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安东油田服务(hk03337)-基本信息

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行情信息

今开价:0.32

最高价:0.35

成交量:1.0532E7

昨收价:0.335

最低价:0.315

最新价:0.34

行情图标
概要信息

中文名称:安东油田服务


英文名称:Anton Oilfield


行业:石油/燃气设备及服务


简介:安东石油技术(集团)有限公司成立于1998年,总部位于北京,国际公司总部位于迪拜,是一家在香港联交所主板上市的专业油田技术服务公司,是具有核心竞争力的、充满活力的、持续快速发展的高新技术企业,是国有油田服务力量的有益补充


网址:http://www.antonoil.com


电话:010-57397788


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 03337
公司名称(中文) 安东油田服务集团
公司名称(英文) Anton Oilfield Services Group
公司业务 安东油田服务集团是一家投资控股公司,主要从事提供油气田开发的一体化技术服务业务。该公司通过三个业务部门运营。 钻井技术部从事提供工程技术服务与产品业务,以解决油公司所遇到的定向钻井、钻井评估与钻井提速、提高钻遇率及一体化钻井等问题。完井技术部从事提供完井、生产完井的集成方案设计、设备、工具、材料等一体化完井增产服务业务。采油服务部结合油气藏地质需求,从生产运行管理、地面过程服务多角度实现经济化采油。
所属行业 石油及天然气
港股股份数目 3006481855(股)
主席 罗林
主要持股人 Avalon Assets Limited
董事 罗林(执行董事) 罗林(主席) 张永一(独立非执行董事) 朱小平(独立非执行董事) 皮至峰(执行董事) John William Chisholm(非执行董事) Wee Yiaw Hin(独立非执行董事) 范永洪(执行董事)
公司秘书 魏伟峰
注册办事处 PO Box 309 GT, Ugland House South Church Street George Town, Grand Cayman Cayman Islands
公司总部 香港湾仔皇后大道东 248号阳光中心 40楼
股份过户登记处 香港中央证券登记有限公司
核数师 德勤·关黄陈方会计师行
主要往来银行 招商银行,北京银行,上海浦东发展银行
法律顾问 盛德律师事务所,Maples and Calder,天驰君泰律师事务所
公司网址 www.antonoil.com
电邮地址 ir@antonoil.com
电话号码 +86 10 5739 7584
传真号码 0086-10-57397799
二零一九年上半年,虽国际油价整体呈现较大波幅,但由于本集团主要业务所在的两大市场-伊拉克市场及中国市场油气开发受油价波动影响的敏感度低,不受其短期波动影响,资本开支继续增加,油气开发持续活跃。伊拉克市场,政府致力推进其国家重建,大力推进油气产能建设,带来大量项目机会;而面临过高的油气依存度风险,三大油公司积极响应国家号召,大幅增加中国市场油气勘探开发投资,全力提升国内各主要油气区块油气资源的开发力度,以提升油气自主供应,保障国家能源安全。西北新疆天然气市场、西南页岩气等市场开发全面加速。 本集团抓住大好的市场机遇,在持续坚持以「现金流及净资产回报率」为核心经营目标,实现高质量增长的经营管理理念基础上,经营业绩继续取得新的突破。除收入、利润继续保持大幅增长外,本集团在现金流方面的突破更为突出。二零一九年上半年,基于本集团业务结构的持续优化,在整体作业量大幅增长之时,本集团继续严抓从订单、采购、作业到回款的全过程管理,全面提升存货周转,加快应收账款回收,同时继续严控资本支出,在保持利润增长的同时,现金流更取得强劲增长,首次在上半年实现了正的自由现金流,且自由现金流超过二零一八年全年。
本集团的长期战略目标是成为「全球领先的油田技术服务公司」,二零一九年的战略目标,是「成为全球新兴市场内领先的增产降本一体化技术服务公司」。本集团将继续重点瞄准全球油气开发新兴市场,提供增产降本一体化技术服务,持续增加市场份额,并不断提升业务质量,提高资产回报率,创造良好的自由现金流以实现健康的跨越式发展。 市场方面,于伊拉克市场,本集团将继续在马基努油田为客户提供一体化管理服务,帮助客户维持高效的油田运行并扩大产能,同时发挥马基努项目的带动效应以争取更多的项目机会。此外,本集团还将全力拓展在伊拉克的其他国际油公司客户市场,并争取「一体化总包」模式项目的复制;在其他海外市场,在控制风险,确保资金安全的前提下,全力争取优质项目,占据核心市场地位,同时控制风险,在安全的前提下实现快速增长。中国市场,中国政府计划在 2019年进一步加大油气资源开发以保障国家能源安全,中国主要油公司客户预计将进一步大幅增加油气开发资本开支,本集团将抓住该市场机遇,在新技术市场、天然气市场、非常规市场,以及优质的国际油公司客户市场提供高端技术服务,帮助客户快速提升产能。 产品、技术与服务能力方面,本集团将全力打造全方位的产品和服务,以全过程、全系列以及一体化的服务来帮助客户实现其战略目标。同时,重点发展以油藏地质技术为核心的增产、降本专项技术。 战略资源配套方面,本集团将重点投入技术和人才建设,技术方面,以技术合作和自主研发为主;人才方面,借助本集团的品牌优势,吸收具有国际视野的行业领军人才,并加大自主人才的培养力度。于资本支出方面,本集团将坚持「轻资产」的模式,常规设备以对外合作和租赁为主,只投资具有高回报和良好现金流的资产和项目。 财务方面,本集团将持续提升业务质量,以实现良好资产回报率及良好的自由现金流为最终财务目标开展各项工作,质量优先于增长,但又必须保持各项指标的高速增长。同时,继续深化与商业银行等金融机构的良好合作,以确保集团充足的流动性,并获得金融机构对本集团海外发展的支持。

