首页 保利协鑫能源(hk03800)-基本信息

保利协鑫能源(hk03800)-基本信息

日报更新时间:07-10 18:28

周报更新时间:

行情信息

今开价:0.375

最高价:0.405

成交量:3.830248E8

昨收价:0.375

最低价:0.365

最新价:0.39

行情图标
概要信息

中文名称:保利协鑫能源


英文名称:GCL-Poly


行业:环保产品及服务


简介:保利协鑫是全球领先的多晶硅及硅片供应商,为光伏发电提供质优价廉的原材料


网址:http://www.gcl-poly.com.hk


电话:00852-25268368


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 03800
公司名称(中文) 保利协鑫能源控股有限公司
公司名称(英文) GCL-Poly Energy Holdings Limited
公司业务 保利协鑫能源控股有限公司主要从事太阳能行业中多晶硅和硅片的制造和销售业务,并从事光伏电站的开发、建设、运营和管理业务。该公司包括三个业务部门。光伏材料部门主要为光伏行业公司制造和销售多晶硅和硅片。光伏电站部门管理和运营位于美国和中国的光伏电站。新能源部门开发、建设、运营和管理光伏电站,并制造和销售印刷线路板。
所属行业 工业工程
港股股份数目 19841049207(股)
主席 朱共山
主要持股人 Asia Pacific Energy Fund Limited
董事 朱共山(执行董事) 朱共山(主席) 孙玮(额外执行董事) 何钟泰(独立非执行董事) 叶棣谦(独立非执行董事) 朱钰峰(执行董事) 杨文忠(执行董事) 朱战军(执行董事) 沈文忠(独立非执行董事) 蒋文武(执行董事) 郑雄久(执行董事) 黄文宗(独立非执行董事)
公司秘书 杨文忠
注册办事处 Cricket Square Hutchins Drive PO Box 2681 Grand Cayman KY1-1111 Cayman Islands
公司总部 香港九龙柯士甸道西1号环球贸易广场17楼1703B-1706室
股份过户登记处 卓佳证券登记有限公司
核数师 德勤·关黄陈方会计师行
主要往来银行
法律顾问 富而德律师事务所,Conyers Dill & Pearman
公司网址 http://www.gcl-poly.com.hk
电邮地址 info@gcl-poly.com.hk
电话号码 (852) 2526 8368
传真号码 (852) 2536 9638
2019年上半年,保利协鑫共生产36,592吨多晶硅及14,658兆瓦。截止2019年6月30日,收益达到人民币10,002百万元,较2018年同期减少9.3%;毛利约人民币2,354百万元,较2018年同期减少29.2%;本公司拥有人应占亏损约人民币998百万元,每股基本亏损约人民币5.51分。 协鑫新能源于期内的光伏总装机容量为约7,182兆瓦,较2018同期增加0.6%,光伏发电业务总收入约为人民币3,173百万元,较2018年同期增加17.3%,协鑫新能源集团股东应占利润约人民币410百万元,每股基本盈利约人民币2.15分。 调整战略重塑优势 我们认为光伏制造产业会持续受到结构调整、产业格局重塑、技术和商业模式创新加快等多重因素影响。为把握好行业历史性发展新机遇,保利协鑫全力以赴,审时度势,重塑多重优势。 首先,通过十余年硅材料稳定生产运营管理经验积累的具有自主知识产权的硅料技术,加上2017年收购的美国Sun Edison旗下的硅烷流化床(FBR)技术专利团队和设备,我们有业内最一流的硅材料研发、生产和销售团队;依托近几年孵化的低成本新疆基地,及已工业化量产的徐州FBR产能基地,我们坚信可以把太阳能级及更高端的半导体硅材料主业做的更精细化、更产业化和更低成本化;在2019年上半年,保利协鑫新疆6万吨多晶硅项目首期已于上半年如期达产,产品品质对标国际一流标准,完全达到了替代进口产品的企业宗旨。未来在继续打造世界级的多晶硅基地的同时,我们也积极地探讨寻求多元化的资本运作途径,不排除资产重组回归内地融资的途径。 其次,在长晶切片环节,我们坚持铸锭单晶(鑫单晶)和单晶并举,稳健保持和扩展市占率,为下游客户提供更高性价比的多样化产品组合。我们自主潜心研发近8年的鑫单晶产品一经推出已得到市场的充分认可,并且实现规模化应用,成为硅片主流产品。公司已与多家下游组件生产商签订了供货协议,在下半年将实现月出货量由千万级片到亿片的突破。随着终端客户对鑫单晶产品认证速度的提升,年内鑫单晶产能将提升至10GW以满足日益增长的市场需求。与此同时,我们进一步深化与单晶龙头企业—中环股份的合作,升级战略联盟,推动优势互补。在前期良好默契的合作基础上,新建一个规模高达25GW的单晶硅片生产基地。该项目建成后,将成为全球最大的高效太阳能用单晶硅生产基地。保利协鑫将借此巩固其在单晶硅产品的竞争力并改善公司的产品架构。同时,此项目亦将缓解全球市场光伏材料供给紧缺、填补优质产能缺口,大力促进全球光伏产业平价上网,提高光伏在全球能源转型中的竞争力。 再次,我们认为在平价上网时代,在提高组件性能、降低产业链制造成本方面,除了更高电池转换效率方面持续的技术进步之外,大尺寸硅片也被给予厚望。尺寸的增大有利于提高单块组件的功率绝对值,也有利于降低电池和组件环节的单瓦制造成本。目前以保利协鑫为代表的企业已经可以实现210mm尺寸铸锭单晶的量产供应,基于铸锭单晶的PERC电池的电性能与直拉单晶不相上下,差距可以在0.2%以内。叠加氧含量更低初始衰减更低、面积略大的优势,铸锭单晶与直拉单晶PERC组件的功率表现也可以做到同档输出,不分伯仲。在光伏平价上网时代到来之际,铸锭单晶产品的高性价比已被为电站终端客户广泛的接受和认可。 全面优化资产结构提升资产价值 保利协鑫今年亦把改善资产负债结构,把上市公司的负债率在今年年底前降到合理安全的区间作为控股公司的主要目标。我们具体佈局落地如下:首先通过出售培育期资产和非主营业务等资产,迅速达到控股公司层面降负债和回流现金流的目标;如控股公司于2019年6月4日发佈「可能向中国华能集团出售协鑫新能源之全部已发行股本约51%的合作意向协议」,目标于年内出售协鑫新能源控股权来直接收回上市公司投资收益,快速达到上市公司降负债去槓桿的目标。其次,通过可再利用资产投资相关产业或项目,发挥现有资产再利用价值,实现资产保值。公司在2019年上半年相继发佈「与乐山政府共同筹资设立投资基金」、「与徐州市产业发展引导基金有限公司以及徐州经济技术开发区金龙湖城市投资有限公司共同筹资设立投资基金」、「出售新疆协鑫的31.5%股权」(公告中所披露,此交易的代价约为人民币25亿元,将会为公司贡献收益约人民币16亿元(不包括税务影响))等相关公告;力求加快引进资本,有助达成企业转型与产业升级的发展目标。另外,公司正在与徐州市政府商讨就产能升级进行深化合作,拟将不少于人民币35亿元之固定资产转让予合作项目,进一步优化资产结构。 于旗下子公司协鑫新能源层面,19年上半年已宣佈分别向五凌电力及上海榕耀新能源出售超过1GW光伏电站控股权,以循环公司资本、降低公司债务、减轻项目融资压力,进一步提高资本回报率。
能源是国民经济和社会发展的重要基础,党的十八大后,面对能源供需格局新变化、国际能源发展新趋势,习近平总书记提出了「四个革命、一个合作」能源安全新战略,为推进新时代能源发展提供了重要思路,为推动新旧动能转换指明了方向。在这一能源战略指引下,以光伏为代表的新能源转型步伐不断加快,达到世界领先水平,已经成为我国能源生产和消费革命的重要推动力。保利协鑫作为光伏制造领域的先行者,将始终依托现有优势,聚焦光伏材料主营业务,顺应市场需求,注重能源科技创新和节能减排,推陈出新打造高效产品;与此同时,通过现有资产再利用,发展培育期资产,推进资产出售进程,打造新业务,优化存量业务,提升资产价值。 过去,合作、创新、共赢,促进了光伏产业技术快速迭代、成本大幅下降、应用市场不断扩大,光伏在全球能源体系中的地位不断上升。光伏发电即将成为最主要的替代能源的共识正在形成。未来,纵观全球能源变革与未来能源发展形势,全球光伏产业发展前景广阔。经历了科技进步、产业升级、市场进化、格局再塑的光伏产业,必将会以更加强大、更加健康和有序的新姿态,迎接发展之路的新纪元。虽然光伏产业的升级发展之路会遇到各种困难与阻碍,但我们坚信上下同欲者胜,风雨同舟者兴。感谢始终与保利协鑫并肩作战、共同进退的同道人,我们将坚持稳中求进的工作总基调,以昂扬的斗志,归零的心态,怀抱希望,重新出发,既仰望星空,更脚踏实地,继续团结一致,以雷霆之势去创业、去奋斗! 最后,本人衷心感谢公司董事会、管理团队及全体员工在2019年上半年的辛勤努力,深深感谢公司股东以及各方合作伙伴给予公司的大力支持。

