03 Pacific Alliance Asia Opportunity Fund L.P. 20000000 406578974 5.8400 S 426578974 6.1300 S Ordinary Shares
2014-06-03 Pacific Alliance Group Asset Management Limited 737654000 10.5900 L 757654000 10.8800 L Ordinary Shares
2014-06-03 Pacific Alliance Group Asset Management Limited 20000000 406578974 5.8400 S 426578974 6.1300 S Ordinary Shares
2014-06-03 Pacific Alliance Group Limited 737654000 10.5900 L 757654000 10.8800 L Ordinary Shares
2014-06-03 Pacific Alliance Group Limited 20000000 406578974 5.8400 S 426578974 6.1300 S Ordinary Shares
2014-06-03 Pacific Alliance Investment Management Limited 737654000 10.5900 L 757654000 10.8800 L Ordinary Shares
2014-06-03 Pacific Alliance Investment Management Limited 20000000 406578974 5.8400 S 426578974 6.1300 S Ordinary Shares
2014-06-03 PAG Holdings Limited 737654000 10.5900 L 757654000 10.8800 L Ordinary Shares
2014-06-03 PAG Holdings Limited 20000000 406578974 5.8400 S 426578974 6.1300 S Ordinary Shares
2014-05-29 Pacific Alliance Asia Opportunity Fund L.P. 733654000 10.5400 L 733654000 10.5400 L Ordinary Shares
2014-05-29 Pacific Alliance Asia Opportunity Fund L.P. 31800000 434378974 6.2400 S 402578974 5.7900 S Ordinary Shares
2014-05-29 Pacific Alliance Group Asset Management Limited 733654000 10.5400 L 733654000 10.5400 L Ordinary Shares
2014-05-29 Pacific Alliance Group Asset Management Limited 31800000 434378974 6.2400 S 402578974 5.7900 S Ordinary Shares
2014-05-29 Pacific Alliance Group Limited 733654000 10.5400 L 733654000 10.5400 L Ordinary Shares
2014-05-29 Pacific Alliance Group Limited 31800000 434378974 6.2400 S 402578974 5.7900 S Ordinary Shares
2014-05-29 Pacific Alliance Investment Management Limited 733654000 10.5400 L 733654000 10.5400 L Ordinary Shares
2014-05-29 Pacific Alliance Investment Management Limited 31800000 434378974 6.2400 S 402578974 5.7900 S Ordinary Shares
2014-05-29 PAG Holdings Limited 733654000 10.5400 L 733654000 10.5400 L Ordinary Shares
2014-05-29 PAG Holdings Limited 31800000 434378974 6.2400 S 402578974 5.7900 S Ordinary Shares
2014-04-09 Pacific Alliance Asia Opportunity Fund L.P. 740808000 10.7300 L 740808000 10.7300 L Ordinary Shares
2014-04-09 Pacific Alliance Asia Opportunity Fund L.P. 36420000 404458974 5.8600 S 440878974 6.3800 S Ordinary Shares
2014-04-09 Pacific Alliance Group Asset Management Limited 740808000 10.7300 L 740808000 10.7300 L Ordinary Shares
2014-04-09 Pacific Alliance Group Asset Management Limited 36420000 404458974 5.8600 S 440878974 6.3800 S Ordinary Shares
2014-04-09 Pacific Alliance Group Limited 740808000 10.7300 L 740808000 10.7300 L Ordinary Shares
2014-04-09 Pacific Alliance Group Limited 36420000 404458974 5.8600 S 440878974 6.3800 S Ordinary Shares
2014-04-09 Pacific Alliance Investment Management Limited 740808000 10.7300 L 740808000 10.7300 L Ordinary Shares
2014-04-09 Pacific Alliance Investment Management Limited 36420000 404458974 5.8600 S 440878974 6.3800 S Ordinary Shares
2014-04-09 PAG Holdings Limited 740808000 10.7300 L 740808000 10.7300 L Ordinary Shares
2014-04-09 PAG Holdings Limited 36420000 404458974 5.8600 S 440878974 6.3800 S Ordinary Shares
2014-04-08 陈姚丽妮 Chen Li Ni Yao 5700000 962286000 13.9300 L 967986000 14.0100 L Ordinary Shares
2014-04-08 陈红天 Chen Hong Tian 5700000 962286000 13.9300 L 967986000 14.0100 L Ordinary Shares