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
2018-11-05 UBS Group AG 7 150953960 5.0300 L 150953960 5.0300 L Ordinary Shares
2018-10-24 UBS Group AG 2000000 149023960 4.9600 L 151023960 5.0300 L Ordinary Shares
2018-10-22 UBS Group AG 658000 150209960 5.0000 L 149551960 4.9800 L Ordinary Shares
2018-10-19 UBS Group AG 20 150209960 5.0000 L 150209960 5.0000 L Ordinary Shares
2018-10-11 UBS Group AG 3032000 147669960 4.9200 L 150701960 5.0200 L Ordinary Shares
2018-10-09 UBS Group AG 3446000 153123960 5.1000 L 149677960 4.9900 L Ordinary Shares
2018-10-09 UBS Group AG 2002000 0.0700 S 2002000 0.0700 S Ordinary Shares
2018-10-03 野村控股公司 Nomura Holdings, Inc. 8465000 365305400 12.1600 S 356840400 11.8800 S Ordinary Shares
2018-10-03 野村控股公司 Nomura Holdings, Inc. 507352400 16.9000 L 507652400 16.9100 L Ordinary Shares
2018-09-27 China Oil HBP Science & Technology Co., Ltd. 206000000 6.8700 S 206000000 6.8700 S Ordinary Shares
2018-09-27 China Oil HBP Science & Technology Co., Ltd. 27498000 383498009 12.7900 L 356000009 11.8600 L Ordinary Shares
2018-09-27 野村控股公司 Nomura Holdings, Inc. 3160500 369291900 12.3100 S 366131400 12.2000 S Ordinary Shares
2018-09-27 野村控股公司 Nomura Holdings, Inc. 507552400 16.9200 L 507552400 16.9200 L Ordinary Shares
2018-09-19 野村控股公司 Nomura Holdings, Inc. 507552400 16.9200 L 507552400 16.9200 L Ordinary Shares
2018-09-19 UBS Group AG 23500000 190223960 6.3400 L 166723960 5.5600 L Ordinary Shares
2018-09-19 UBS Group AG 5824000 0.1900 S 5824000 0.1900 S Ordinary Shares
2018-09-19 野村控股公司 Nomura Holdings, Inc. 23500000 409464400 13.6500 S 385964400 12.8600 S Ordinary Shares
2018-09-10 Pro Development Holdings Corp. 5000000 659140740 21.9700 L 664140740 22.1400 L Ordinary Shares
2018-09-07 野村控股公司 Nomura Holdings, Inc. 3710000 421820400 14.0600 S 418110400 13.9300 S Ordinary Shares
2018-09-07 野村控股公司 Nomura Holdings, Inc. 508352400 16.9400 L 508352400 16.9400 L Ordinary Shares
2018-09-03 野村控股公司 Nomura Holdings, Inc. 133464400 294906000 9.8300 S 428370400 14.2800 S Ordinary Shares
2018-09-03 野村控股公司 Nomura Holdings, Inc. 93236400 415116000 13.8400 L 508352400 16.9400 L Ordinary Shares
2018-08-31 野村控股公司 Nomura Holdings, Inc. 6920000 301826000 10.0600 S 294906000 9.8300 S Ordinary Shares
2018-08-31 野村控股公司 Nomura Holdings, Inc. 415116000 13.8400 L 415116000 13.8400 L Ordinary Shares
2018-08-29 UBS Group AG 5340000 214581960 7.1500 L 209241960 6.9800 L Ordinary Shares
2018-08-29 UBS Group AG 7758000 0.2600 S 7758000 0.2600 S Ordinary Shares
2018-08-28 野村控股公司 Nomura Holdings, Inc. 33848000 340114000 11.3400 S 306266000 10.2100 S Ordinary Shares
2018-08-28 野村控股公司 Nomura Holdings, Inc. 414016000 13.8000 L 414716000 13.8200 L Ordinary Shares
2018-08-27 UBS Group AG 7658000 0.2600 S 7658000 0.2600 S Ordinary Shares
2018-08-27 UBS Group AG 23046000 248229406 8.2800 L 225183406 7.5100 L Ordinary Shares
2018-08-23 野村控股公司 Nomura Holdings, Inc. 0 413272000 13.7700 L 413272000 13.7700 L Ordinary Shares
2018-08-23 野村控股公司 Nomura Holdings, Inc. 7866000 353822000 11.7900 S 345956000 11.5300 S Ordinary Shares
2018-08-21 UBS Group AG 4866000 271975406 9.0700 L 267109406 8.9100 L Ordinary Shares
2018-08-21 UBS Group AG 7658000 0.2600 S 7658000 0.2600 S Ordinary Shares
2018-08-14 野村控股公司 Nomura Holdings, Inc. 206900000 6.8900 S 206900000 6.8900 S Ordinary Shares
2018-08-14 野村控股公司 Nomura Holdings, Inc. 0 207272000 6.9100 L 207272000 6.9100 L Ordinary Shares
2018-08-14 China Oil HBP Science & Technology Co., Ltd. 206000000 206000000 6.8700 S Ordinary Shares
2018-08-14 China Oil HBP Science & Technology Co., Ltd. 206000000 383498009 12.7900 L 383498009 12.7900 L Ordinary Shares
