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大健康国际(hk02211)-基本信息

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今开价:0.044

最高价:0.044

成交量:216000.0

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最低价:0.043

最新价:0.043

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概要信息

中文名称:大健康国际


英文名称:Universal Health


简介:我们为中国东北地区领先的医药零售商及分销商之一。我们亦拥有中国东北地区最大的医药零售连锁网络(1),并为中国东北地区最大的民营医药分销商(2)


网址:http://www.uhighl.com


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 02211
公司名称(中文) 大健康国际集团控股有限公司
公司名称(英文) Universal Health International Group Holding Limited
公司业务 大健康国际集团控股有限公司是一家投资控股公司,主要在中华人民共和国(中国)东北地区从事分销及零售药物及其他医药产品业务。该公司通过四个业务部门运营:分销部、零售I部、零售II部及其他部。其他部从事投资业务。该公司通过其子公司还从事电子商务及买卖保健产品业务。
所属行业 医疗保健
港股股份数目 3863134451(股)
主席 金东涛
主要持股人 陈笑妍
董事 金东涛(执行董事) 金东涛(主席) 金东昆(副主席) 金东昆(执行董事) 郑双庆(独立非执行董事) 江素惠(独立非执行董事) 赵泽华(执行董事) 孙立波(执行董事) 邹海燕(独立非执行董事)
公司秘书 葛俊明\梁怡珏
注册办事处 Maples Corporate Services Limited PO Box 309 Ugland House Grand Cayman, KY1-1104 Cayman Islands
公司总部 香港九龙么地道68号帝国中心9楼907B室
股份过户登记处 香港中央证券登记有限公司
核数师 中审众环(香港)会计师事务所有限公司
主要往来银行 哈尔滨银行学府支行,瑞银集团,渣打银行(香港)有限公司
法律顾问 富而德律师事务所,迈普达律师事务所,通商律师事务所
公司网址 www.uhighl.com
电邮地址 ir@uhi-group.com
电话号码 (+852)2663 0182
传真号码 (+852)2663 0023
在本集团主席(「主席」)金东涛先生的领导及全体员工的努力下,本集团在竞争中积极推进传统实体的零售连锁门店及分销网路的发展,同时,本集团努力探索新型运营模式。 王道哲学 王道哲学是主席金东涛先生提出的具有战略远见的经营理念,其中「王」体现为「1+1=1,1+1=11,1+1=101,1+1=王,1+1=田」;王道哲学包含着精诚团结的「团队」思维,多边合作的「平台」思维,多层次多维度的「置换」思维,以及合作共赢的「分田」思维,共谋发展的「合伙人」思维。 连锁零售业务 期内,本集团致力实施针对性管理,继续保持战略性佈局之店舖及非战略性佈局之店舖的划分,并根据市场竞争及发展情况进行合理调整。期内,适时关闭店舖44家。因此,本集团战略性佈局之店舖于期末为603家(于二零一八年六月三十日:648家战略性佈局之店铺),非战略性之店舖270家(于二零一八年六月三十日:269家非战略性佈局之店铺),合共店舖873家。零售业务销售收益由二零一七年同期的人民币642.1百万元,下降到期内的人民币635.1百万元,整体下降1.1%。 全国分销业务 期内,本集团拥有分销客户超过4,200家及大型分销配送中心5个。本集团适量进行分销体系的宣传推广投入,继续优化筛选和维护优质客户,并举办分销体系战略合作联谊会共5场。本集团分销业务由二零一七年同期销售收益人民币705.9百万元,上升至期内的人民币733.8百万元,整体上升了4.0%。 直供销售模式 本集团的直供模式有效解决了传统上繁复重叠的销售环节,简化供应链,从而提高销售效率及盈利能力,为本集团的高边际利润产品提供可观的利润率。同时,契合中国政府推行的「两票制」管理体制,本集团受到政策变化影响小,具有行销模式的先进性。期内,本集团管理层积极维护品牌产品的直供能力,该直供模式覆盖中国29个省。 品牌产品运营 本集团继续维持原有品牌产品的运营格局,并根据实际经营需要进行品牌结构调整,淘汰部份不适用产品,补充新型产品,吐旧纳新,一方面保持原有品牌产品的竞争力,另一方面增加新的品牌产品的影响力。总计1,252种品牌产品在运营中为本集团效力,其中有607种授权品牌产品及645种已取得独家分销权的产品。 仓储建设 本集团设置了石家庄、渖阳、长春、哈尔滨、佳木斯五个较大规模的物流配送中心,构建了辐射全国和覆盖中国东北地区的优质配送体系。位于黑龙江本部佳木斯大型物流仓储中心,集合「商流、物流、资讯流」为一体的医药及多元化商品配送物流仓储中心,于黑龙江东部地区较大规模的,为本集团优化配送体系发挥重要作用,从而为物流园区的产业升级奠定了坚实的基础。 品牌推广 本集团具有持续进行品牌宣传和行销推广的传统优势,藉以强化本公司的影响力和竞争力,减低经营业绩进一步下滑的幅度。期内,本集团继续利用传统媒介,如电视、广播、报纸、车体、路牌、传单等,以及新媒体,如互联网、微信自媒体等,对产品品牌及企业品牌均进行宣传。此外,本集团参与公益慈善,提升本公司的美誉度,实践企业社会责任。 商学院培训 期内,本集团根据新时代、新经济、新科技、新零售等特徵,继续优化商学院培训内容,发挥企业商学院对本集团业务发展、人才培养、公益宣传等方面的重要作用。此外,本集团保持在行业内率先成立企业商学院的优势,提升企业凝聚力,促进员工思维提高及对业务转型升级等新要求的适应性。期内,本公司举办了内部培训合共81场。 会员服务 期内,本集团对所属的超过160万线下会员进行跟进服务及促销优惠,以便提高会员的认同感和积极性,增加会员黏性,提升本公司企业健康的形象。同时,本集团在提供公共洗手间、避寒场所、走失儿童服务中心等多方面进行社会增值服务,继续开展「爱心中国」等公益活动,树立良好的企业形象。 行业联盟 期内,本公司积极参加联盟活动,以主席及副主席、首席运营官等为代表参与联盟组织的考察、论坛,把握时代发展主题,掌握行业资讯,促进品牌产品建设,加强本公司与行业联盟的互动与交流,不断提升影响力。同时,借助中国国家的「健康中国」、「美丽中国」、「一带一路」及「粤港澳大湾区」等战略导向,吸收行业经验,聚焦科技创新,探索本公司业务转型升级的进一步推进。
频频而出的政策或将重塑行业格局。未来随着带量采购等政策的落地及全国推广,以及美国经济增长见顶、中美贸易磨擦不确定性和全球债务负担上升、中国经济依然处在「大调整」关键时期,预计医药行业仍将承受较大的压力。不过,在内地人口老龄化持续、居民消费能力提升、医保支付制度的结构调整等因素推动下,医药行业依然是中国内地具有明显增长前景的行业领域之一。

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
2019-05-24 邸洪英 邸洪英 547296781 0 0.0000 L 547296781 0.1525 L 普通股
2019-05-24 Harbin Tada Investment Management Limited Harbin Tada Investment Management Limited 547296781 0 0.0000 L 547296781 0.1525 L 普通股
2019-05-24 Integrity Stars Limited Integrity Stars Limited 547296781 0 0.0000 L 547296781 0.1525 L 普通股
2019-04-29 陆才 陆才 458137670 458137670 0.1507 L 0 0.0000 L 普通股
2019-04-29 Elite Grand Holdings Limited Elite Grand Holdings Limited 458137670 458137670 0.1507 L 0 0.0000 L 普通股
2019-03-21 Huang Yu Holdings Limited Huang Yu Holdings Limited 150000000 182400000 0.0600 L 32400000 0.0110 L 普通股
2019-03-21 谢伟 谢伟 150000000 296967000 0.0977 L 146967000 0.0480 L 普通股
2018-05-31 谢伟 Xie Wei 182400000 114567000 4.0100 L 296967000 9.7700 L Ordinary Shares
2018-05-31 Huang Yu Holdings Limited 182400000 0 0.0000 L 182400000 6.0000 L Ordinary Shares
2017-10-27 邸洪英 Di Hongying 137500000 275000000 9.6200 L 137500000 4.8100 L Ordinary Shares