2014-04-08 Chen Family Assets Management Company Limited 5700000 962286000 13.9300 L 967986000 14.0100 L Ordinary Shares
2014-03-25 Pacific Alliance Asia Opportunity Fund L.P. 10000000 683750000 9.9100 L 693750000 10.0600 L Ordinary Shares
2014-03-25 Pacific Alliance Asia Opportunity Fund L.P. 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-25 Pacific Alliance Group Asset Management Limited 10000000 683750000 9.9100 L 693750000 10.0600 L Ordinary Shares
2014-03-25 Pacific Alliance Group Asset Management Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-25 Pacific Alliance Group Limited 10000000 683750000 9.9100 L 693750000 10.0600 L Ordinary Shares
2014-03-25 Pacific Alliance Group Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-25 Pacific Alliance Investment Management Limited 10000000 683750000 9.9100 L 693750000 10.0600 L Ordinary Shares
2014-03-25 Pacific Alliance Investment Management Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-25 PAG Holdings Limited 10000000 683750000 9.9100 L 693750000 10.0600 L Ordinary Shares
2014-03-25 PAG Holdings Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-24 Pacific Alliance Asia Opportunity Fund L.P. 952000 688946000 9.9900 L 689898000 10.0000 L Ordinary Shares
2014-03-24 Pacific Alliance Asia Opportunity Fund L.P. 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-24 Pacific Alliance Group Asset Management Limited 952000 688946000 9.9900 L 689898000 10.0000 L Ordinary Shares
2014-03-24 Pacific Alliance Group Asset Management Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-24 Pacific Alliance Group Limited 952000 688946000 9.9900 L 689898000 10.0000 L Ordinary Shares
2014-03-24 Pacific Alliance Group Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-24 Pacific Alliance Investment Management Limited 952000 688946000 9.9900 L 689898000 10.0000 L Ordinary Shares
2014-03-24 Pacific Alliance Investment Management Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-24 PAG Holdings Limited 952000 688946000 9.9900 L 689898000 10.0000 L Ordinary Shares
2014-03-24 PAG Holdings Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-13 Pacific Alliance Asia Opportunity Fund L.P. 18212000 701962000 10.1800 L 683750000 9.9100 L Ordinary Shares
2014-03-13 Pacific Alliance Asia Opportunity Fund L.P. 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-13 Pacific Alliance Group Asset Management Limited 18212000 701962000 10.1800 L 683750000 9.9100 L Ordinary Shares
2014-03-13 Pacific Alliance Group Asset Management Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-13 Pacific Alliance Group Limited 18212000 701962000 10.1800 L 683750000 9.9100 L Ordinary Shares
2014-03-13 Pacific Alliance Group Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-13 Pacific Alliance Investment Management Limited 18212000 701962000 10.1800 L 683750000 9.9100 L Ordinary Shares
2014-03-13 Pacific Alliance Investment Management Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-13 PAG Holdings Limited 18212000 701962000 10.1800 L 683750000 9.9100 L Ordinary Shares
2014-03-13 PAG Holdings Limited 404458974 5.8600 S 404458974 5.8600 S Ordinary Shares
2014-03-12 Pacific Alliance Asia Opportunity Fund L.P. 20000000 681962000 9.8900 L 701962000 10.1800 L Ordinary Shares