2018-08-14 UBS Group AG 7658000 0.2600 S 7658000 0.2600 S Ordinary Shares
2018-08-14 UBS Group AG 148000000 130375938 4.3500 L 278375938 9.2800 L Ordinary Shares
2018-08-13 China Oil HBP Science & Technology Co., Ltd. 206000000 206000000 6.8700 S Ordinary Shares
2018-08-13 野村控股公司 Nomura Holdings, Inc. 148000000 206900000 6.8900 S 354900000 11.8300 S Ordinary Shares
2018-08-13 野村控股公司 Nomura Holdings, Inc. 206000000 207272000 6.9100 L 413272000 13.7700 L Ordinary Shares
2018-08-13 China Oil HBP Science & Technology Co., Ltd. 383498009 12.7900 L 383498009 12.7900 L Ordinary Shares
2018-08-10 China Oil HBP Science & Technology Co., Ltd. 206000000 206000000 6.8700 S Ordinary Shares
2018-08-10 野村控股公司 Nomura Holdings, Inc. 206000000 900000 0.0300 S 206900000 6.8900 S Ordinary Shares
2018-08-10 野村控股公司 Nomura Holdings, Inc. 206000000 1272000 0.0400 L 207272000 6.9100 L Ordinary Shares
2018-08-10 China Oil HBP Science & Technology Co., Ltd. 206000000 383498009 12.7900 L 383498009 12.7900 L Ordinary Shares
2018-08-08 Hong Kong Huihua Global Technology Limited 15758000 399756009 13.3300 L 383998009 12.8000 L Ordinary Shares
2018-08-08 China Oil HBP Science & Technology Co., Ltd. 15758000 399756009 13.3300 L 383998009 12.8000 L Ordinary Shares
2018-07-27 Pro Development Holdings Corp. 659140740 24.7300 L 659140740 21.9700 L Ordinary Shares
2018-07-27 UBS Group AG 136396938 5.1200 L 136396938 4.5500 L Ordinary Shares
2018-07-27 UBS Group AG 8459000 0.3200 S 8459000 0.2800 S Ordinary Shares
2018-07-27 Hong Kong Huihua Global Technology Limited 334224599 65531410 2.4600 L 399756009 13.3300 L Ordinary Shares
2018-07-27 China Oil HBP Science & Technology Co., Ltd. 334224599 65531410 2.4600 L 399756009 13.3300 L Ordinary Shares
2018-07-16 Pro Development Holdings Corp. 18000000 641140740 24.0600 L 659140740 24.7300 L Ordinary Shares
2018-07-16 Avalon Assets Limited 18000000 641140740 24.0600 L 659140740 24.7300 L Ordinary Shares
2018-07-16 Credit Suisse Trust Limited 18000000 641140740 24.0600 L 659140740 24.7300 L Ordinary Shares
2018-07-13 Pro Development Holdings Corp. 13440000 627700740 23.5500 L 641140740 24.0600 L Ordinary Shares
2018-07-13 Credit Suisse Trust Limited 13440000 627700740 23.5500 L 641140740 24.0600 L Ordinary Shares
2018-07-13 Avalon Assets Limited 13440000 627700740 23.5500 L 641140740 24.0600 L Ordinary Shares
2018-07-12 Pro Development Holdings Corp. 22120000 605580740 22.7200 L 627700740 23.5500 L Ordinary Shares
2018-07-12 Credit Suisse Trust Limited 22120000 605580740 22.7200 L 627700740 23.5500 L Ordinary Shares
2018-07-12 Avalon Assets Limited 22120000 605580740 22.7200 L 627700740 23.5500 L Ordinary Shares
2018-07-06 UBS Group AG 3484002 134538384 5.0500 L 134538384 5.0500 L Ordinary Shares
2018-07-06 UBS Group AG 6725000 0.2500 S 6725000 0.2500 S Ordinary Shares
2018-07-05 UBS Group AG 3490002 134538384 5.0500 L 134538384 5.0500 L Ordinary Shares
2018-07-05 UBS Group AG 6725000 0.2500 S 6725000 0.2500 S Ordinary Shares
2018-07-02 UBS Group AG 9396000 0.3500 S 9396000 0.3500 S Ordinary Shares
2018-07-02 UBS Group AG 436000 137189384 5.1500 L 137189384 5.1500 L Ordinary Shares
2018-06-11 Pro Development Holdings Corp 2000000 603580740 22.6700 L 605580740 22.7200 L Ordinary Shares
2018-06-11 Avalon Assets Limited 2000000 603580740 22.6700 L 605580740 22.7200 L Ordinary Shares
2018-06-11 Credit Suisse Trust Limited 2000000 603580740 22.6700 L 605580740 22.7200 L Ordinary Shares
2018-05-18 UBS Group AG 8924000 0.3400 S 8924000 0.3400 S Ordinary Shares
2018-05-18 UBS Group AG 3800000 130874830 4.9200 L 134674830 5.0600 L Ordinary Shares