2017-10-27 正星有限公司 Integrity Stars Limited 137500000 275000000 9.6200 L 137500000 4.8100 L Ordinary Shares
2017-10-12 陈笑妍 Chen Xiaoyan 2800000 964816953 33.7600 L 970416953 33.9500 L Ordinary Shares
2017-06-21 正星有限公司 Integrity Stars Limited 458137670 275000000 11.4600 L 275000000 9.6200 L 普通股
2017-06-21 Tenby Nominees Limited 458137670 960014953 40.0000 L 960014953 33.5900 L Ordinary Shares
2017-06-21 邸洪英 Di Hongying 458137670 275000000 11.4600 L 275000000 9.6200 L 普通股
2017-06-21 Credit Suisse Trust Limited 458137670 960014953 40.0000 L 960014953 33.5900 L Ordinary Shares
2017-06-21 Brock Nominees Limited 458137670 960014953 40.0000 L 960014953 33.5900 L Ordinary Shares
2017-06-21 华盛控股有限公司 Elite Grand Holdings Limited 458137670 0 0.0000 L 458137670 16.0300 L 普通股
2017-06-21 陆宝财 Lu Baocai 458137670 0 0.0000 L 458137670 16.0300 L 普通股
2017-06-21 Global Health Century International Group Limited 458137670 960014953 40.0000 L 960014953 33.5900 L Ordinary Shares
2017-06-21 陈笑妍 Chen Xiaoyan 458137670 964816953 40.2000 L 964816953 33.7600 L Ordinary Shares
2017-06-21 Asia Health Century International Inc. 458137670 960014953 40.0000 L 960014953 33.5900 L Ordinary Shares
2017-06-21 正星有限公司 Integrity Stars Limited 458137670 275000000 11.4600 L 275000000 9.6200 L 普通股
2017-06-21 1969 JT Limited 458137670 960014953 40.0000 L 960014953 33.5900 L Ordinary
2016-11-08 邸洪英 Di Hongying 112500000 387500000 16.1500 L 275000000 11.4600 L 普通股
2016-11-08 Intergrity Stars Limited 112500000 387500000 16.1500 L 275000000 11.4600 L 普通股
2016-06-27 吴侨峰 Wu Qiaofeng 242585182 1516000 0.0600 L 244101182 10.1700 L Ordinary Shares
2016-06-27 Zhongrong International Trust Co. Ltd. 242585182 242585182 12.1300 L 0 0.0000 L Ordinary Shares
2016-06-23 Zhongrong International Trust Co. Ltd. 242585182 242585182 12.1300 L 0 0.0000 L Ordinary
2016-06-13 Pacific Health Century International Group Limited 10197000 10197000 0.4200 L 0 0.0000 L Ordinary
2016-06-10 Pacific Health Century International Group Limited 9803000 20000000 0.8300 L 10197000 0.4200 L Ordinary
2016-06-08 Pacific Health Century International Group Limited 5284000 25284000 1.0500 L 20000000 0.8300 L Ordinary
2016-06-07 Pacific Health Century International Group Limited 4716000 30000000 1.2500 L 25284000 1.0500 L Ordinary
2016-06-02 Pacific Health Century International Group Limited 1332135 31332135 1.3100 L 30000000 1.2500 L Ordinary
2016-06-01 Pacific Health Century International Group Limited 2611000 33943135 1.4100 L 31332135 1.3100 L Ordinary
2016-05-31 Pacific Health Century International Group Limited 5500000 39443135 1.6400 L 33943135 1.4100 L Ordinary
2016-05-30 Pacific Health Century International Group Limited 1500000 40943135 1.7100 L 39443135 1.6400 L Ordinary
2016-05-24 Intergrity Stars Limited 400000000 0 0.0000 L 400000000 16.6700 L 普通股
2016-05-24 邸洪英 Di Hongying 400000000 0 0.0000 L 400000000 16.6700 L 普通股
2016-05-24 Tenby Nominees Limited 400000000 960014953 48.0000 L 960014953 40.0000 L Ordinary Shares
2016-05-24 LSV Asset Management 0 102331900 5.1200 L 102331900 4.2600 L Common
2016-05-24 Credit Suisse Trust Limited 400000000 960014953 48.0000 L 960014953 40.0000 L Ordinary Shares
2016-05-24 Brock Nominees Limited 400000000 960014953 48.0000 L 960014953 40.0000 L Ordinary Shares
2016-05-24 1969 JT Limited 400000000 960014953 48.0000 L 960014953 40.0000 L Ordinary Shares
2016-05-24 Pacific Health Century International Group Limited 400000000 40943135 2.0500 L 40943135 1.7100 L Ordinary Shares
2016-05-24 Global Health Century International Group Limited 400000000 960014953 48.0000 L 960014953 40.0000 L Ordinary Shares
2016-05-24 陈笑妍 Chen Xiaoyan 400000000 964816953 48.2400 L 964816953 40.2000 L Ordinary Shares
2016-05-24 Asia Health Century International Inc. 400000000 960014953 48.0000 L 960014953 40.0000 L Ordinary Shares
2016-05-24 Asia Health Century International Inc. 400000000 960014953 48.0000 L 960014953 40.0000 L Ordinary
2016-03-22 金徽香港有限公司 Gold Medal Hong Kong Limited 148500000 148500000 7.4300 L 0 0.0000 L Ordinary Shares
2016-03-22 汇隆控股有限公司 WLS Holdings Limited 148500000 148500000 7.4300 L 0 0.0000 L Ordinary Shares