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
2019-06-18 UBS Group AG UBS Group AG 1511000000 1891144439 0.1032 L 380144439 0.0192 L 普通股
2019-06-10 UBS Group AG UBS Group AG 1511000000 302556305 0.0165 L 1813556305 0.0989 L 普通股
2018-07-23 Asia Pacific Energy Fund Limited 173333334 6370388156 34.2700 L 6370388156 34.7000 L Ordinary Shares
2018-07-23 Credit Suisse Trust Limited 173333334 6370388156 34.2700 L 6370388156 34.7000 L Ordinary Shares
2018-06-29 海通证券股份有限公司 Haitong Securities Company Limited 1140000000 1140000000 6.1300 L 0 0.0000 L Ordinary Shares
2018-06-29 海通国际证券集团有限公司 Haitong International Securities Group Limited 1140000000 1140000000 6.1300 L 0 0.0000 L Ordinary Shares
2018-06-29 Haitong International New Energy VIII Limited 1140000000 1140000000 6.1300 L 0 0.0000 L Ordinary Shares
2018-06-29 海通国际控股有限公司 Haitong International Holdings Limited 1140000000 1140000000 6.1300 L 0 0.0000 L Ordinary Shares
2017-06-07 摩根大通 JPMorgan Chase & Co. 68320800 975722608 5.2400 L 907401808 4.8800 L Ordinary Shares
2017-06-07 摩根大通 JPMorgan Chase & Co. 38434140 0.2000 S 38810140 0.2000 S Ordinary Shares
2017-06-07 摩根大通 JPMorgan Chase & Co. 892113704 4.7900 P 822640904 4.4200 P Ordinary Shares
2017-05-16 摩根大通 JPMorgan Chase & Co. 4953500 1120022967 6.0200 L 1115069467 5.9900 L Ordinary Shares
2017-05-16 摩根大通 JPMorgan Chase & Co. 32243140 0.1700 S 31362140 0.1600 S Ordinary Shares
2017-05-16 摩根大通 JPMorgan Chase & Co. 1050869104 5.6500 P 1048215604 5.6300 P Ordinary Shares
2017-05-10 摩根大通 JPMorgan Chase & Co. 12298000 1104986067 5.9400 L 1117284067 6.0100 L Ordinary Shares
2017-05-10 摩根大通 JPMorgan Chase & Co. 35291140 0.1800 S 33946140 0.1800 S Ordinary Shares
2017-05-10 摩根大通 JPMorgan Chase & Co. 1050984204 5.6500 P 1050984204 5.6500 P Ordinary Shares
2017-04-10 摩根大通 JPMorgan Chase & Co. 6192300 1121050967 6.0300 L 1114858667 5.9900 L Ordinary Shares
2017-04-10 摩根大通 JPMorgan Chase & Co. 50106140 0.2600 S 50234140 0.2700 S Ordinary Shares
2017-04-10 摩根大通 JPMorgan Chase & Co. 1046309104 5.6200 P 1042429804 5.6000 P Ordinary Shares
2017-04-07 Credit Suisse Trust Limited 69333333 6370388156 34.2700 L 6370388156 34.2700 L Ordinary Shares
2017-04-07 Asia Pacific Energy Fund Limited 69333333 6370388156 34.2700 L 6370388156 34.2700 L Ordinary Shares
2017-04-03 Templeton Global Advisors Limited 20301000 939999354 5.0600 L 919698354 4.9500 L Ordinary
2017-01-03 Templeton Investment Counsel, LLC 98443370 946073699 5.0900 L 847630329 4.5600 L Ordinary
2017-01-03 摩根大通 JPMorgan Chase & Co. 10409000 1302738729 7.0000 L 1292329729 6.9500 L Ordinary Shares
2017-01-03 摩根大通 JPMorgan Chase & Co. 36121140 0.1900 S 34859140 0.1800 S Ordinary Shares
2017-01-03 摩根大通 JPMorgan Chase & Co. 1248619825 6.7100 P 1237158825 6.6500 P Ordinary Shares
2016-11-18 摩根大通 JPMorgan Chase & Co. 53157192 1491922138 8.0200 L 1438764946 7.7400 L Ordinary Shares
2016-11-18 摩根大通 JPMorgan Chase & Co. 27982478 0.1500 S 26836140 0.1400 S Ordinary Shares
2016-11-18 摩根大通 JPMorgan Chase & Co. 1289361426 6.9300 P 1289361426 6.9300 P Ordinary Shares
2016-11-11 摩根大通 JPMorgan Chase & Co. 1275382426 6.8600 P 1289382426 6.9300 P Ordinary Shares
2016-11-11 摩根大通 JPMorgan Chase & Co. 27500478 0.1400 S 30146478 0.1600 S Ordinary Shares
2016-11-11 摩根大通 JPMorgan Chase & Co. 13465984 1486628154 7.9900 L 1500094138 8.0700 L Ordinary Shares
2016-11-03 摩根大通 JPMorgan Chase & Co. 1277303426 6.8700 P 1275443426 6.8600 P Ordinary Shares
2016-11-03 摩根大通 JPMorgan Chase & Co. 29008478 0.1500 S 30158478 0.1600 S Ordinary Shares
2016-11-03 摩根大通 JPMorgan Chase & Co. 1444000 1487234154 8.0000 L 1485790154 7.9900 L Ordinary Shares
2016-07-11 海通国际控股有限公司 Haitong International Holdings Limited 179393704 960606296 5.1700 L 1140000000 6.1300 L Ordinary
2016-07-11 Haitong International New Energy VIII Limited 179393704 960606296 5.1700 L 1140000000 6.1300 L Ordinary
2016-07-11 海通国际证券集团有限公司 Haitong International Securities Group Limited 179393704 960606296 5.1700 L 1140000000 6.1300 L Ordinary
2016-07-11 海通证券股份有限公司 Haitong Securities Company Limited 179393704 960606296 5.1700 L 1140000000 6.1300 L Ordinary
2016-07-08 海通国际控股有限公司 Haitong International Holdings Limited 960606296 746004817 4.0100 L 960606296 5.1700 L Ordinary Shares
2016-07-08 海通国际证券集团有限公司 Haitong International Securities Group Limited 960606296 746004817 4.0100 L 960606296 5.1700 L Ordinary Shares
2016-07-08 海通证券股份有限公司 Haitong Securities Company Limited 960606296 746004817 4.0100 L 960606296 5.1700 L Ordinary Shares
2016-07-08 Haitong International New Energy VIII Limited 960606296 746004817 4.0100 L 960606296 5.1700 L Ordinary
2016-07-05 摩根大通 JPMorgan Chase & Co. 1505158216 8.0900 P 1470611216 7.9100 P Ordinary Shares
2016-07-05 摩根大通 JPMorgan Chase & Co. 15332988 0.0800 S 15246988 0.0800 S Ordinary Shares
2016-07-05 摩根大通 JPMorgan Chase & Co. 33653000 1676181172 9.0100 L 1642528172 8.8300 L Ordinary Shares
2016-05-04 Pacific Alliance Asia Opportunity Fund L.P. 69333333 968715984 5.2100 L 899382651 4.8400 L Ordinary Shares
2016-05-04 Pacific Alliance Asia Opportunity Fund L.P. 69333333 312000000 1.6800 S 242666667 1.3100 S Ordinary Shares
2016-05-04 Pacific Alliance Asia Opportunity Fund L.P. 165651566 1134367550 6.1000 L 968715984 5.2100 L Ordinary Shares
2016-05-04 Pacific Alliance Asia Opportunity Fund L.P. 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-05-04 Pacific Alliance Group Asset Management Limited 69333333 312000000 1.6800 S 242666667 1.3100 S Ordinary Shares