2014-03-12 Pacific Alliance Asia Opportunity Fund L.P. 384458974 5.5700 S 404458974 5.8600 S Ordinary Shares
2014-03-12 Pacific Alliance Group Asset Management Limited 20000000 681962000 9.8900 L 701962000 10.1800 L Ordinary Shares
2014-03-12 Pacific Alliance Group Asset Management Limited 384458974 5.5700 S 404458974 5.8600 S Ordinary Shares
2014-03-12 Pacific Alliance Group Limited 20000000 681962000 9.8900 L 701962000 10.1800 L Ordinary Shares
2014-03-12 Pacific Alliance Group Limited 384458974 5.5700 S 404458974 5.8600 S Ordinary Shares
2014-03-12 Pacific Alliance Investment Management Limited 20000000 681962000 9.8900 L 701962000 10.1800 L Ordinary Shares
2014-03-12 Pacific Alliance Investment Management Limited 384458974 5.5700 S 404458974 5.8600 S Ordinary Shares
2014-03-12 PAG Holdings Limited 20000000 681962000 9.8900 L 701962000 10.1800 L Ordinary Shares
2014-03-12 PAG Holdings Limited 384458974 5.5700 S 404458974 5.8600 S Ordinary Shares
2014-03-11 Pacific Alliance Asia Opportunity Fund L.P. 635350000 9.2100 L 682150000 9.8900 L Ordinary Shares
2014-03-11 Pacific Alliance Asia Opportunity Fund L.P. 46800000 337658974 4.8900 S 384458974 5.5700 S Ordinary Shares
2014-03-11 Pacific Alliance Group Asset Management Limited 635350000 9.2100 L 682150000 9.8900 L Ordinary Shares
2014-03-11 Pacific Alliance Group Asset Management Limited 46800000 337658974 4.8900 S 384458974 5.5700 S Ordinary Shares
2014-03-11 Pacific Alliance Group Limited 635350000 9.2100 L 682150000 9.8900 L Ordinary Shares
2014-03-11 Pacific Alliance Group Limited 46800000 337658974 4.8900 S 384458974 5.5700 S Ordinary Shares
2014-03-11 Pacific Alliance Investment Management Limited 635350000 9.2100 L 682150000 9.8900 L Ordinary Shares
2014-03-11 Pacific Alliance Investment Management Limited 46800000 337658974 4.8900 S 384458974 5.5700 S Ordinary Shares
2014-03-11 PAG Holdings Limited 635350000 9.2100 L 682150000 9.8900 L Ordinary Shares
2014-03-11 PAG Holdings Limited 46800000 337658974 4.8900 S 384458974 5.5700 S Ordinary Shares
2014-02-03 Chen Family Assets Management Company Limited 40000000 950000000 13.8300 L 950000000 13.8300 L Ordinary Shares
2014-02-03 陈姚丽妮 Chen Li Ni Yao 40000000 950000000 13.8300 L 950000000 13.8300 L Ordinary Shares
2014-02-03 陈红天 Chen Hong Tian 40000000 950000000 13.8300 L 950000000 13.8300 L Ordinary Shares
2014-01-24 PAG Holdings Limited 299358974 4.8400 S 299358974 4.3600 S Ordinary Shares
2014-01-24 PAG Holdings Limited 657682000 10.6200 L 657682000 9.5700 L Ordinary Shares
2014-01-24 Pacific Alliance Investment Management Limited 299358974 4.8400 S 299358974 4.3600 S Ordinary Shares
2014-01-24 Pacific Alliance Investment Management Limited 657682000 10.6200 L 657682000 9.5700 L Ordinary Shares
2014-01-24 Pacific Alliance Group Limited 299358974 4.8400 S 299358974 4.3600 S Ordinary Shares
2014-01-24 Pacific Alliance Group Limited 657682000 10.6200 L 657682000 9.5700 L Ordinary Shares
2014-01-24 Pacific Alliance Group Asset Management Limited 299358974 4.8400 S 299358974 4.3600 S Ordinary Shares
2014-01-24 Pacific Alliance Group Asset Management Limited 657682000 10.6200 L 657682000 9.5700 L Ordinary Shares
2014-01-24 Pacific Alliance Asia Opportunity Fund L.P. 299358974 4.8400 S 299358974 4.3600 S Ordinary Shares
2014-01-24 Pacific Alliance Asia Opportunity Fund L.P. 657682000 10.6200 L 657682000 9.5700 L Ordinary Shares