2018-05-03 UBS Group AG 4000000 134780830 5.0600 L 130780830 4.9100 L Ordinary Shares
2018-05-03 UBS Group AG 12924000 0.4900 S 8924000 0.3400 S Ordinary Shares
2018-05-02 UBS Group AG 12904000 121876830 4.5800 L 134780830 5.0600 L Ordinary Shares
2018-05-02 UBS Group AG 12924000 0.4900 S 12924000 0.4900 S Ordinary Shares
2018-04-19 Hong Kong De Rui Energy Development Company Limited 67890000 139001604 5.2200 L 71111604 2.6700 L Ordinary Shares
2018-04-16 Hong Kong De Rui Energy Development Company Limited 10360000 167813604 6.3000 L 157453604 5.9200 L Ordinary Shares
2018-03-29 Pro Development Holdings Corp 2000000 601580740 22.6200 L 603580740 22.6700 L Ordinary Shares
2018-03-29 Credit Suisse Trust Limited 2000000 601580740 22.6200 L 603580740 22.6700 L Ordinary Shares
2018-03-29 Avalon Assets Limited 2000000 601580740 22.6200 L 603580740 22.6700 L Ordinary Shares
2018-02-06 Hong Kong De Rui Energy Development Company Limited 14900000 191519604 7.2000 L 176619604 6.6400 L Ordinary Shares
2018-02-05 Hong Kong De Rui Energy Development Company Limited 30100000 221619604 8.3300 L 191519604 7.2000 L Ordinary Shares
2018-01-31 Segantii Capital Management Limited 10052000 140796000 5.2900 L 130744000 4.9100 L H Shares
2018-01-26 Segantii Capital Management Limited 140796000 0 0.0000 L 140796000 5.2900 L H Shares
2017-07-06 Trafalgar Capital Management (HK) Limited 2630000 135211605 5.0800 L 132581605 4.9800 L Common
2017-07-06 Trafalgar Capital Management (HK) Limited 0 0.0000 S 0 0.0000 S Common
2017-07-06 Trafalgar Capital Management (HK) Limited 0 0.0000 P 0 0.0000 P Common
2017-01-25 Pro Development Holdings Corp 601580740 24.6800 L 601580740 22.6200 L Ordinary Shares
2017-01-25 Trafalgar Capital Managment (HK) Limited 0 0.0000 P 0 0.0000 P Common
2017-01-25 Trafalgar Capital Managment (HK) Limited 0 0.0000 S 0 0.0000 S Common
2017-01-25 Trafalgar Capital Managment (HK) Limited 147677605 6.0600 L 147677605 5.5500 L Common
2017-01-25 Schlumberger Far East, Inc. 423361944 423361944 17.3700 L 423361944 15.9200 L Ordinary Shares
2017-01-25 贺良鸿 221619604 0 0.0000 L 221619604 8.3300 L Ordinary Shares
2017-01-25 Hong Kong De Rui Energy Development Company Limited 221619604 0 0.0000 L 221619604 8.3300 L Ordinary Shares
2017-01-25 Avalon Assets Limited 601580740 24.6800 L 601580740 22.6200 L Ordinary Shares
2017-01-25 Credit Suisse Trust Limited 601580740 24.6800 L 601580740 22.6200 L Ordinary Shares
2017-01-03 Trafalgar Capital Managment (HK) Limited 0 0.0000 P 0 0.0000 P Common
2017-01-03 Trafalgar Capital Managment (HK) Limited 45674000 45674000 1.8700 S 0 0.0000 S Common
2017-01-03 Trafalgar Capital Managment (HK) Limited 207753605 8.5200 L 162079605 6.6500 L Common
2016-12-29 Pro Development Holdings Corp 106377410 707958150 29.0400 L 601580740 24.6800 L Ordinary Shares
2016-12-29 Avalon Assets Limited 106377410 707958150 29.0400 L 601580740 24.6800 L Ordinary Shares
2016-12-29 Credit Suisse Trust Limited 106377410 707958150 29.0400 L 601580740 24.6800 L Ordinary Shares
2016-12-13 Trafalgar Capital Management (HK) Limited 17400000 231981605 9.5200 L 214581605 8.8000 L Common
2016-12-13 Trafalgar Capital Management (HK) Limited 17400000 63074000 2.5900 S 45674000 1.8700 S Common
2016-12-13 Trafalgar Capital Management (HK) Limited 0 0.0000 P 0 0.0000 P Common
2016-12-12 Credit Suisse Trust Limited 707958150 31.8700 L 707958150 29.0400 L Ordinary Shares
2016-12-12 Avalon Assets Limited 707958150 31.8700 L 707958150 29.0400 L Ordinary
2016-12-12 Pro Development Holdings Corp 707958150 31.8700 L 707958150 29.0400 L Ordinary Shares
2016-12-06 Trafalgar Capital Managment (HK) Limited 0 0.0000 P 0 0.0000 P Common