2016-03-01 贝莱德公司 Blackrock, Inc. 21622370 107432960 5.3700 L 85810590 4.2900 L Ordinary Shares
2016-02-29 贝莱德公司 Blackrock, Inc. 24010272 83422688 4.1700 L 107432960 5.3700 L Ordinary Shares
2016-02-22 摩根大通 JPMorgan Chase & Co. 71379567 3.5600 P 84979567 4.2400 P Ordinary Shares
2016-02-22 摩根大通 JPMorgan Chase & Co. 34524000 41280000 2.0600 S 6756000 0.3300 S Ordinary Shares
2016-02-22 摩根大通 JPMorgan Chase & Co. 21318000 113519567 5.6700 L 92201567 4.6100 L Ordinary Shares
2016-02-19 摩根大通 JPMorgan Chase & Co. 71379567 3.5600 P 71379567 3.5600 P Ordinary Shares
2016-02-19 摩根大通 JPMorgan Chase & Co. 1480000 39800000 1.9900 S 41280000 2.0600 S Ordinary Shares
2016-02-19 摩根大通 JPMorgan Chase & Co. 115355567 5.7600 L 113519567 5.6700 L Ordinary Shares
2016-02-18 摩根大通 JPMorgan Chase & Co. 71379567 3.5600 P 71379567 3.5600 P Ordinary Shares
2016-02-18 摩根大通 JPMorgan Chase & Co. 21672000 1.0800 S 39800000 1.9900 S Ordinary Shares
2016-02-18 摩根大通 JPMorgan Chase & Co. 19548000 134903567 6.7400 L 115355567 5.7600 L Ordinary Shares
2016-02-03 花旗集团 Citigroup Inc. 19737656 0.9800 P 19737656 0.9800 P Ordinary Shares
2016-02-03 花旗集团 Citigroup Inc. 14400000 0.7200 S 14400000 0.7200 S Ordinary Shares
2016-02-03 花旗集团 Citigroup Inc. 302142000 336686656 16.8300 L 34544656 1.7200 L Ordinary Shares
2016-02-02 Asia Health Century International Inc. 148500000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 Asia Health Century International Inc. 148529000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 陈笑妍 Chen Xiaoyan 148500000 964816953 48.2400 L 964816953 48.2400 L Ordinary Shares
2016-02-02 陈笑妍 Chen Xiaoyan 148529000 964816953 48.2400 L 964816953 48.2400 L Ordinary Shares
2016-02-02 Global Health Century International Group Limited 148500000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 Global Health Century International Group Limited 148529000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 1969 JT Limited 148529000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 1969 JT Limited 148500000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 Brock Nominees Limited 148529000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 Brock Nominees Limited 148500000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 Tenby Nominees Limited 148529000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 Tenby Nominees Limited 148500000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 Credit Suisse Trust Limited 148500000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 Credit Suisse Trust Limited 148529000 960014953 48.0000 L 960014953 48.0000 L Ordinary Shares
2016-02-02 隆成集团(控股)有限公司 Lerado Group (Holding) Company Limited 148529000 0 0.0000 L 148529000 7.4300 L Ordinary Shares
2016-02-02 Wonder Time Holdings Limited 148529000 0 0.0000 L 148529000 7.4300 L Ordinary Shares
2016-02-02 Lerado Group Limited 148529000 0 0.0000 L 148529000 7.4300 L Ordinary Shares
2016-02-02 BlackMarble Capital Limited 148529000 0 0.0000 L 148529000 7.4300 L Ordinary Shares
2016-02-02 汇隆控股有限公司 WLS Holdings Limited 148500000 0 0.0000 L 148500000 7.4300 L Ordinary Shares
2016-02-02 金徽香港有限公司 Gold Medal Hong Kong Limited 148500000 0 0.0000 L 148500000 7.4300 L Ordinary
2016-02-02 花旗集团 Citigroup Inc. 19652657 0.9800 P 19737656 0.9800 P Ordinary Shares
2016-02-02 花旗集团 Citigroup Inc. 14400000 0.7200 S 14400000 0.7200 S Ordinary Shares
2016-02-02 花旗集团 Citigroup Inc. 44873001 381559657 19.0700 L 336686656 16.8300 L Ordinary Shares
2016-02-01 1969 JT Limited 5113000 965127953 48.2600 L 960014953 48.0000 L Ordinary
2016-02-01 Brock Nominees Limited 5113000 965127953 48.2600 L 960014953 48.0000 L Ordinary
2016-02-01 Tenby Nominees Limited 5113000 965127953 48.2600 L 960014953 48.0000 L Ordinary
2016-02-01 Credit Suisse Trust Limited 5113000 965127953 48.2600 L 960014953 48.0000 L Ordinary
2016-02-01 Asia Health Century International Inc. 5113000 965127953 48.2600 L 960014953 48.0000 L Ordinary
2016-02-01 陈笑妍 Chen Xiaoyan 5113000 969929953 48.5000 L 964816953 48.2400 L Ordinary
2016-02-01 Global Health Century International Group Limited 5113000 965127953 48.2600 L 960014953 48.0000 L Ordinary