2014-01-23 MIH TC Holdings Limited 680300000 925100000 14.9400 L 925100000 13.4600 L Ordinary Shares
2014-01-23 Naspers Limited 680300000 925100000 14.9400 L 925100000 13.4600 L Ordinary Shares
2014-01-23 腾讯控股有限公司 Tencent Holdings Limited 680300000 925100000 14.9400 L 925100000 13.4600 L Ordinary Shares
2014-01-23 Chen Family Assets Management Company Limited 950000000 15.3400 L 950000000 13.8300 L Ordinary Shares
2014-01-23 陈红天 Chen Hong Tian 950000000 15.3400 L 950000000 13.8300 L Ordinary Shares
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2014-01-23 Proficient Success Limited 1027267217 16.5900 L 1027267217 14.9400 L Ordinary Shares
2014-01-23 京晖国际有限公司 Kings Faith International Limited 523899770 8.4600 L 523899770 7.6200 L Ordinary Shares
2014-01-23 Accurate Gain Developments Limited 1339913759 21.6400 L 1339913759 19.4900 L Ordinary Shares
2014-01-22 Chen Family Assets Management Company Limited 100000000 950000000 15.3400 L 950000000 15.3400 L Ordinary Shares
2014-01-22 陈红天 Chen Hong Tian 100000000 950000000 15.3400 L 950000000 15.3400 L Ordinary Shares
2014-01-22 陈姚丽妮 Chen Li Ni Yao 100000000 950000000 15.3400 L 950000000 15.3400 L Ordinary Shares
2014-01-15 MIH TC Holdings Limited 244800000 680300000 10.9900 L 925100000 14.9400 L Ordinary Shares
2014-01-15 MIH TC Holdings Limited 680300000 0 0.0000 L 680300000 10.9900 L Ordinary Shares
2014-01-15 腾讯控股有限公司 Tencent Holdings Limited 244800000 680300000 10.9900 L 925100000 14.9400 L Ordinary Shares
2014-01-15 腾讯控股有限公司 Tencent Holdings Limited 680300000 0 0.0300 L 680300000 10.9900 L Ordinary Shares
2014-01-15 THL H Limited 244800000 680300000 10.9900 L 925100000 14.9400 L Ordinary Shares
2014-01-15 THL H Limited 680300000 0 0.0000 L 680300000 10.9900 L Ordinary Shares
2014-01-15 Naspers Limited 680300000 0 0.0000 L 680300000 10.9900 L Ordinary Shares
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2013-12-05 Chen Family Assets Management Company Limited 60000000 950000000 15.3500 L 950000000 15.3500 L Ordinary Shares
2013-12-05 陈红天 Chen Hong Tian 60000000 950000000 15.3500 L 950000000 15.3500 L Ordinary Shares
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2013-11-27 陈红天 Chen Hong Tian 70000000 950000000 15.3700 L 950000000 15.3700 L Ordinary Shares
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2013-11-12 陈红天 Chen Hong Tian 70000000 950000000 15.3700 L 950000000 15.3700 L Ordinary Shares
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2013-09-12 陈红天 Chen Hong Tian 200000000 750000000 12.2000 L 950000000 15.4500 L Ordinary Shares
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2013-08-21 Pacific Alliance Group Asset Management Limited 625000000 10.2500 L 625000000 10.2500 L Ordinary Shares
2013-08-21 Pacific Alliance Group Asset Management Limited 299358974 299358974 4.9100 S Ordinary Shares
2013-08-21 Pacific Alliance Group Limited 625000000 10.2500 L 625000000 10.2500 L Ordinary Shares
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2013-08-21 Pacific Alliance Investment Management Limited 625000000 10.2500 L 625000000 10.2500 L Ordinary Shares
2013-08-21 Pacific Alliance Investment Management Limited 299358974 299358974 4.9100 S Ordinary Shares
2013-08-21 PAG Holdings Limited 625000000 10.2500 L 625000000 10.2500 L Ordinary Shares