2016-12-06 Trafalgar Capital Managment (HK) Limited 63074000 2.5900 S 63074000 2.5900 S Common
2016-12-06 Trafalgar Capital Managment (HK) Limited 1410000 234525605 9.6200 L 233115605 9.5600 L Common
2016-12-01 Trafalgar Capital Managment (HK) Limited 0 0.0000 P 0 0.0000 P Common
2016-12-01 Trafalgar Capital Managment (HK) Limited 63074000 2.8500 S 63074000 2.5900 S Common
2016-12-01 Trafalgar Capital Managment (HK) Limited 221619605 12906000 0.5800 L 234525605 9.6200 L Common
2015-12-16 Pro Development Holdings Corp 3100000 704858150 31.7300 L 707958150 31.8700 L Ordinary Shares
2015-07-17 Pro Development Holdings Corp 700000 704258150 31.7100 L 704958150 31.7400 L Ordinary Shares
2015-07-10 Pro Development Holdings Corp 500000 703758150 31.6800 L 704258150 31.7100 L Ordinary Shares
2015-07-09 Pro Development Holdings Corp 500000 703258150 31.6600 L 703758150 31.6800 L Ordinary Shares
2015-07-08 Pro Development Holdings Corp 1000000 702258150 31.6200 L 703258150 31.6600 L Ordinary Shares
2015-07-07 Pro Development Holdings Corp 1000000 701258150 31.5700 L 702258150 31.6200 L Ordinary Shares
2015-07-03 Pro Development Holdings Corp 1000000 700258150 31.5300 L 701258150 31.5700 L Ordinary Shares
2015-07-02 Pro Development Holdings Corp 500000 699758150 31.5000 L 700258150 31.5300 L Ordinary Shares
2015-06-30 Pro Development Holdings Corp 500000 699258150 31.4800 L 699758150 31.5000 L Ordinary Shares
2015-06-25 Pro Development Holdings Corp 500000 698758150 31.4600 L 699258150 31.4800 L Ordinary Shares
2015-06-24 Pro Development Holdings Corp 500000 698258150 31.4400 L 698758150 31.4600 L Ordinary Shares
2015-06-23 Pro Development Holdings Corp 500000 697758150 31.4100 L 698258150 31.4400 L Ordinary Shares
2015-06-19 Pro Development Holdings Corp 500000 697258150 31.3900 L 697758150 31.4100 L Ordinary Shares
2015-06-18 Pro Development Holdings Corp 1000000 696258150 31.3500 L 697258150 31.3900 L Ordinary Shares
2015-06-17 Pro Development Holdings Corp 506000 695752150 31.3200 L 696258150 31.3500 L Ordinary Shares
2015-06-16 Pro Development Holdings Corp 910000 694842150 31.2800 L 695752150 31.3200 L Ordinary Shares
2015-05-20 Pro Development Holdings Corp 2000000 692842150 31.2000 L 694842150 31.2900 L Ordinary Shares
2015-05-19 Pro Development Holdings Corp 2000000 690842150 31.1100 L 692842150 31.2000 L Ordinary Shares
2015-05-18 Pro Development Holdings Corp 1000000 689842150 31.0800 L 690842150 31.1200 L Ordinary Shares
2015-05-15 Pro Development Holdings Corp 1000000 688842150 31.0500 L 689842150 31.1000 L Ordinary Shares
2015-05-13 Credit Suisse Trust Limited 2000000 686842150 30.9700 L 688842150 31.0600 L Ordinary Shares
2015-05-13 Avalon Assets Limited 2000000 686842150 30.9700 L 688842150 31.0600 L Ordinary
2015-05-13 Pro Development Holdings Corp 2000000 686842150 30.9700 L 688842150 31.0600 L Ordinary Shares
2015-05-12 Pro Development Holdings Corp 2000000 684842150 30.8800 L 686842150 30.9700 L Ordinary Shares
2015-05-11 Pro Development Holdings Corp 2000000 682842150 30.7900 L 684842150 30.8800 L Ordinary Shares
2015-05-08 Pro Development Holdings Corp 2000000 680842150 30.7100 L 682842150 30.8000 L Ordinary Shares
2015-05-07 Pro Development Holdings Corp 2000000 678842150 30.6200 L 680842150 30.7100 L Ordinary Shares
2015-05-06 Pro Development Holdings Corp 2000000 678842150 30.5300 L 678842150 30.6200 L Ordinary Shares
2015-03-20 UBS Group AG 12840252 113716589 5.1400 L 100876337 4.5600 L Ordinary
2015-03-20 UBS Group AG 4456000 0.2000 S 1150000 0.0500 S Ordinary
2015-03-20 瑞士银行 UBS AG 4456000 0.2000 S 1150000 0.0500 S Ordinary