2016-01-29 1969 JT Limited 80964182 1046092135 52.3000 L 965127953 48.2600 L Ordinary
2016-01-29 1969 JT Limited 8441000 1037651135 51.8800 L 1046092135 52.3000 L Ordinary
2016-01-29 Brock Nominees Limited 80964182 1046092135 52.3000 L 965127953 48.2600 L Ordinary
2016-01-29 Brock Nominees Limited 8441000 1037651135 51.8800 L 1046092135 52.3000 L Ordinary
2016-01-29 Tenby Nominees Limited 80964182 1046092135 52.3000 L 965127953 48.2600 L Ordinary
2016-01-29 Tenby Nominees Limited 8441000 1037651135 51.8800 L 1046092135 52.3000 L Ordinary
2016-01-29 Credit Suisse Trust Limited 8441000 1037651135 51.8800 L 1046092135 52.3000 L Ordinary
2016-01-29 Credit Suisse Trust Limited 80964182 1046092135 52.3000 L 965127953 48.2600 L Ordinary
2016-01-29 Asia Health Century International Inc. 80964182 1046092135 52.3000 L 965127953 48.2600 L Ordinary
2016-01-29 陈笑妍 Chen Xiaoyan 80964182 1050894135 52.5400 L 969929953 48.5000 L Ordinary
2016-01-29 Global Health Century International Group Limited 80964182 1046092135 52.3000 L 965127953 48.2600 L Ordinary
2016-01-29 中融国际信托有限公司 Zhongrong International Trust Limited 211414818 398000000 19.9000 L 186585182 9.3300 L Ordinary
2016-01-29 Zhongrong International Trust Co. Ltd. 56000000 186585182 9.3300 L 242585182 12.1300 L Ordinary
2016-01-29 Zhongrong International Alternative Asset Management Limited 211414818 398000000 19.9000 L 186585182 9.3300 L Ordinary
2016-01-29 Zhongrong International Alternative Asset Management Limited 56000000 186585182 9.3300 L 242585182 12.1300 L Ordinary
2016-01-29 Asia Health Century International Inc. 8441000 1037651135 51.8800 L 1046092135 52.3000 L Ordinary
2016-01-29 陈笑妍 Chen Xiaoyan 8441000 1042453135 52.1200 L 1050894135 52.5400 L Ordinary
2016-01-29 Global Health Century International Group Limited 8441000 1037651135 51.8800 L 1046092135 52.3000 L Ordinary
2016-01-29 花旗集团 Citigroup Inc. 19652657 0.9800 P 19652657 0.9800 P Ordinary Shares
2016-01-29 花旗集团 Citigroup Inc. 16469000 0.8200 S 14400000 0.7200 S Ordinary Shares
2016-01-29 花旗集团 Citigroup Inc. 345299000 36260657 1.8100 L 381559657 19.0700 L Ordinary Shares
2016-01-29 陈笑妍 Chen Xiaoyan 44958000 644453135 32.2200 L 599495135 29.9700 L Ordinary
2016-01-29 交通银行股份有限公司 Bank of Communication Co. Ltd. 40990000 112224182 5.6100 L 71234182 3.5600 L H Shares
2016-01-28 1969 JT Limited 4363000 1033288135 51.6600 L 1037651135 51.8800 L Ordinary
2016-01-28 Brock Nominees Limited 4363000 1033288135 51.6600 L 1037651135 51.8800 L Ordinary
2016-01-28 Tenby Nominees Limited 4363000 1033288135 51.6600 L 1037651135 51.8800 L Ordinary
2016-01-28 Credit Suisse Trust Limited 4363000 1033288135 51.6600 L 1037651135 51.8800 L Ordinary
2016-01-28 Zhongrong International Alternative Asset Management Limited 4363000 1436090135 71.8000 L 1440453135 72.0200 L Ordinary
2016-01-28 Zhongrong International Alternative Asset Management Limited 398000000 19.9000 S 398000000 19.9000 S Ordinary
2016-01-28 中融国际信托有限公司 Zhongrong International Trust Limited 398000000 19.9000 S 398000000 19.9000 S Ordinary
2016-01-28 中融国际信托有限公司 Zhongrong International Trust Limited 398000000 1436090135 71.8000 L 1440453135 72.0200 L Ordinary
2016-01-28 Global Health Century International Group Limited 4363000 635288135 31.7600 L 639651135 31.9800 L Ordinary
2016-01-28 陈笑妍 Chen Xiaoyan 4363000 640090135 32.0000 L 644453135 32.2200 L Ordinary
2016-01-28 Asia Health Century International Inc. 4363000 635288135 31.7600 L 639651135 31.9800 L Ordinary
2016-01-27 1969 JT Limited 398000000 635288135 31.7600 L 1033288135 51.6600 L Ordinary Shares
2016-01-27 Brock Nominees Limited 398000000 635288135 31.7600 L 1033288135 51.6600 L Ordinary Shares
2016-01-27 Tenby Nominees Limited 398000000 635288135 31.7600 L 1033288135 51.6600 L Ordinary Shares
2016-01-27 Credit Suisse Trust Limited 398000000 635288135 31.7600 L 1033288135 51.6600 L Ordinary Shares
2016-01-27 Asia Health Century International Inc. 398000000 635288135 31.7600 L 1033288135 51.6600 L Ordinary
2016-01-27 陈笑妍 Chen Xiaoyan 398000000 640090135 32.0000 L 1038090135 51.9000 L Ordinary
2016-01-27 Global Health Century International Group Limited 398000000 635288135 31.7600 L 1033288135 51.6600 L Ordinary