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2013-06-28 Carrianna (BVI) Ltd 133872000 133872000 2.2100 S Ordinary Shares
2013-06-28 Carrianna Development Limited 133872000 272838649 4.5100 L 138966649 2.2900 L Ordinary Shares
2013-06-28 Carrianna Development Limited 133872000 133872000 2.2100 S Ordinary Shares
2013-06-28 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 133872000 272838649 4.5100 L 138966649 2.2900 L Ordinary Shares
2013-06-28 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 133872000 133872000 2.2100 S Ordinary Shares
2013-06-28 佳宁娜集团有限公司 Carrianna Holdings Limited 133872000 272838649 4.5100 L 138966649 2.2900 L Ordinary Shares
2013-06-28 佳宁娜集团有限公司 Carrianna Holdings Limited 133872000 133872000 2.2100 S Ordinary Shares
2013-06-28 嘉坚发展有限公司 Gartrend Development Limited 133872000 272838649 4.5100 L 138966649 2.2900 L Ordinary Shares
2013-06-28 嘉坚发展有限公司 Gartrend Development Limited 133872000 133872000 2.2100 S Ordinary Shares
2013-06-28 Sincere United Holdings Limited 133872000 272838649 4.5100 L 138966649 2.2900 L Ordinary Shares
2013-06-28 Sincere United Holdings Limited 133872000 133872000 2.2100 S Ordinary Shares
2013-06-04 Carrianna (BVI) Ltd 150000000 422838649 6.9800 L 272838649 4.5100 L Ordinary
2013-06-04 Carrianna (BVI) Ltd 150000000 283872000 4.6900 S 133872000 2.2100 S Ordinary
2013-06-04 Carrianna Development Limited 150000000 422838649 6.9800 L 272838649 4.5100 L Ordinary
2013-06-04 Carrianna Development Limited 150000000 283872000 4.6900 S 133872000 2.2100 S Ordinary
2013-06-04 佳宁娜集团有限公司 Carrianna Holdings Limited 150000000 422838649 6.9800 L 272838649 4.5100 L Ordinary
2013-06-04 佳宁娜集团有限公司 Carrianna Holdings Limited 150000000 283872000 4.6900 S 133872000 2.2100 S Ordinary
2013-06-04 嘉坚发展有限公司 Gartrend Development Limited 150000000 422838649 6.9800 L 272838649 4.5100 L Ordinary
2013-06-04 嘉坚发展有限公司 Gartrend Development Limited 150000000 283872000 4.6900 S 133872000 2.2100 S Ordinary
2013-06-04 Sincere United Holdings Limited 150000000 422838649 6.9800 L 272838649 4.5100 L Ordinary
2013-06-04 Sincere United Holdings Limited 150000000 283872000 4.6900 S 133872000 2.2100 S Ordinary
2013-06-04 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 150000000 422838649 6.9800 L 272838649 4.5100 L Ordinary
2013-06-04 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 150000000 283872000 4.6900 S 133872000 2.2100 S Ordinary
2013-05-31 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 161290000 445162000 7.3500 S 283872000 4.6900 S Ordinary
2013-05-31 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 161290000 584128649 9.6500 L 422838649 6.9800 L Ordinary
2013-05-31 Sincere United Holdings Limited 161290000 445162000 7.3500 S 283872000 4.6900 S Ordinary
2013-05-31 Sincere United Holdings Limited 161290000 584128649 9.6500 L 422838649 6.9800 L Ordinary
2013-05-31 嘉坚发展有限公司 Gartrend Development Limited 161290000 445162000 7.3500 S 283872000 4.6900 S Ordinary
2013-05-31 嘉坚发展有限公司 Gartrend Development Limited 161290000 584128649 9.6500 L 422838649 6.9800 L Ordinary
2013-05-31 佳宁娜集团有限公司 Carrianna Holdings Limited 161290000 445162000 7.3500 S 283872000 4.6900 S Ordinary
2013-05-31 佳宁娜集团有限公司 Carrianna Holdings Limited 161290000 584128649 9.6500 L 422838649 6.9800 L Ordinary
2013-05-31 Carrianna Development Limited 161290000 445162000 7.3500 S 283872000 4.6900 S Ordinary