2015-03-20 瑞士银行 UBS AG 12840252 113716589 5.1400 L 100876337 4.5600 L Ordinary
2015-03-18 UBS Group AG 8044828 113832589 5.1400 L 114972589 5.1900 L Ordinary
2015-03-18 UBS Group AG 5508000 0.2500 S 5508000 0.2500 S Ordinary
2015-03-18 瑞士银行 UBS AG 5508000 0.2500 S 5508000 0.2500 S Ordinary
2015-03-18 瑞士银行 UBS AG 8044828 113832589 5.1400 L 114972589 5.1900 L Ordinary
2015-03-17 UBS Group AG 58898000 54934589 2.4800 L 113832589 5.1400 L Ordinary
2015-03-17 UBS Group AG 5508000 0.2500 S 5508000 0.2500 S Ordinary
2015-03-17 瑞士银行 UBS AG 5508000 0.2500 S 5508000 0.2500 S Ordinary
2015-03-17 瑞士银行 UBS AG 58898000 54934589 2.4800 L 113832589 5.1400 L Ordinary
2014-12-01 汇丰控股有限公司 HSBC Holdings plc 3000000 116279947 5.2500 S 110414557 4.9900 S Ordinary
2014-12-01 汇丰控股有限公司 HSBC Holdings plc 3000000 112202403 5.0700 L 109336979 4.9400 L Ordinary
2014-11-28 汇丰控股有限公司 HSBC Holdings plc 3000000 107866979 4.8700 L 112202403 5.0700 L Ordinary Shares
2014-11-28 汇丰控股有限公司 HSBC Holdings plc 3000000 108944557 4.9200 S 116279947 5.2500 S Ordinary Shares
2014-06-18 Pro Development Holdings Corp 1702000 675140150 30.5600 L 676842150 30.6200 L Ordinary Shares
2014-06-17 Pro Development Holdings Corp 466000 674674150 30.5400 L 675140150 30.5400 L Ordinary Shares
2014-06-16 Pro Development Holdings Corp 2000000 672674150 30.4500 L 674674150 30.5400 L Ordinary Shares
2014-06-13 Pro Development Holdings Corp 500000 672174150 30.4300 L 672674150 30.4500 L Ordinary Shares
2014-06-12 Pro Development Holdings Corp 2000000 670174150 30.3400 L 672174150 30.4300 L Ordinary Shares
2014-06-11 Pro Development Holdings Corp 1010000 669164150 30.3000 L 670174150 30.3400 L Ordinary Shares
2014-06-10 Pro Development Holdings Corp 1350000 667814150 30.2400 L 669164150 30.3000 L Ordinary Shares
2014-06-09 Pro Development Holdings Corp 2000000 665814150 30.1500 L 667814150 30.2400 L Ordinary Shares
2014-06-06 Credit Suisse Trust Limited 2000000 663814150 30.0600 L 665814150 30.1500 L Ordinary Shares
2014-06-06 Avalon Assets Limited 2000000 663814150 30.0600 L 665814150 30.1500 L Ordinary
2014-06-06 Pro Development Holdings Corp 2000000 663814150 30.0600 L 665814150 30.1500 L Ordinary Shares
2014-06-05 Pro Development Holdings Corp 2000000 661814150 29.9700 L 663814150 30.0600 L Ordinary Shares
2014-06-05 Credit Suisse Trust Limited 2000000 661814150 29.9700 L 663814150 30.0600 L Ordinary Shares
2014-06-05 Avalon Assets Limited 2000000 661814150 29.9700 L 663814150 30.0600 L Ordinary Shares
2014-06-04 Pro Development Holdings Corp 2000000 659814150 30.0100 L 661814150 29.9700 L Ordinary Shares
2014-06-04 Credit Suisse Trust Limited 2000000 659814150 30.0100 L 661814150 29.9700 L Ordinary Shares
2014-06-04 Avalon Assets Limited 2000000 659814150 30.0100 L 661814150 29.9700 L Ordinary Shares
2014-05-19 Pro Development Holdings Corp 2000000 657814150 29.9700 L 659814150 30.0100 L Ordinary Shares
2014-05-19 Credit Suisse Trust Limited 2000000 657814150 29.9700 L 659814150 30.0100 L Ordinary Shares
2014-05-19 Avalon Assets Limited 2000000 657814150 29.9700 L 659814150 30.0100 L Ordinary Shares
2014-05-16 Avalon Assets Limited 360000 657454150 29.9600 L 657814150 29.9700 L Ordinary
2014-05-16 Credit Suisse Trust Limited 360000 657454150 29.9600 L 657814150 29.9700 L Ordinary Shares
2014-05-16 Pro Development Holdings Corp 360000 657454150 29.9600 L 657814150 29.9700 L Ordinary Shares
2014-05-15 Avalon Assets Limited 1668000 655786150 29.8800 L 657454150 29.9600 L Ordinary
2014-05-15 Credit Suisse Trust Limited 1668000 655786150 29.8800 L 657454150 29.9600 L Ordinary Shares
2014-05-15 Pro Development Holdings Corp 1668000 655786150 29.8800 L 657454150 29.9600 L Ordinary Shares