2016-05-04 Pacific Alliance Group Asset Management Limited 69333333 968715984 5.2100 L 899382651 4.8400 L Ordinary Shares
2016-05-04 Pacific Alliance Group Asset Management Limited 165651566 1134367550 6.1000 L 968715984 5.2100 L Ordinary Shares
2016-05-04 Pacific Alliance Group Asset Management Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-05-04 Pacific Alliance Group Limited 69333333 978447984 5.2600 L 909114651 4.8900 L Ordinary Shares
2016-05-04 Pacific Alliance Group Limited 69333333 312000000 1.6800 S 242666667 1.3100 S Ordinary Shares
2016-05-04 Pacific Alliance Group Limited 165651566 1144099500 6.1600 L 978447984 5.2600 L Ordinary Shares
2016-05-04 Pacific Alliance Group Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-05-04 Pacific Alliance Investment Management Limited 69333333 968715984 5.2100 L 899382651 4.8400 L Ordinary Shares
2016-05-04 Pacific Alliance Investment Management Limited 69333333 312000000 1.6800 S 242666667 1.3100 S Ordinary Shares
2016-05-04 Pacific Alliance Investment Management Limited 165651566 1134367550 6.1000 L 968715984 5.2100 L Ordinary Shares
2016-05-04 Pacific Alliance Investment Management Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-05-04 PAG Holdings Limited 69333333 978447984 5.2600 L 909114651 4.8900 L Ordinary Shares
2016-05-04 PAG Holdings Limited 69333333 312000000 1.6800 S 242666667 1.3100 S Ordinary Shares
2016-05-04 PAG Holdings Limited 165651566 1144099550 6.1600 L 978447984 5.2600 L Ordinary Shares
2016-05-04 PAG Holdings Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 Asia Pacific Energy Fund Limited 69333333 6370388156 34.2700 L 6370388156 34.2700 L Ordinary Shares
2016-04-29 Credit Suisse Trust Limited 69333333 6370388156 34.2700 L 6370388156 34.2700 L Ordinary Shares
2016-04-29 Pacific Alliance Asia Opportunity Fund L.P. 69333333 1134367550 6.1000 L 1134367550 6.1000 L Ordinary Shares
2016-04-29 Pacific Alliance Asia Opportunity Fund L.P. 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 Pacific Alliance Asia Opportunity Fund L.P. 165651566 1134367550 6.1000 L 1134367550 6.1000 L Ordinary Shares
2016-04-29 Pacific Alliance Asia Opportunity Fund L.P. 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 Pacific Alliance Group Asset Management Limited 69333333 1134367550 6.1000 L 1134367550 6.1000 L Ordinary Shares
2016-04-29 Pacific Alliance Group Asset Management Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 Pacific Alliance Group Asset Management Limited 165651566 1134367550 6.1000 L 1134367550 6.1000 L Ordinary Shares
2016-04-29 Pacific Alliance Group Asset Management Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 Pacific Alliance Group Limited 69333333 1144099550 6.1600 L 1144099550 6.1600 L Ordinary Shares
2016-04-29 Pacific Alliance Group Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 Pacific Alliance Group Limited 165651566 1144099550 6.1600 L 1144099550 6.1600 L Ordinary Shares
2016-04-29 Pacific Alliance Group Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 Pacific Alliance Investment Management Limited 69333333 1134367550 6.1000 L 1134367550 6.1000 L Ordinary Shares
2016-04-29 Pacific Alliance Investment Management Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 Pacific Alliance Investment Management Limited 165651566 1134367550 6.1000 L 1134367550 6.1000 L Ordinary Shares
2016-04-29 Pacific Alliance Investment Management Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 PAG Holdings Limited 69333333 1144099550 6.1600 L 1144099550 6.1600 L Ordinary Shares
2016-04-29 PAG Holdings Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-04-29 PAG Holdings Limited 165651566 1144099550 6.1600 L 1144099550 6.1600 L Ordinary Shares
2016-04-29 PAG Holdings Limited 312000000 1.6800 S 312000000 1.6800 S Ordinary Shares
2016-03-30 Asia Pacific Energy Fund Limited 334576164 6030811992 32.4700 L 6370388156 34.2700 L Ordinary Shares
2016-03-30 Credit Suisse Trust Limited 334576164 6035811992 32.4700 L 6370388156 34.2700 L Ordinary Shares
2016-03-11 摩根大通 JPMorgan Chase & Co. 1534899279 8.2500 P 1542798679 8.3000 P Ordinary Shares
2016-03-11 摩根大通 JPMorgan Chase & Co. 4034988 0.0200 S 4104988 0.0200 S Ordinary Shares
2016-03-11 摩根大通 JPMorgan Chase & Co. 12747400 1669024693 8.9700 L 1681772093 9.0400 L Ordinary Shares
2016-03-09 Templeton Global Advisors Limited 11446100 919502764 4.9500 L 930948864 5.0100 L Ordinary
2016-02-11 Templeton Investment Counsel, LLC 15227000 928155262 4.9900 L 943382262 5.0800 L Ordinary
2016-01-28 摩根大通 JPMorgan Chase & Co. 1778785567 9.5600 P 1486682279 7.9900 P Ordinary Shares
2016-01-28 摩根大通 JPMorgan Chase & Co. 71876266 0.3800 S 12293921 0.0600 S Ordinary Shares
2016-01-28 摩根大通 JPMorgan Chase & Co. 411192532 2013487629 10.8300 L 1602295097 8.6200 L Ordinary Shares
2016-01-27 海通国际证券集团有限公司 Haitong International Securities Group Limited 1929064362 1929064362 10.3700 L 0 0.0000 L Ordinary Shares
2016-01-27 海通国际证券集团有限公司 Haitong International Securities Group Limited 1929064362 1929064362 10.3700 S 0 0.0000 S Ordinary Shares
2016-01-27 海通证券股份有限公司 Haitong Securities Company Limited 1929064362 1929064362 10.3700 L 0 0.0000 L Ordinary Shares
2016-01-27 海通证券股份有限公司 Haitong Securities Company Limited 1929064362 1929064362 10.3700 S 0 0.0000 S Ordinary Shares
2016-01-26 Credit Suisse Trust Limited 1005968665 5029843327 32.4700 L 6035811992 32.4700 L Ordinary Shares