2013-05-31 Carrianna Development Limited 161290000 584128649 9.6500 L 422838649 6.9800 L Ordinary
2013-05-31 Carrianna (BVI) Ltd 161290000 445162000 7.3500 S 283872000 4.6900 S Ordinary
2013-05-31 Carrianna (BVI) Ltd 161290000 584128649 9.6500 L 422838649 6.9800 L Ordinary
2013-05-06 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 75000000 520162000 8.5900 S 445162000 7.3500 S Ordinary Shares
2013-05-06 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 75000000 659128649 10.8900 L 584128649 9.6500 L Ordinary Shares
2013-05-06 Sincere United Holdings Limited 75000000 520162000 8.5900 S 445162000 7.3500 S Ordinary Shares
2013-05-06 Sincere United Holdings Limited 75000000 659128649 10.8900 L 584128649 9.6500 L Ordinary Shares
2013-05-06 嘉坚发展有限公司 Gartrend Development Limited 75000000 520162000 8.5900 S 445162000 7.3500 S Ordinary Shares
2013-05-06 嘉坚发展有限公司 Gartrend Development Limited 75000000 659128649 10.8900 L 584128649 9.6500 L Ordinary Shares
2013-05-06 佳宁娜集团有限公司 Carrianna Holdings Limited 75000000 520162000 8.5900 S 445162000 7.3500 S Ordinary Shares
2013-05-06 佳宁娜集团有限公司 Carrianna Holdings Limited 75000000 659128649 10.8900 L 584128649 9.6500 L Ordinary Shares
2013-05-06 Carrianna Development Limited 75000000 520162000 8.5900 S 445162000 7.3500 S Ordinary Shares
2013-05-06 Carrianna Development Limited 75000000 659128649 10.8900 L 584128649 9.6500 L Ordinary Shares
2013-05-06 Carrianna (BVI) Ltd 75000000 520162000 8.5900 S 445162000 7.3500 S Ordinary Shares
2013-05-06 Carrianna (BVI) Ltd 75000000 659128649 10.8900 L 584128649 9.6500 L Ordinary Shares
2013-04-24 Carrianna (BVI) Ltd 75000000 734128649 12.1300 L 659128649 10.8900 L Ordinary
2013-04-24 Carrianna (BVI) Ltd 75000000 595162000 9.8300 S 520162000 8.5900 S Ordinary
2013-04-24 Carrianna Development Limited 75000000 734128649 12.1300 L 659128649 10.8900 L Ordinary
2013-04-24 Carrianna Development Limited 75000000 595162000 9.8300 S 520162000 8.5900 S Ordinary
2013-04-24 佳宁娜集团有限公司 Carrianna Holdings Limited 75000000 734128649 12.1300 L 659128649 10.8900 L Ordinary
2013-04-24 佳宁娜集团有限公司 Carrianna Holdings Limited 75000000 595162000 9.8300 S 520162000 8.5900 S Ordinary
2013-04-24 嘉坚发展有限公司 Gartrend Development Limited 75000000 734128649 12.1300 L 659128649 10.8900 L Ordinary
2013-04-24 嘉坚发展有限公司 Gartrend Development Limited 75000000 595162000 9.8300 S 520162000 8.5900 S Ordinary
2013-04-24 Sincere United Holdings Limited 75000000 734128649 12.1300 L 659128649 10.8900 L Ordinary
2013-04-24 Sincere United Holdings Limited 75000000 595162000 9.8300 S 520162000 8.5900 S Ordinary
2013-04-24 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 75000000 734128649 12.1300 L 659128649 10.8900 L Ordinary
2013-04-24 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 75000000 595162000 9.8300 S 520162000 8.5900 S Ordinary
2013-03-28 Pacific Alliance Asia Opportunity Fund L.P. 625000000 0 0.0000 L 625000000 10.3200 L Ordinary Shares
2013-03-28 Pacific Alliance Group Asset Management Limited 625000000 0 0.0000 L 625000000 10.3200 L Ordinary Shares
2013-03-28 Pacific Alliance Group Limited 625000000 0 0.0000 L 625000000 10.3200 L Ordinary Shares
2013-03-28 Pacific Alliance Investment Management Limited 625000000 0 0.0000 L 625000000 10.3200 L Ordinary Shares