2016-01-27 中融国际信托有限公司 Zhongrong International Trust Limited 398000000 398000000 19.9000 S Ordinary
2016-01-27 中融国际信托有限公司 Zhongrong International Trust Limited 398000000 0 0.0000 L 1436090135 71.8000 L Ordinary
2016-01-27 Zhongrong International Alternative Asset Management Limited 398000000 398000000 19.9000 S Ordinary
2016-01-27 Zhongrong International Alternative Asset Management Limited 398000000 0 0.0000 L 1436090135 71.8000 L Ordinary
2016-01-27 Global Health Century International Group Limited 398000000 1033288135 51.6600 L 635288135 31.7600 L Ordinary
2016-01-27 陈笑妍 Chen Xiaoyan 398000000 1038090135 51.9000 L 640090135 32.0000 L Ordinary
2016-01-27 Asia Health Century International Inc. 398000000 1033288135 51.6600 L 635288135 31.7600 L Ordinary
2016-01-13 1969 JT Limited 16000 1033272135 51.6600 L 1033288135 51.6600 L Ordinary
2016-01-13 Brock Nominees Limited 16000 1033272135 51.6600 L 1033288135 51.6600 L Ordinary
2016-01-13 Tenby Nominees Limited 16000 1033272135 51.6600 L 1033288135 51.6600 L Ordinary
2016-01-13 Asia Health Century International Inc. 16000 1033272135 51.6600 L 1033288135 51.6600 L Ordinary
2016-01-13 Credit Suisse Trust Limited 16000 1033272135 51.6600 L 1033288135 51.6600 L Ordinary
2016-01-13 陈笑妍 Chen Xiaoyan 16000 1038074135 51.9000 L 1038090135 51.9000 L Ordinary
2016-01-13 Global Health Century International Group Limited 16000 1033272135 51.6600 L 1033288135 51.6600 L Ordinary
2015-12-28 陈笑妍 Chen Xiaoyan 4802000 1033272135 51.6600 L 1038074135 51.9000 L Ordinary
2015-11-17 LSV Asset Management 824000 99358000 4.9700 L 100182000 5.0100 L Common
2015-11-02 摩根大通 JPMorgan Chase & Co. 71465567 3.5700 P 71465567 3.5700 P Ordinary Shares
2015-11-02 摩根大通 JPMorgan Chase & Co. 20470000 1.0200 S 20470000 1.0200 S Ordinary Shares
2015-11-02 摩根大通 JPMorgan Chase & Co. 2196000 119539567 5.9700 L 121735567 6.0800 L Ordinary Shares
2015-10-27 摩根大通 JPMorgan Chase & Co. 71465567 3.5700 P 71465567 3.5700 P Ordinary Shares
2015-10-27 摩根大通 JPMorgan Chase & Co. 62000 20520000 1.0200 S 20582000 1.0200 S Ordinary Shares
2015-10-27 摩根大通 JPMorgan Chase & Co. 4184000 97495567 4.8700 L 101679567 5.0800 L Ordinary Shares
2015-10-22 Asia Health Century International Inc. 9300000 1023972135 51.2000 L 1033272135 51.6600 L Ordinary
2015-10-22 陈笑妍 Chen Xiaoyan 9300000 1023972135 51.2000 L 1033272135 51.6600 L Ordinary
2015-10-22 Global Health Century International Group Limited 9300000 1023972135 51.2000 L 1033272135 51.6600 L Ordinary
2015-10-22 1969 JT Limited 9300000 1023972135 51.2000 L 1033272135 51.6600 L Ordinary
2015-10-22 Brock Nominees Limited 9300000 1023972135 51.2000 L 1033272135 51.6600 L Ordinary
2015-10-22 Tenby Nominees Limited 9300000 1023972135 51.2000 L 1033272135 51.6600 L Ordinary
2015-10-22 Credit Suisse Trust Limited 9300000 1023972135 51.2000 L 1033272135 51.6600 L Ordinary
2015-10-20 1969 JT Limited 14409000 1009563135 50.4800 L 1023972135 51.2000 L Ordinary
2015-10-20 Asia Health Century International Inc. 14409000 1009563135 50.4800 L 1023972135 51.2000 L Ordinary
2015-10-20 Brock Nominees Limited 14409000 1009563135 50.4800 L 1023972135 51.2000 L Ordinary
2015-10-20 陈笑妍 Chen Xiaoyan 14409000 1009563135 50.4800 L 1023972135 51.2000 L Ordinary
2015-10-20 Global Health Century International Group Limited 14409000 1009563135 50.4800 L 1023972135 51.2000 L Ordinary
2015-10-20 Tenby Nominees Limited 14409000 1009563135 50.4800 L 1023972135 51.2000 L Ordinary
2015-10-20 Credit Suisse Trust Limited 14409000 1009563135 50.4800 L 1023972135 51.2000 L Ordinary
2015-10-16 1969 JT Limited 14739000 994824135 49.7400 L 1009563135 50.4800 L Ordinary
2015-10-16 Asia Health Century International Inc. 14739000 994824135 49.7400 L 1009563135 50.4800 L Ordinary
2015-10-16 Brock Nominees Limited 14739000 994824135 49.7400 L 1009563135 50.4800 L Ordinary
2015-10-16 陈笑妍 Chen Xiaoyan 14739000 994824135 49.7400 L 1009563135 50.4800 L Ordinary
2015-10-16 Tenby Nominees Limited 14739000 994824135 49.7400 L 1009563135 50.4800 L Ordinary
2015-10-16 Global Health Century International Group Limited 14739000 994824135 49.7400 L 1009563135 50.4800 L Ordinary