2014-05-14 Avalon Assets Limited 1840000 653946150 29.8300 L 655786150 29.8800 L Ordinary
2014-05-14 Credit Suisse Trust Limited 1840000 653946150 29.8300 L 655786150 29.8800 L Ordinary Shares
2014-05-14 Pro Development Holdings Corp 1840000 653946150 29.8300 L 655786150 29.8800 L Ordinary Shares
2014-04-08 Seletar Limited 653946150 653946150 30.2400 L 653946150 29.8300 L Ordinary Shares
2014-04-08 Serangoon Limited 653946150 653946150 30.2400 L 653946150 29.8300 L Ordinary Shares
2014-04-08 Pro Development Holdings Corp 653946150 653946150 30.2400 L 653946150 29.8300 L Ordinary Shares
2014-04-08 Credit Suisse Trust Limited 653946150 653946150 30.2400 L 653946150 29.8300 L Ordinary Shares
2014-04-08 Avalon Assets Limited 653946150 653946150 30.2400 L 653946150 29.8300 L Ordinary Shares
2014-01-06 Serangoon Limited 43000000 696946150 32.2300 L 653946150 30.2400 L Ordinary
2014-01-06 Seletar Limited 43000000 696946150 32.2300 L 653946150 30.2400 L Ordinary
2014-01-06 Pro Development Holdings Corp 43000000 696946150 32.2300 L 653946150 30.2400 L Ordinary Shares
2014-01-06 Credit Suisse Trust Limited 43000000 696946150 32.2300 L 653946150 30.2400 L Ordinary
2014-01-06 Avalon Assets Limited 43000000 696946150 32.2300 L 653946150 30.2400 L Ordinary
2013-04-11 Avalon Assets Limited 696946150 696946150 33.1300 L 696946150 32.4800 L Ordinary Shares
2013-04-11 Pro Development Holdings Corp 696946150 696946150 33.1300 L 696946150 32.4800 L Ordinary Shares
2013-04-11 Seletar Limited 696946150 696946150 33.1300 L 696946150 32.4800 L Ordinary Shares
2013-04-11 Serangoon Limited 696946150 696946150 33.1300 L 696946150 32.4800 L Ordinary Shares
2013-04-11 Credit Suisse Trust Limited 696946150 696946150 33.1300 L 696946150 32.4800 L Ordinary Shares
2012-07-12 Erdos Holding Company Limited 269682000 269682000 12.8000 S Ordinary Shares
2012-07-12 Erdos Holding Company Limited 269682000 105318000 4.9900 L 105318000 4.9900 L Ordinary Shares
2012-07-12 China Renaissance Capital Investment GP 269682000 269682000 12.8000 S Ordinary Shares
2012-07-12 China Renaissance Capital Investment GP 269682000 105318000 4.9900 L 105318000 4.9900 L Ordinary Shares
2012-07-12 China Renaissance Capital Investment, L.P. 269682000 269682000 12.8000 S Ordinary Shares
2012-07-12 China Renaissance Capital Investment, L.P. 269682000 105318000 4.9900 L 105318000 4.9900 L Ordinary Shares
2012-07-12 China Harvest Fund, L.P 269682000 269682000 12.8000 S Ordinary Shares
2012-07-12 China Harvest Fund, L.P 269682000 105318000 4.9900 L 105318000 4.9900 L Ordinary Shares
2012-07-06 Erdos Holding Company Limited 269682000 269682000 12.8000 S Ordinary Shares
2012-07-06 Erdos Holding Company Limited 269682000 375000000 17.8000 L 105318000 4.9900 L Ordinary Shares
2012-07-06 China Renaissance Capital Investment GP 269682000 269682000 12.8000 S Ordinary Shares
2012-07-06 China Renaissance Capital Investment GP 269682000 375000000 17.8000 L 105318000 4.9900 L Ordinary Shares
2012-07-06 China Renaissance Capital Investment, L.P. 269682000 269682000 12.8000 S Ordinary Shares
2012-07-06 China Renaissance Capital Investment, L.P. 269682000 375000000 17.8000 L 105318000 4.9900 L Ordinary Shares
2012-07-06 China Harvest Fund, L.P 269682000 269682000 12.8000 S Ordinary Shares
2012-07-06 China Harvest Fund, L.P 269682000 375000000 17.8000 L 105318000 4.9900 L Ordinary Shares
2012-07-06 Schlumberger NV 423361944 0 0.0000 L 423361944 20.1000 L Ordinary Shares
2012-07-05 祝轶菁 Li Yijing Zhu 153679944 153679944 7.2900 L 0 0.0000 L Ordinary Shares
2012-07-05 Eric Xun Li 153679944 153679944 7.2900 L 0 0.0000 L Ordinary Shares