2013-03-28 PAG Holdings Limited 625000000 0 0.0000 L 625000000 10.3200 L Ordinary Shares
2013-03-28 PA Worldwide Opportunity VI Limited 625000000 0 0.0000 L 625000000 10.3200 L Ordinary Shares
2013-03-28 Carrianna (BVI) Ltd 154838000 888966649 14.6800 L 734128649 12.1300 L Ordinary Shares
2013-03-28 Carrianna (BVI) Ltd 154838000 750000000 12.3900 S 595162000 9.8300 S Ordinary Shares
2013-03-28 Carrianna Development Limited 154838000 888966649 14.6800 L 734128649 12.1300 L Ordinary Shares
2013-03-28 Carrianna Development Limited 154838000 750000000 12.3900 S 595162000 9.8300 S Ordinary Shares
2013-03-28 佳宁娜集团有限公司 Carrianna Holdings Limited 154838000 888966649 14.6800 L 734128649 12.1300 L Ordinary Shares
2013-03-28 佳宁娜集团有限公司 Carrianna Holdings Limited 154838000 750000000 12.3900 S 595162000 9.8300 S Ordinary Shares
2013-03-28 嘉坚发展有限公司 Gartrend Development Limited 154838000 888966649 14.6800 L 734128649 12.1300 L Ordinary Shares
2013-03-28 嘉坚发展有限公司 Gartrend Development Limited 154838000 750000000 12.3900 S 595162000 9.8300 S Ordinary Shares
2013-03-28 Sincere United Holdings Limited 154838000 888966649 14.6800 L 734128649 12.1300 L Ordinary Shares
2013-03-28 Sincere United Holdings Limited 154838000 750000000 12.3900 S 595162000 9.8300 S Ordinary Shares
2013-03-28 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 154838000 888966649 14.6800 L 734128649 12.1300 L Ordinary Shares
2013-03-28 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 154838000 750000000 12.3900 S 595162000 9.8300 S Ordinary Shares
2013-02-06 嘉坚发展有限公司 Gartrend Development Limited 750000000 750000000 12.3900 S Ordinary Shares
2013-02-06 Sincere United Holdings Limited 750000000 888966649 14.6800 L 888966649 14.6800 L Ordinary Shares
2013-02-06 Sincere United Holdings Limited 750000000 750000000 12.3900 S Ordinary Shares
2013-02-06 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 750000000 888966649 14.6800 L 888966649 14.6800 L Ordinary Shares
2013-02-06 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 750000000 750000000 12.3900 S Ordinary Shares
2013-02-06 Chen Family Assets Management Company Limited 750000000 0 0.0000 L 750000000 12.3900 L Ordinary Shares
2013-02-06 陈红天 Chen Hong Tian 750000000 0 0.0000 L 750000000 12.3900 L Ordinary Shares
2013-02-06 陈姚丽妮 Chen Li Ni Yao 750000000 0 0.0000 L 750000000 12.3900 L Ordinary Shares
2013-02-06 Carrianna (BVI) Ltd 750000000 888966649 14.6800 L 888966649 14.6800 L Ordinary Shares
2013-02-06 Carrianna (BVI) Ltd 750000000 750000000 12.3900 S Ordinary Shares
2013-02-06 Carrianna Development Limited 750000000 888966649 14.6800 L 888966649 14.6800 L Ordinary Shares
2013-02-06 Carrianna Development Limited 750000000 750000000 12.3900 S Ordinary Shares
2013-02-06 佳宁娜集团有限公司 Carrianna Holdings Limited 750000000 888966649 14.6800 L 888966649 14.6800 L Ordinary Shares
2013-02-06 佳宁娜集团有限公司 Carrianna Holdings Limited 750000000 750000000 12.3900 S Ordinary Shares
2013-02-06 嘉坚发展有限公司 Gartrend Development Limited 750000000 888966649 14.6800 L 888966649 14.6800 L Ordinary Shares
2013-01-03 Proficient Success Limited 44663791 1071931008 17.7000 L 1027267217 16.9600 L Ordinary Shares
2012-10-19 Proficient Success Limited 44663791 1116594799 18.4400 L 1071931008 17.7000 L Ordinary
2012-03-21 京晖国际有限公司 Kings Faith International Limited 130974942 654874712 10.9300 L 523899770 8.7400 L Ordinary Shares