2016-01-26 Asia Pacific Energy Fund Limited 1005968665 5029843327 32.4700 L 6035811992 32.4700 L Ordinary Shares
2016-01-25 海通国际证券集团有限公司 Haitong International Securities Group Limited 194374026 2123438388 11.4200 L 1929064362 10.3700 L Ordinary Shares
2016-01-25 海通国际证券集团有限公司 Haitong International Securities Group Limited 194374026 2123438388 11.4200 S 1929064362 10.3700 S Ordinary Shares
2016-01-25 海通证券股份有限公司 Haitong Securities Company Limited 194374026 2123438388 11.4200 L 1929064362 10.3700 L Ordinary Shares
2016-01-25 海通证券股份有限公司 Haitong Securities Company Limited 194374026 2123438388 11.4200 S 1929064362 10.3700 S Ordinary Shares
2016-01-20 Templeton Investment Counsel, LLC 182445202 1097877764 5.9100 L 915432562 4.9200 L Ordinary
2016-01-20 Templeton Global Advisors Limited 170464596 1059465760 5.7000 L 889001164 4.7800 L Ordinary
2016-01-20 摩根大通 JPMorgan Chase & Co. 1765004916 9.4900 P 1766049398 9.5000 P Ordinary Shares
2016-01-20 摩根大通 JPMorgan Chase & Co. 95799335 0.5100 S 86019911 0.4600 S Ordinary Shares
2016-01-20 摩根大通 JPMorgan Chase & Co. 28941218 2057885605 11.0700 L 2028944387 10.9100 L Ordinary Shares
2016-01-19 摩根大通 JPMorgan Chase & Co. 1756035916 9.4400 P 1765004916 9.4900 P Ordinary Shares
2016-01-19 摩根大通 JPMorgan Chase & Co. 95901270 0.5100 S 95799335 0.5100 S Ordinary Shares
2016-01-19 摩根大通 JPMorgan Chase & Co. 20720000 2051054605 11.0300 L 2057885605 11.0700 L Ordinary Shares
2016-01-18 摩根大通 JPMorgan Chase & Co. 12462000 2038592605 10.9600 L 2051054605 11.0300 L Ordinary Shares
2016-01-18 摩根大通 JPMorgan Chase & Co. 95777875 0.5100 S 95901270 0.5100 S Ordinary Shares
2016-01-18 摩根大通 JPMorgan Chase & Co. 1746573916 9.3900 P 1756035916 9.4400 P Ordinary Shares
2016-01-13 摩根大通 JPMorgan Chase & Co. 1741398916 9.3600 P 1741878916 9.3700 P Ordinary Shares
2016-01-13 摩根大通 JPMorgan Chase & Co. 95838524 0.5100 S 88026712 0.4700 S Ordinary Shares
2016-01-13 摩根大通 JPMorgan Chase & Co. 26038650 2063618954 11.1000 L 2037580304 10.9600 L Ordinary Shares
2015-12-29 Pacific Alliance Asia Opportunity Fund L.P. 90667726 1089833143 7.0400 L 1180500869 6.3400 L Ordinary Shares
2015-12-29 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.4000 S Ordinary Shares
2015-12-29 Pacific Alliance Group Asset Management Limited 90667726 1089833143 7.0400 L 1180500869 6.3400 L Ordinary Shares
2015-12-29 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.4000 S Ordinary Shares
2015-12-29 Pacific Alliance Group Limited 92745926 1100224143 7.1000 L 1192970069 6.4100 L Ordinary Shares
2015-12-29 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.4000 S Ordinary Shares
2015-12-29 Pacific Alliance Investment Management Limited 90667726 1089833143 7.0400 L 1180500869 6.3400 L Ordinary Shares
2015-12-29 PAG Holdings Limited 92745926 1100224143 7.1000 L 1192970069 6.4100 L Ordinary Shares
2015-12-29 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.4000 S Ordinary Shares
2015-12-29 PAG Holdings Limited 260000000 1.6800 S 260000000 1.4000 S Ordinary Shares
2015-12-29 摩根大通 JPMorgan Chase & Co. 1455551438 9.3900 P 1742390726 9.3700 P Ordinary Shares
2015-12-29 摩根大通 JPMorgan Chase & Co. 120471870 0.7700 S 138514215 0.7400 S Ordinary Shares
2015-12-29 摩根大通 JPMorgan Chase & Co. 311793240 1915218129 12.3600 L 2227011369 11.9800 L Ordinary Shares
2015-12-24 Pacific Alliance Asia Opportunity Fund L.P. 41074863 1048509819 6.7700 L 1089584682 7.0300 L Ordinary Shares
2015-12-24 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-12-24 Pacific Alliance Group Asset Management Limited 41074863 1048509819 6.7700 L 1089584682 7.0300 L Ordinary Shares
2015-12-24 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-12-24 Pacific Alliance Group Limited 41074863 1058900819 6.8400 L 1099975682 7.1000 L Ordinary Shares
2015-12-24 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-12-24 Pacific Alliance Investment Management Limited 41074863 1048509819 6.7700 L 1089584682 7.0300 L Ordinary Shares
2015-12-24 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-12-24 PAG Holdings Limited 41074863 1058900819 6.8400 L 1099975682 7.1000 L Ordinary Shares
2015-12-24 PAG Holdings Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-12-21 摩根大通 JPMorgan Chase & Co. 1420812108 9.1700 P 1456077108 9.4000 P Ordinary Shares
2015-12-21 摩根大通 JPMorgan Chase & Co. 115860752 0.7400 S 115980146 0.7400 S Ordinary Shares
2015-12-21 摩根大通 JPMorgan Chase & Co. 50325910 1851831856 11.9500 L 1902157766 12.2800 L Ordinary Shares
2015-12-15 海通国际证券集团有限公司 Haitong International Securities Group Limited 2123438388 0 0.0000 L 2123438388 11.3100 L Ordinary Shares
2015-12-15 海通国际证券集团有限公司 Haitong International Securities Group Limited 2123438388 11.3100 L 2123438388 11.3100 L Ordinary Shares
2015-12-15 海通国际证券集团有限公司 Haitong International Securities Group Limited 2123438388 0 0.0000 S 2123438388 11.3100 S Ordinary Shares
2015-12-15 海通证券股份有限公司 Haitong Securities Company Limited 2123438388 0 0.0000 L 2123438388 11.3100 L Ordinary Shares
2015-12-15 海通证券股份有限公司 Haitong Securities Company Limited 2123438388 11.3100 L 2123438388 11.3100 L Ordinary Shares
2015-12-15 海通证券股份有限公司 Haitong Securities Company Limited 2123438388 0 0.0000 S 2123438388 11.3100 S Ordinary Shares
2015-12-01 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-12-01 摩根士丹利 Morgan Stanley 838953220 5.4100 S 737613963 4.7600 S Ordinary Shares
2015-12-01 摩根士丹利 Morgan Stanley 99333255 808555094 5.2100 L 709221839 4.5700 L Ordinary Shares
2015-11-30 摩根士丹利 Morgan Stanley 838840220 5.4100 S 838840220 5.4100 S Ordinary Shares