2015-10-16 Credit Suisse Trust Limited 14739000 994824135 49.7400 L 1009563135 50.4800 L Ordinary
2015-10-06 摩根大通 JPMorgan Chase & Co. 71895567 3.5900 P 71895567 3.5900 P Ordinary Shares
2015-10-06 摩根大通 JPMorgan Chase & Co. 421000 22011000 1.1000 S 21590000 1.0700 S Ordinary Shares
2015-10-06 摩根大通 JPMorgan Chase & Co. 5931000 104918567 5.2400 L 98987567 4.9400 L Ordinary Shares
2015-09-25 Tenby Nominees Limited 28949000 965875135 48.2900 L 994824135 49.7400 L Ordinary
2015-09-25 摩根大通 JPMorgan Chase & Co. 71895567 3.5900 P 71895567 3.5900 P Ordinary Shares
2015-09-25 摩根大通 JPMorgan Chase & Co. 21724000 1.0800 S 21724000 1.0800 S Ordinary Shares
2015-09-25 摩根大通 JPMorgan Chase & Co. 17207000 133181567 6.6500 L 115974567 5.7900 L Ordinary Shares
2015-09-25 Global Health Century International Group Limited 28949000 965875135 48.2900 L 994824135 49.7400 L Ordinary
2015-09-25 Credit Suisse Trust Limited 28949000 965875135 48.2900 L 994824135 49.7400 L Ordinary
2015-09-25 陈笑妍 Chen Xiaoyan 28949000 965875135 48.2900 L 994824135 49.7400 L Ordinary
2015-09-25 Brock Nominees Limited 28949000 965875135 48.2900 L 994824135 49.7400 L Ordinary
2015-09-25 Asia Health Century International Inc. 28949000 965875135 48.2900 L 994824135 49.7400 L Ordinary
2015-09-25 1969 JT Limited 28949000 965875135 48.2900 L 994824135 49.7400 L Ordinary
2015-09-22 摩根大通 JPMorgan Chase & Co. 81212967 4.0600 P 71895567 3.5900 P Ordinary Shares
2015-09-22 摩根大通 JPMorgan Chase & Co. 22004000 1.1000 S 21724000 1.0800 S Ordinary Shares
2015-09-22 摩根大通 JPMorgan Chase & Co. 9597400 142632967 7.1300 L 133035567 6.6500 L Ordinary Shares
2015-09-17 1969 JT Limited 1577000 964298135 48.2100 L 965875135 48.2900 L Ordinary Shares
2015-09-17 Asia Health Century International Inc. 1577000 964298135 48.2100 L 965875135 48.2900 L Ordinary
2015-09-17 Brock Nominees Limited 1577000 964298135 48.2100 L 965875135 48.2900 L Ordinary Shares
2015-09-17 陈笑妍 Chen Xiaoyan 1577000 964298135 48.2100 L 965875135 48.2900 L Ordinary
2015-09-17 Global Health Century International Group Limited 1577000 964298135 48.2100 L 965875135 48.2900 L Ordinary
2015-09-17 Tenby Nominees Limited 1577000 964298135 48.2100 L 965875135 48.2900 L Ordinary Shares
2015-09-17 Credit Suisse Trust Limited 1577000 964298135 48.2100 L 965875135 48.2900 L Ordinary Shares
2015-09-16 1969 JT Limited 21502000 942796135 47.1400 L 964298135 48.2100 L Ordinary
2015-09-16 Asia Health Century International Inc. 21502000 942796135 47.1400 L 964298135 48.2100 L Ordinary
2015-09-16 Brock Nominees Limited 21502000 942796135 47.1400 L 964298135 48.2100 L Ordinary
2015-09-16 陈笑妍 Chen Xiaoyan 21502000 942796135 47.1400 L 964298135 48.2100 L Ordinary
2015-09-16 Global Health Century International Group Limited 21502000 942796135 47.1400 L 964298135 48.2100 L Ordinary
2015-09-16 Tenby Nominees Limited 21502000 942796135 47.1400 L 964298135 48.2100 L Ordinary
2015-09-16 Credit Suisse Trust Limited 21502000 942796135 47.1400 L 964298135 48.2100 L Ordinary
2015-08-17 摩根大通 JPMorgan Chase & Co. 81212967 4.0600 P 81212967 4.0600 P Ordinary Shares
2015-08-17 摩根大通 JPMorgan Chase & Co. 18940000 4074000 0.2000 S 23014000 1.1500 S Ordinary Shares
2015-08-17 摩根大通 JPMorgan Chase & Co. 18927000 128366967 6.4100 L 147293967 7.3600 L Ordinary Shares
2015-08-14 摩根大通 JPMorgan Chase & Co. 81212967 4.0600 P 81212967 4.0600 P Ordinary Shares
2015-08-14 摩根大通 JPMorgan Chase & Co. 18940000 23014000 1.1500 S 4074000 0.2000 S Ordinary Shares
2015-08-14 摩根大通 JPMorgan Chase & Co. 18940000 147306967 7.3600 L 128366967 6.4100 L Ordinary Shares
2015-08-11 摩根大通 JPMorgan Chase & Co. 81117967 4.0500 P 81178967 4.0500 P Ordinary Shares
2015-08-11 摩根大通 JPMorgan Chase & Co. 18940000 4074000 0.2000 S 23014000 1.1500 S Ordinary Shares
2015-08-11 摩根大通 JPMorgan Chase & Co. 19001000 128628967 6.4300 L 147629967 7.3800 L Ordinary Shares
2015-08-10 摩根大通 JPMorgan Chase & Co. 18940000 147568967 7.3700 L 128628967 6.4300 L Ordinary Shares
2015-08-10 摩根大通 JPMorgan Chase & Co. 18940000 23014000 1.1500 S 4074000 0.2000 S Ordinary Shares
2015-08-10 摩根大通 JPMorgan Chase & Co. 81117967 4.0500 P 81117967 4.0500 P Ordinary Shares