2009-11-12 郑大报 Cheng Tai Po 1936000 2459508558 40.9900 L 2461444558 41.0200 L Ordinary Shares
2009-10-28 郑大报 Cheng Tai Po 225000000 2456508558 40.9400 L 2456508558 40.9400 L Ordinary Shares
2009-10-28 Accurate Gain Developments Limited 225000000 1339913759 22.3300 L 1339913759 22.3300 L Ordinary Shares
2009-09-30 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 0 0.0000 L 900000000 15.0000 L Ordinary Shares
2009-09-30 佳宁娜集团控股有限公司 Carrianna Group Holdings Company Limited 11033351 900000000 15.0000 L 888966649 14.8200 L Ordinary Shares
2009-09-30 京晖国际有限公司 Kings Faith International Limited 0 0.0000 L 675000000 11.2500 L Ordinary Shares
2009-09-30 京晖国际有限公司 Kings Faith International Limited 20125288 675000000 11.2500 L 654874712 10.9100 L Ordinary Shares
2009-09-30 嘉坚发展有限公司 Gartrend Development Limited 0 0.0000 L 900000000 15.0000 L Ordinary Shares
2009-09-30 佳宁娜集团有限公司 Carrianna Holdings Limited 0 0.0000 L 900000000 15.0000 L Ordinary Shares
2009-09-30 Sincere United Holdings Limited 0 0.0000 L 900000000 15.0000 L Ordinary Shares
2009-09-30 Proficient Success Limited 0 0.0000 L 1125000000 18.7500 L Ordinary Shares
2009-09-30 郑大报 Cheng Tai Po 0 0.0000 L 2475000000 41.2500 L Ordinary Shares
2009-09-30 郑大报 Cheng Tai Po 225000000 2475000000 41.2500 L 2475000000 41.2500 L Ordinary Shares
2009-09-30 郑大报 Cheng Tai Po 18491442 2475000000 41.2500 L 2456508558 40.9400 L Ordinary Shares
2009-09-30 Carrianna Development Limited 0 0.0000 L 900000000 15.0000 L Ordinary Shares
2009-09-30 Carrianna (BVI) Ltd 0 0.0000 L 900000000 15.0000 L Ordinary Shares
2009-09-30 Accurate Gain Developments Limited 225000000 1350000000 22.5000 L 1350000000 22.5000 L Ordinary Shares
2009-09-30 Accurate Gain Developments Limited 0 0.0000 L 1350000000 22.5000 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)
2019-08-02 3780000 1.0500 1.0300 3931880.0000 1.040
2019-08-01 6122000 1.0700 1.0300 6447500.0000 1.053
2015-07-09 1000000 2.0000 2000000.0000 2.000
2015-07-08 5000000 1.9800 1.8000 9602100.0000 1.920
2015-01-15 4136000 2.8300 2.5800 11610880.0000 2.807
2015-01-14 3500000 2.9000 2.8700 10112680.0000 2.889
2014-12-23 1020000 3.5000 3.4500 3546300.0000 3.477
2014-12-22 4570000 3.5000 3.3800 15720340.0000 3.440
2014-05-05 4286000 3.4600 3.3800 14781260.0000 3.449
2014-05-02 5212000 3.3700 3.2700 17349380.0000 3.329
2014-04-15 5808000 3.5900 3.5200 20679860.0000 3.561
2014-04-14 7800000 3.5600 3.4800 27351400.0000 3.507
2014-04-11 8230000 3.6400 3.5000 29463660.0000 3.580
2010-05-20 6168000 1.2300 1.1700 7476220.0000 1.212
2010-05-19 3668000 1.2200 1.2000 4432600.0000 1.208
2010-05-18 6744000 1.2400 1.1800 8253060.0000 1.224
2010-05-17 3856000 1.1800 1.1300 4454300.0000 1.155

认购 认沽 牛证 熊证
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  • 港股华南城涨幅扩大至20%,领涨港股通标的。

  • 【万达商管集团与华南城集团合作 新一代万达广场落户深圳】12月25日,万达商管集团与华南城集团签订深圳龙岗万达广场项目合作协议,标志着全新一代万达广场落户深圳。龙岗万达广场位于龙岗区中心地段,由原华南城旧有批发市场改造。项目业主仍为华南城集团,万达商管集团负责改造设计、招商和运营,租金收益双方分成。龙岗万达广场项目计划2020年启动改造,2021年开业。

  • 【万达商管集团与华南城集团合作 新一代万达广场落户深圳】12月25日,万达商管集团与华南城集团签订深圳龙岗万达广场项目合作协议,标志着全新一代万达广场落户深圳。龙岗万达广场位于龙岗区中心地段,由原华南城旧有批发市场改造。项目业主仍为华南城集团,万达商管集团负责改造设计、招商和运营,租金收益双方分成。龙岗万达广场项目计划2020年启动改造,2021年开业。

  • 12月25日,万达商管集团与华南城集团签订深圳龙岗万达广场项目合作协议,标志着全新一代万达广场落户深圳。

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