2012-07-05 EXL Holdings, LLC 153679944 153679944 7.2900 L 0 0.0000 L Ordinary Shares
2012-07-05 Chengwei Evergreen Management, LLC 153679944 153679944 7.2900 L 0 0.0000 L Ordinary Shares
2012-07-05 Chengwei Evergreen Capital 153679944 153679944 7.2900 L 0 0.0000 L Ordinary Shares
2012-07-05 Chengwei Anton Holdings Inc. 153679944 153679944 7.2900 L 0 0.0000 L Ordinary Shares
2012-04-13 Serangoon Limited 3900000 693046150 32.9400 L 696946150 33.1300 L Ordinary Shares
2012-04-13 Seletar Limited 3900000 693046150 32.9400 L 696946150 33.1300 L Ordinary Shares
2012-04-13 Pro Development Holdings Corp 3900000 693046150 32.9400 L 696946150 33.1300 L Ordinary Shares
2012-04-13 Credit Suisse Trust Limited 3900000 693046150 32.9400 L 696946150 33.1300 L Ordinary Shares
2012-04-13 Avalon Assets Limited 3900000 693046150 32.9400 L 696946150 33.1300 L Ordinary Shares
2010-03-08 EXL Holdings, LLC 6018000 168368740 8.0400 L 162350740 7.7600 L Ordinary Shares
2010-03-08 Chengwei Evergreen Capital 6018000 168368740 8.0400 L 162350740 7.7600 L Ordinary Shares
2010-03-08 祝轶菁 Li Yijing Zhu 6018000 168368740 8.0400 L 162350740 7.7600 L Ordinary Shares
2010-03-08 Eric Xun Li 6018000 168368740 8.0400 L 162350740 7.7600 L Ordinary Shares
2010-03-08 Chengwei Evergreen Management, LLC 6018000 168368740 8.0400 L 162350740 7.7600 L Ordinary Shares
2010-03-08 Chengwei Anton Holdings Inc. 6018000 168368740 8.0400 L 162350740 7.7600 L Ordinary Shares
2010-02-10 祝轶菁 Li Yijing Zhu 1002000 189230740 9.0400 L 188228740 8.9900 L Ordinary Shares
2010-02-10 EXL Holdings, LLC 1002000 189230740 9.0400 L 188228740 8.9900 L Ordinary Shares
2010-02-10 Eric Xun Li 1002000 189230740 9.0400 L 188228740 8.9900 L Ordinary Shares
2010-02-10 Chengwei Evergreen Management, LLC 1002000 189230740 9.0400 L 188228740 8.9900 L Ordinary Shares
2010-02-10 Chengwei Evergreen Capital 1002000 189230740 9.0400 L 188228740 8.9900 L Ordinary Shares
2010-02-10 Chengwei Anton Holdings Inc. 1002000 189230740 9.0400 L 188228740 8.9900 L Ordinary Shares
2009-11-09 Credit Suisse Trust Limited 22794540 126070875 6.0200 L 103276335 4.9300 L Ordinary Shares
2009-11-09 Elyon Limited 22794540 126070875 6.0200 L 103276335 4.9300 L Ordinary Shares
2009-11-09 Forever Mark Group Limited 22794540 126070875 6.0200 L 103276335 4.9300 L Ordinary Shares
2009-02-18 Seletar Limited 21393575 149486670 7.1400 L 128093095 6.1200 L Ordinary Shares
2009-02-18 Serangoon Limited 21393575 149486670 7.1400 L 128093095 6.1200 L Ordinary Shares
2009-02-18 Elyon Limited 21393575 149486670 7.1400 L 128093095 6.1200 L Ordinary Shares
2009-02-18 Forever Mark Group Limited 21393575 149486670 7.1400 L 128093095 6.1200 L Ordinary Shares
2009-02-18 Credit Suisse Trust Limited 21393575 149486670 7.1400 L 128093095 6.1200 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)
2016-01-19 426000 0.6200 264120.0000 0.620
2016-01-18 3118000 0.6200 1933160.0000 0.620
2016-01-15 176000 0.6200 109120.0000 0.620
2016-01-14 1206000 0.6300 0.6200 757720.0000 0.628
2014-11-20 482000 1.4500 1.4000 689838.4000 1.431
2014-11-19 2000000 1.4500 1.4300 2896600.0000 1.448
2014-11-11 1500000 1.5000 2250000.0000 1.500
2014-03-19 202000 5.0000 4.8600 997981.0000 4.941
2013-07-15 1800000 4.9900 4.9600 8953500.0000 4.974
2013-07-10 150000 4.9900 4.9800 748000.0000 4.987
2013-06-25 40000 5.0000 4.9900 199800.0000 4.995
2013-06-13 338000 5.0000 4.9700 1685860.0000 4.988
2013-04-05 1800000 5.0100 5.0000 9018180.0000 5.010
2013-03-20 220000 5.0000 4.9800 1101531.8100 5.007
2013-03-19 104000 5.0200 522080.0000 5.020

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