2015-11-30 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-30 摩根士丹利 Morgan Stanley 1095000 806901347 5.2000 L 806901347 5.2000 L Ordinary Shares
2015-11-27 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-27 摩根士丹利 Morgan Stanley 823412588 5.3100 S 823412588 5.3100 S Ordinary Shares
2015-11-27 摩根士丹利 Morgan Stanley 5881000 808738351 5.2200 L 808738351 5.2200 L Ordinary Shares
2015-11-26 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-26 摩根士丹利 Morgan Stanley 842188262 5.4300 S 842188262 5.4300 S Ordinary Shares
2015-11-26 摩根士丹利 Morgan Stanley 3017000 831578908 5.3600 L 831578908 5.3600 L Ordinary Shares
2015-11-25 摩根士丹利 Morgan Stanley 14649000 892042457 5.7500 L 892042457 5.7500 L Ordinary Shares
2015-11-25 摩根士丹利 Morgan Stanley 883167369 5.7000 S 883167369 5.7000 S Ordinary Shares
2015-11-25 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-24 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-24 摩根士丹利 Morgan Stanley 909631588 5.8700 S 909631588 5.8700 S Ordinary Shares
2015-11-24 摩根士丹利 Morgan Stanley 44553000 921485677 5.9400 L 921485677 5.9400 L Ordinary Shares
2015-11-23 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-23 摩根士丹利 Morgan Stanley 898772031 5.8000 S 898772031 5.8000 S Ordinary Shares
2015-11-23 摩根士丹利 Morgan Stanley 10186000 929515400 6.0000 L 929515400 6.0000 L Ordinary Shares
2015-11-23 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-23 摩根士丹利 Morgan Stanley 898772031 5.8000 S 909631588 5.8700 S Ordinary Shares
2015-11-23 摩根士丹利 Morgan Stanley 8029723 929515400 6.0000 L 921485677 5.9400 L Ordinary Shares
2015-11-20 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-20 摩根士丹利 Morgan Stanley 890588357 5.7400 S 890588357 5.7400 S Ordinary Shares
2015-11-20 摩根士丹利 Morgan Stanley 14567000 925897459 5.9700 L 925897459 5.9700 L Ordinary Shares
2015-11-20 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-20 摩根士丹利 Morgan Stanley 890588357 5.7400 S 898772031 5.8000 S Ordinary Shares
2015-11-20 摩根士丹利 Morgan Stanley 3617941 925897459 5.9700 L 929515400 6.0000 L Ordinary Shares
2015-11-19 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-19 摩根士丹利 Morgan Stanley 882273031 5.6900 S 882273031 5.6900 S Ordinary Shares
2015-11-19 摩根士丹利 Morgan Stanley 12634000 913166460 5.8900 L 913166460 5.8900 L Ordinary Shares
2015-11-19 PAG Holdings Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-19 PAG Holdings Limited 223629597 1048973423 6.7700 L 1048973423 6.7700 L Ordinary Shares
2015-11-19 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-19 Pacific Alliance Investment Management Limited 223629597 1046853423 6.7600 L 1046853423 6.7600 L Ordinary Shares
2015-11-19 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-19 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-19 Pacific Alliance Group Limited 223629597 1048973423 6.7700 L 1048973423 6.7700 L Ordinary Shares
2015-11-19 Pacific Alliance Group Asset Management Limited 223629597 1046853423 6.7600 L 1046853423 6.7600 L Ordinary Shares
2015-11-19 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-19 Pacific Alliance Asia Opportunity Fund L.P. 223629597 1046853423 6.7600 L 1046853423 6.7600 L Ordinary Shares
2015-11-18 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-18 摩根士丹利 Morgan Stanley 885192031 5.7100 S 885192031 5.7100 S Ordinary Shares
2015-11-18 摩根士丹利 Morgan Stanley 3375000 902302459 5.8200 L 902302459 5.8200 L Ordinary Shares
2015-11-17 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-17 摩根士丹利 Morgan Stanley 889795031 5.7400 S 889795031 5.7400 S Ordinary Shares
2015-11-17 摩根士丹利 Morgan Stanley 8320000 909802534 5.8700 L 909802534 5.8700 L Ordinary Shares
2015-11-16 摩根士丹利 Morgan Stanley 7169000 927763870 5.9800 L 927763870 5.9800 L Ordinary Shares
2015-11-16 摩根士丹利 Morgan Stanley 895306031 5.7800 S 895306031 5.7800 S Ordinary Shares
2015-11-16 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-13 摩根士丹利 Morgan Stanley 14578000 952723879 6.1500 L 952723879 6.1500 L Ordinary Shares
2015-11-13 摩根士丹利 Morgan Stanley 904892031 5.8400 S 904892031 5.8400 S Ordinary Shares
2015-11-13 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-13 摩根士丹利 Morgan Stanley 24960009 952723879 6.1500 L 927763870 5.9800 L Ordinary Shares
2015-11-13 摩根士丹利 Morgan Stanley 904892031 5.8400 S 895306031 5.7800 S Ordinary Shares
2015-11-13 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-12 摩根士丹利 Morgan Stanley 12633990 940376004 6.0700 L 940376004 6.0700 L Ordinary Shares
2015-11-12 摩根士丹利 Morgan Stanley 906136695 5.8400 S 906136695 5.8400 S Ordinary Shares
2015-11-12 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-11 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-11 摩根士丹利 Morgan Stanley 896086695 5.7800 S 896086695 5.7800 S Ordinary Shares
2015-11-11 摩根士丹利 Morgan Stanley 8841990 924601909 5.9600 L 924601909 5.9600 L Ordinary Shares
2015-11-11 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-11 摩根士丹利 Morgan Stanley 896086695 5.7800 S 906136695 5.8400 S Ordinary Shares
2015-11-11 摩根士丹利 Morgan Stanley 15774095 924601909 5.9600 L 940376004 6.0700 L Ordinary Shares
2015-11-10 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-10 摩根士丹利 Morgan Stanley 813425695 5.2500 S 813425695 5.2500 S Ordinary Shares
2015-11-10 摩根士丹利 Morgan Stanley 44742019 840953887 5.4200 L 840953887 5.4200 L Ordinary Shares
2015-11-10 PAG Holdings Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-10 PAG Holdings Limited 223629597 1051441423 6.7900 L 1051441423 6.7900 L Ordinary Shares