2015-08-03 摩根大通 JPMorgan Chase & Co. 83717967 4.1800 P 83717967 4.1800 P Ordinary Shares
2015-08-03 摩根大通 JPMorgan Chase & Co. 18940000 1554000 0.0700 S 20494000 1.0200 S Ordinary Shares
2015-08-03 摩根大通 JPMorgan Chase & Co. 18999000 128599967 6.4200 L 147598967 7.3700 L Ordinary Shares
2015-07-31 摩根大通 JPMorgan Chase & Co. 83717967 4.1800 P 83717967 4.1800 P Ordinary Shares
2015-07-31 摩根大通 JPMorgan Chase & Co. 17554000 0.8700 S 1554000 0.0700 S Ordinary Shares
2015-07-31 摩根大通 JPMorgan Chase & Co. 16000000 144599967 7.2200 L 128599967 6.4200 L Ordinary Shares
2015-07-16 摩根大通 JPMorgan Chase & Co. 1226000 138822967 6.9400 L 140048967 7.0000 L Ordinary Shares
2015-07-16 摩根大通 JPMorgan Chase & Co. 854000 0.0400 S 854000 0.0400 S Ordinary Shares
2015-07-16 摩根大通 JPMorgan Chase & Co. 94717967 4.7300 P 94717967 4.7300 P Ordinary Shares
2015-06-12 Target Asset Management Pte Ltd 2830000 100953000 5.0500 L 98123000 4.9100 L Ordinary Shares
2015-06-12 Target Value Fund 2830000 100953000 5.0500 L 98123000 4.9100 L Ordinary Shares
2015-06-12 丁玉龙 Teng Ngiek Lian 2830000 100953000 5.0500 L 98123000 4.9100 L Ordinary Shares
2015-04-02 AMG Holdings Limited 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC Capital Partners 2013 PCC 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC Capital Partners Advisory Company Limited 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC Capital Partners Asia III Limited 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC Capital Partners Asia Pacific III L.P. 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC Capital Partners Finance Limited 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC Capital Partners SICAV-FIS S.A. 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC Group Holdings L.P. 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC MMXII Limited 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 CVC Portfolio Holdings Limited 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-04-02 摩根大通 JPMorgan Chase & Co. 40739567 2.0300 P 80986367 4.0400 P Ordinary Shares
2015-04-02 摩根大通 JPMorgan Chase & Co. 0 0.0000 S 0 0.0000 S Ordinary Shares
2015-04-02 摩根大通 JPMorgan Chase & Co. 40246800 82123567 4.1000 L 122370367 6.1100 L Ordinary Shares
2015-04-02 CVC Group Limited 97164903 137164903 6.8600 L 40000000 2.0000 L Ordinary Shares
2015-03-31 1969 JT Limited 40000000 902796135 45.1400 L 942796135 47.1400 L Ordinary
2015-03-31 Asia Health Century International Inc. 40000000 902796135 45.1400 L 942796135 47.1400 L Ordinary Shares
2015-03-31 Brock Nominees Limited 40000000 902796135 45.1400 L 942796135 47.1400 L Ordinary
2015-03-31 陈笑妍 Chen Xiaoyan 40000000 902796135 45.1400 L 942796135 47.1400 L Ordinary Shares
2015-03-31 Global Health Century International Group Limited 40000000 902796135 45.1400 L 942796135 47.1400 L Ordinary Shares
2015-03-31 Tenby Nominees Limited 40000000 902796135 45.1400 L 942796135 47.1400 L Ordinary
2015-03-31 Credit Suisse Trust Limited 40000000 902796135 45.1400 L 942796135 47.1400 L Ordinary Shares
2015-03-31 AMG Holdings Limited 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Capital Partners 2013 PCC 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Capital Partners Advisory Company Limited 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Capital Partners Asia III Limited 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Capital Partners Asia Pacific III L.P. 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Capital Partners Finance Limited 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Capital Partners SICAV-FIS S.A. 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Group Holdings L.P. 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Group Limited 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC MMXII Limited 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2015-03-31 CVC Portfolio Holdings Limited 40000000 137164903 6.8600 L 137164903 6.8600 L Ordinary Shares