2015-11-10 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-10 Pacific Alliance Investment Management Limited 223629597 1049148423 6.7700 L 1049148423 6.7700 L Ordinary Shares
2015-11-10 Pacific Alliance Group Limited 223629597 1051441423 6.7900 L 1051441423 6.7900 L Ordinary Shares
2015-11-10 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-10 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-10 Pacific Alliance Group Asset Management Limited 223629597 1049148423 6.7700 L 1049148423 6.7700 L Ordinary Shares
2015-11-10 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-10 Pacific Alliance Asia Opportunity Fund L.P. 223629597 1049148423 6.7700 L 1049148423 6.7700 L Ordinary Shares
2015-11-09 摩根士丹利 Morgan Stanley 765450031 4.9400 S 765450031 4.9400 S Ordinary Shares
2015-11-09 摩根士丹利 Morgan Stanley 48174981 794125852 5.1200 L 794125852 5.1200 L Ordinary Shares
2015-11-09 摩根士丹利 Morgan Stanley 47975664 765450031 4.9400 S 813425695 5.2500 S Ordinary Shares
2015-11-09 摩根士丹利 Morgan Stanley 794125852 5.1200 L 840953887 5.4200 L Ordinary Shares
2015-11-06 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-11-06 摩根士丹利 Morgan Stanley 697597031 4.5000 S 765450031 4.9400 S Ordinary Shares
2015-11-06 摩根士丹利 Morgan Stanley 75662028 718463824 4.6300 L 794125852 5.1200 L Ordinary Shares
2015-11-05 Templeton Investment Counsel, LLC 19881000 937296424 6.0500 L 917415424 5.9200 L Ordinary
2015-11-02 Pacific Alliance Group Limited 15000000 1086256423 7.0100 L 1071256423 6.9200 L Ordinary Shares
2015-11-02 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-11-02 PAG Holdings Limited 15000000 1086256423 7.0100 L 1071256423 6.9200 L Ordinary Shares
2015-11-02 PAG Holdings Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-10-28 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-10-28 摩根士丹利 Morgan Stanley 738264729 4.7600 S 712738889 4.6000 S Ordinary Shares
2015-10-28 摩根士丹利 Morgan Stanley 56121920 814945947 5.2600 L 758824027 4.8900 L Ordinary Shares
2015-10-27 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-10-27 摩根士丹利 Morgan Stanley 761728409 4.9100 S 761728409 4.9100 S Ordinary Shares
2015-10-27 摩根士丹利 Morgan Stanley 5736992 835759621 5.3900 L 835759621 5.3900 L Ordinary Shares
2015-10-26 摩根士丹利 Morgan Stanley 714950607 4.6100 S 714950607 4.6100 S Ordinary Shares
2015-10-26 摩根士丹利 Morgan Stanley 27641992 790948466 5.1000 L 790948466 5.1000 L Ordinary Shares
2015-10-23 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2015-10-23 摩根士丹利 Morgan Stanley 616424627 3.9700 S 714950607 4.6100 S Ordinary Shares
2015-10-23 摩根士丹利 Morgan Stanley 115619640 675328826 4.3500 L 790948466 5.1000 L Ordinary Shares
2015-10-16 Pacific Alliance Asia Opportunity Fund L.P. 5932000 1088780423 7.0300 L 1082848423 6.9900 L Ordinary Shares
2015-10-16 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-10-16 Pacific Alliance Group Asset Management Limited 5932000 1088780423 7.0300 L 1082848423 6.9900 L Ordinary Shares
2015-10-16 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-10-16 Pacific Alliance Investment Management Limited 5932000 1088780423 7.0300 L 1082848423 6.9900 L Ordinary Shares
2015-10-16 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-10-15 摩根大通 JPMorgan Chase & Co. 1418829850 9.1500 P 1425562850 9.2000 P Ordinary Shares
2015-10-15 摩根大通 JPMorgan Chase & Co. 92422270 0.5900 S 129802270 0.8300 S Ordinary Shares
2015-10-15 摩根大通 JPMorgan Chase & Co. 75678129 1665119433 10.7400 L 1740797562 11.2300 L Ordinary Shares
2015-09-29 PAG Holdings Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-09-29 PAG Holdings Limited 12250000 1080382423 6.9700 L 1092632423 7.0500 L Ordinary Shares
2015-09-29 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-09-29 Pacific Alliance Investment Management Limited 11439000 1075458423 6.9400 L 1086897423 7.0200 L Ordinary Shares
2015-09-29 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-09-29 Pacific Alliance Group Limited 12250000 1080382423 6.9700 L 1092632423 7.0500 L Ordinary Shares
2015-09-29 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-09-29 Pacific Alliance Group Asset Management Limited 11439000 1075458423 6.9400 L 1086897423 7.0200 L Ordinary Shares
2015-09-29 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-09-29 Pacific Alliance Asia Opportunity Fund L.P. 11439000 1075458423 6.9400 L 1086897423 7.0200 L Ordinary Shares
2015-09-08 Asia Pacific Energy Fund Limited 11000000 5018843327 32.4000 L 5029843327 32.4700 L Ordinary Shares
2015-09-08 Credit Suisse Trust Limited 11000000 5018843327 32.4000 L 5029843327 32.4700 L Ordinary Shares
2015-07-31 PAG Holdings Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-31 PAG Holdings Limited 223629597 1009277423 6.5200 L 1009277423 6.5200 L Ordinary Shares
2015-07-31 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-31 Pacific Alliance Investment Management Limited 223629597 1009277423 6.5200 L 1009277423 6.5200 L Ordinary Shares
2015-07-31 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-31 Pacific Alliance Group Limited 223629597 1009277423 6.5200 L 1009277423 6.5200 L Ordinary Shares
2015-07-31 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-31 Pacific Alliance Group Asset Management Limited 223629597 1009277423 6.5200 L 1009277423 6.5200 L Ordinary Shares
2015-07-31 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-31 Pacific Alliance Asia Opportunity Fund L.P. 223629597 1009277423 6.5200 L 1009277423 6.5200 L Ordinary Shares
2015-07-23 PA International Opportunity III Limited 496217600 1167107023 7.5300 L 670889423 4.3300 L Ordinary Shares
2015-07-23 Pacific Alliance Asia Opportunity Fund L.P. 496217600 1505495023 9.7200 L 1009277423 6.5200 L Ordinary Shares
2015-07-23 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-23 Pacific Alliance Group Asset Management Limited 496217600 1505495023 9.7200 L 1009277423 6.5200 L Ordinary Shares
2015-07-23 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-23 Pacific Alliance Group Limited 496217600 1505495023 9.7200 L 1009277423 6.5200 L Ordinary Shares
2015-07-23 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-23 Pacific Alliance Investment Management Limited 496217600 1505495023 9.7200 L 1009277423 6.5200 L Ordinary Shares
2015-07-23 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-23 PAG Holdings Limited 496217600 1505495023 9.7200 L 1009277423 6.5200 L Ordinary Shares
2015-07-23 PAG Holdings Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-22 PA International Opportunity III Limited 670889423 1167107023 7.5300 L 1167107023 7.5300 L Ordinary Shares
2015-07-22 PA International Opportunity III Limited 496217600 1167107023 7.5300 L 1167107023 7.5300 L Ordinary Shares
2015-07-15 PA International Opportunity III Limited 670889423 496271600 3.2000 L 1167161023 7.5400 L Ordinary Shares
2015-07-15 Pacific Alliance Asia Opportunity Fund L.P. 670889423 834605600 5.3900 L 1505495023 9.7200 L Ordinary Shares
2015-07-15 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-15 Pacific Alliance Group Asset Management Limited 670889423 834605600 5.3900 L 1505495023 9.7200 L Ordinary Shares
2015-07-15 Pacific Alliance Group Asset Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-15 Pacific Alliance Group Limited 670889423 834605600 5.3900 L 1505495023 9.7200 L Ordinary Shares
2015-07-15 Pacific Alliance Group Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-15 Pacific Alliance Investment Management Limited 670889423 834605600 5.3900 L 1505495023 9.7200 L Ordinary Shares
2015-07-15 Pacific Alliance Investment Management Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-07-15 PAG Holdings Limited 670889423 834605600 5.3900 L 1505495023 9.7200 L Ordinary Shares
2015-07-15 PAG Holdings Limited 260000000 1.6800 S 260000000 1.6800 S Ordinary Shares
2015-06-09 摩根大通 JPMorgan Chase & Co. 11401000 0.0700 S 33531060 0.2100 S Ordinary Shares
2015-06-09 摩根大通 JPMorgan Chase & Co. 1475783063 9.5200 P 1471619063 9.5000 P Ordinary Shares
2015-06-09 摩根大通 JPMorgan Chase & Co. 34589090 1532186687 9.8900 L 1566775777 10.1100 L Ordinary Shares
2015-05-12 Templeton Investment Counsel, LLC 24038000 907357071 5.8600 L 931395071 6.0100 L Ordinary
2015-02-05 Templeton Global Advisors Limited 29503800 748420240 4.8300 L 777924040 5.0200 L Ordinary
2015-01-21 摩根大通 JPMorgan Chase & Co. 1328898056 8.5700 P 1415022056 9.1300 P Ordinary Shares
2015-01-21 摩根大通 JPMorgan Chase & Co. 30741000 0.1900 S 32221000 0.2000 S Ordinary Shares
2015-01-21 摩根大通 JPMorgan Chase & Co. 86124000 1364655236 8.8100 L 1450779236 9.3600 L Ordinary Shares
2015-01-12 Templeton Investment Counsel, LLC 6426700 770788382 4.9800 L 777215082 5.0200 L Ordinary
2014-12-12 摩根大通 JPMorgan Chase & Co. 1198976962 7.7400 P 1208632962 7.8000 P Ordinary Shares
2014-12-12 摩根大通 JPMorgan Chase & Co. 29534529 0.1900 S 29534529 0.1900 S Ordinary Shares
2014-12-12 摩根大通 JPMorgan Chase & Co. 9594000 1238277064 7.9900 L 1247871064 8.0500 L Ordinary Shares
2014-12-01 摩根大通 JPMorgan Chase & Co. 64762800 1263408299 8.1500 L 1198645499 7.7300 L Ordinary Shares
2014-12-01 摩根大通 JPMorgan Chase & Co. 31947957 0.2000 S 31867957 0.2000 S Ordinary Shares
2014-12-01 摩根大通 JPMorgan Chase & Co. 1071760362 6.9100 P 1093530562 7.0500 P Ordinary Shares
2014-11-26 摩根大通 JPMorgan Chase & Co. 1833000 1238376955 7.9900 L 1240209955 8.0000 L Ordinary Shares
2014-11-26 摩根大通 JPMorgan Chase & Co. 34590835 0.2200 S 34670835 0.2200 S Ordinary Shares
2014-11-26 摩根大通 JPMorgan Chase & Co. 1044989018 6.7400 P 1046822018 6.7500 P Ordinary Shares
2014-11-20 摩根大通 JPMorgan Chase & Co. 1221168512 7.8800 P 1016466418 6.5600 P Ordinary Shares
2014-11-20 摩根大通 JPMorgan Chase & Co. 28479835 0.1800 S 27770835 0.1700 S Ordinary Shares
2014-11-20 摩根大通 JPMorgan Chase & Co. 196561094 1401958949 9.0500 L 1205397855 7.7800 L Ordinary Shares
2014-11-03 摩根大通 JPMorgan Chase & Co. 1193856507 7.7000 P 1208226407 7.8000 P Ordinary Shares
2014-11-03 摩根大通 JPMorgan Chase & Co. 22898705 0.1400 S 22898705 0.1400 S Ordinary Shares
2014-11-03 摩根大通 JPMorgan Chase & Co. 14688900 1385534816 8.9400 L 1400223716 9.0400 L Ordinary Shares
2014-10-10 摩根大通 JPMorgan Chase & Co. 1122822782 7.2400 P 1117788855 7.2100 P Ordinary Shares
2014-10-10 摩根大通 JPMorgan Chase & Co. 70748000 0.4500 S 70359000 0.4500 S Ordinary Shares
2014-10-10 摩根大通 JPMorgan Chase & Co. 33157927 1409719800 9.1000 L 1376561873 8.8800 L Ordinary Shares
2014-10-08 摩根大通 JPMorgan Chase & Co. 1092608182 7.0500 P 1108018782 7.1500 P Ordinary Shares
2014-10-08 摩根大通 JPMorgan Chase & Co. 70006000 0.4500 S 71240000 0.4500 S Ordinary Shares
2014-10-08 摩根大通 JPMorgan Chase & Co. 12542663 1385131137 8.9400 L 1397673800 9.0200 L Ordinary Shares
2014-10-06 摩根大通 JPMorgan Chase & Co. 1101109182 7.1000 P 1100182182 7.1000 P Ordinary Shares
2014-10-06 摩根大通 JPMorgan Chase & Co. 69316009 0.4400 S 69856000 0.4500 S Ordinary Shares