2014-10-10 AMG Holdings Limited 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC Capital Partners 2013 PCC 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC Capital Partners Advisory Company Limited 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC Capital Partners Asia III Limited 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC Capital Partners Asia Pacific III L.P. 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC Capital Partners Finance Limited 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC Capital Partners SICAV-FIS S.A. 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC Group Holdings L.P. 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC MMXII Limited 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-10-10 CVC Portfolio Holdings Limited 185500000 322664903 16.1300 L 137164903 6.8600 L Ordinary Shares
2014-06-27 Target Asset Management Pte Ltd 2082000 99658000 4.9800 L 101740000 5.0900 L Ordinary Shares
2014-06-27 丁玉龙 Teng Ngiek Lian 2082000 99658000 4.9800 L 101740000 5.0900 L Ordinary Shares
2014-06-27 Target Value Fund 2082000 99658000 4.9800 L 101740000 5.0900 L Ordinary Shares
2014-01-08 摩根士丹利 Morgan Stanley 77989957 115793000 5.7800 L 37271999 1.8600 L Ordinary Shares
2014-01-08 摩根士丹利 Morgan Stanley 77989957 82480959 4.1200 S 4621002 0.2300 S Ordinary Shares
2014-01-08 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2014-01-08 AMG Holdings Limited 48910412 48910412 2.4500 S Ordinary Shares
2014-01-08 AMG Holdings Limited 48910412 322664903 16.1300 L 322664903 16.1300 L Ordinary Shares
2014-01-06 摩根士丹利 Morgan Stanley 96334000 4.8100 S 95937000 4.7900 S Ordinary Shares
2014-01-06 摩根士丹利 Morgan Stanley 75000000 184638000 9.2300 L 109638000 5.4800 L Ordinary Shares
2013-12-27 摩根士丹利 Morgan Stanley 903000 179279000 8.9600 L 180182000 9.0000 L Ordinary Shares
2013-12-27 摩根士丹利 Morgan Stanley 96334000 4.8100 S 96334000 4.8100 S Ordinary Shares
2013-12-18 摩根士丹利 Morgan Stanley 174185000 8.7000 L 169225999 8.4600 L Ordinary Shares
2013-12-18 摩根士丹利 Morgan Stanley 20650000 75684000 3.7800 S 96334000 4.8100 S Ordinary Shares
2013-12-16 摩根士丹利 Morgan Stanley 75443000 3.7700 S 75443000 3.7700 S Ordinary Shares
2013-12-16 摩根士丹利 Morgan Stanley 22300000 203310000 10.1600 L 166735000 8.3300 L Ordinary Shares
2013-12-13 摩根士丹利 Morgan Stanley 51020000 125470000 6.2700 L 203310000 10.1600 L Ordinary Shares
2013-12-13 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2013-12-13 摩根士丹利 Morgan Stanley 75670000 3.7800 S 75443000 3.7700 S Ordinary Shares
2013-12-12 1969 JT Limited 902796135 45.1400 L 902796135 45.1400 L Ordinary Shares
2013-12-12 AMG Holdings Limited 48910412 322664903 16.1300 L 322664903 16.1300 L Ordinary Shares
2013-12-12 AMG Holdings Limited 48910412 48910412 2.4500 S Ordinary Shares
2013-12-12 AMG Holdings Limited 322664903 16.1300 L 322664903 16.1300 L Ordinary Shares
2013-12-12 Asia Health Century International Inc. 902796135 45.1400 L 902796135 45.1400 L Ordinary Shares
2013-12-12 Brock Nominees Limited 902796135 45.1400 L 902796135 45.1400 L Ordinary Shares
2013-12-12 Global Health Century International Group Limited 902796135 45.1400 L 902796135 45.1400 L Ordinary Shares
2013-12-12 Tenby Nominees Limited 902796135 45.1400 L 902796135 45.1400 L Ordinary Shares
2013-12-12 Credit Suisse Trust Limited 902796135 45.1400 L 902796135 45.1400 L Ordinary Shares
2013-12-12 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2013-12-12 摩根士丹利 Morgan Stanley 75000000 0 0.0000 S 75670000 3.7800 S Ordinary Shares
2013-12-12 摩根士丹利 Morgan Stanley 75000000 0 0.0000 L 125470000 6.2700 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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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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  • 【美股医疗保险和医院类股周一集体下跌,因投资者关注美国大法官的接任及奥巴马医改的不确定性】道指成分股中,默沙东、WBA跌超3%,联合健康、强生跌超2%。 医疗补助保险公司Centene和Molina Health跌超8%。 医院运营商股价也集体下跌,Tenet Healthcare跌超13%,Universal Health Services跌超8%,Community Health Systems跌超6%。

  • 【恒指周四收盘跌2.65% 电子消费股领跌】周四恒生指数收盘跌718.91点,跌幅2.65%,报26441.72点,国企指数跌2.79%,报10322.30点,红筹指数跌3.63%,报4125.88点。电子消费类股领跌,瑞声科技、舜宇光学科技跌超7%,蒙牛乳业跌6.92%,中国移动和金沙中国跌逾4%。医药类小市值股涨幅巨大,中国医疗集团涨393%,大健康国际和精优药业涨幅超过100%。

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