2014-10-06 摩根大通 JPMorgan Chase & Co. 1826003 1394411140 9.0000 L 1392585137 8.9900 L Ordinary Shares
2014-09-26 摩根大通 JPMorgan Chase & Co. 1085779182 7.0100 P 1099103382 7.0900 P Ordinary Shares
2014-09-26 摩根大通 JPMorgan Chase & Co. 71000003 0.4500 S 71496003 0.4600 S Ordinary Shares
2014-09-26 摩根大通 JPMorgan Chase & Co. 13240200 1393047399 8.9900 L 1406287599 9.0800 L Ordinary Shares
2014-08-19 摩根大通 JPMorgan Chase & Co. 853230189 5.5000 P 884450277 5.7100 P Ordinary Shares
2014-08-19 摩根大通 JPMorgan Chase & Co. 127231941 0.8200 S 127351941 0.8200 S Ordinary Shares
2014-08-19 摩根大通 JPMorgan Chase & Co. 28478935 1213124003 7.8300 L 1241602938 8.0100 L Ordinary Shares
2014-08-13 摩根大通 JPMorgan Chase & Co. 821770612 5.3000 P 838731612 5.4100 P Ordinary Shares
2014-08-13 摩根大通 JPMorgan Chase & Co. 45525000 161774941 1.0400 S 116249941 0.7500 S Ordinary Shares
2014-08-13 摩根大通 JPMorgan Chase & Co. 1217770426 7.8600 L 1191280426 7.6900 L Ordinary Shares
2014-08-11 摩根大通 JPMorgan Chase & Co. 832277612 5.3700 P 822770612 5.3100 P Ordinary Shares
2014-08-11 摩根大通 JPMorgan Chase & Co. 40020000 121754941 0.7800 S 161774941 1.0400 S Ordinary Shares
2014-08-11 摩根大通 JPMorgan Chase & Co. 1186424426 7.6600 L 1219167426 7.8700 L Ordinary Shares
2014-07-30 摩根大通 JPMorgan Chase & Co. 766636512 4.9500 P 787071312 5.0800 P Ordinary Shares
2014-07-30 摩根大通 JPMorgan Chase & Co. 92065941 0.5900 S 99970941 0.6400 S Ordinary Shares
2014-07-30 摩根大通 JPMorgan Chase & Co. 28017800 1077770326 6.9500 L 1105788126 7.1400 L Ordinary Shares
2014-07-15 摩根大通 JPMorgan Chase & Co. 650337960 4.1900 P 663227960 4.2800 P Ordinary Shares
2014-07-15 摩根大通 JPMorgan Chase & Co. 49423941 0.3100 S 49423941 0.3100 S Ordinary Shares
2014-07-15 摩根大通 JPMorgan Chase & Co. 11557000 922010927 5.9500 L 933567927 6.0200 L Ordinary Shares
2014-07-15 贝莱德公司 Blackrock, Inc. 40439000 0.2600 S 40660000 0.2600 S Ordinary Shares
2014-07-15 贝莱德公司 Blackrock, Inc. 24032568 792504165 5.1200 L 768471597 4.9600 L Ordinary Shares
2014-07-09 贝莱德公司 Blackrock, Inc. 35075000 0.2300 S 35075000 0.2300 S Ordinary Shares
2014-07-09 贝莱德公司 Blackrock, Inc. 16000000 795324304 5.1400 L 792756299 5.1200 L Ordinary Shares
2014-07-08 贝莱德公司 Blackrock, Inc. 34848000 0.2300 S 35075000 0.2300 S Ordinary Shares
2014-07-08 贝莱德公司 Blackrock, Inc. 1996000 809220931 5.2300 L 795324304 5.1400 L Ordinary Shares
2014-07-07 贝莱德公司 Blackrock, Inc. 34848000 0.2300 S 34848000 0.2300 S Ordinary Shares
2014-07-07 贝莱德公司 Blackrock, Inc. 36292362 772928569 4.9900 L 809220931 5.2300 L Ordinary Shares
2014-07-03 贝莱德公司 Blackrock, Inc. 18011278 791756958 5.1100 L 773745680 4.9900 L Ordinary Shares
2014-07-03 贝莱德公司 Blackrock, Inc. 34848000 0.2300 S 34848000 0.2300 S Ordinary Shares
2014-07-03 FMR LLC 133658000 842644000 5.4400 L 708986000 4.5800 L Common Stock
2014-06-30 贝莱德公司 Blackrock, Inc. 35323000 0.2300 S 34848000 0.2300 S Ordinary Shares
2014-06-30 贝莱德公司 Blackrock, Inc. 30987399 771683437 4.9800 L 802670836 5.1800 L Ordinary Shares
2014-06-30 贝莱德公司 Blackrock, Inc. 35323000 0.2300 S 34848000 0.2300 S Ordinary Shares
2014-06-30 贝莱德公司 Blackrock, Inc. 2800000 771683437 4.9800 L 802670836 5.1800 L Ordinary Shares
2014-06-24 贝莱德公司 Blackrock, Inc. 9723430 777659496 5.0200 L 767936066 4.9600 L Ordinary Shares
2014-06-24 贝莱德公司 Blackrock, Inc. 38709000 0.2500 S 38709000 0.2500 S Ordinary Shares
2014-06-23 贝莱德公司 Blackrock, Inc. 28841096 748818400 4.8400 L 777659496 5.0200 L Ordinary Shares
2014-06-23 贝莱德公司 Blackrock, Inc. 39169000 0.2500 S 38709000 0.2500 S Ordinary Shares
2014-06-17 摩根大通 JPMorgan Chase & Co. 518340195 3.3400 P 521446195 3.3600 P Ordinary Shares
2014-06-17 摩根大通 JPMorgan Chase & Co. 47788000 0.3000 S 47778000 0.3000 S Ordinary Shares
2014-06-17 摩根大通 JPMorgan Chase & Co. 2722000 772888661 4.9900 L 775610661 5.0000 L Ordinary Shares
2014-06-09 摩根大通 JPMorgan Chase & Co. 510279265 3.2900 P 513513265 3.3100 P Ordinary Shares
2014-06-09 摩根大通 JPMorgan Chase & Co. 51817000 0.3300 S 51817000 0.3300 S Ordinary Shares
2014-06-09 摩根大通 JPMorgan Chase & Co. 4822000 775719506 5.0000 L 770897506 4.9700 L Ordinary Shares
2014-06-06 摩根大通 JPMorgan Chase & Co. 511387265 3.3000 P 510279265 3.2900 P Ordinary Shares
2014-06-06 摩根大通 JPMorgan Chase & Co. 51817000 0.3300 S 51817000 0.3300 S Ordinary Shares
2014-06-06 摩根大通 JPMorgan Chase & Co. 6628000 769091506 4.9600 L 775719506 5.0000 L Ordinary Shares
2014-06-03 贝莱德公司 Blackrock, Inc. 48577000 0.3100 S 47236000 0.3000 S Ordinary Shares
2014-06-03 贝莱德公司 Blackrock, Inc. 54168708 778187853 5.0200 L 724019145 4.6700 L Ordinary Shares
2014-06-02 贝莱德公司 Blackrock, Inc. 48577000 0.3100 S 48577000 0.3100 S Ordinary Shares
2014-06-02 贝莱德公司 Blackrock, Inc. 41270832 736917021 4.7500 L 778187853 5.0200 L Ordinary Shares
2014-05-29 贝莱德公司 Blackrock, Inc. 17328354 777326683 5.0200 L 759998329 4.9000 L Ordinary Shares
2014-05-29 贝莱德公司 Blackrock, Inc. 48605000 0.3100 S 48605000 0.3100 S Ordinary Shares
2014-05-28 贝莱德公司 Blackrock, Inc. 10007786 739575761 4.7700 L 777326683 5.0200 L Ordinary Shares
2014-05-28 贝莱德公司 Blackrock, Inc. 49154000 0.3100 S 48605000 0.3100 S Ordinary Shares
2014-05-28 贝莱德公司 Blackrock, Inc. 37750922 739575761 4.7700 L 777326683 5.0200 L Ordinary Shares
2014-05-28 贝莱德公司 Blackrock, Inc. 49154000 0.3100 S 48605000 0.3100 S Ordinary Shares
2014-05-09 摩根大通 JPMorgan Chase & Co. 568700859 3.6700 P 544691859 3.5100 P Ordinary Shares
2014-05-09 摩根大通 JPMorgan Chase & Co. 30387000 0.1900 S 30407000 0.1900 S Ordinary Shares
2014-05-09 摩根大通 JPMorgan Chase & Co. 24885000 793748172 5.1200 L 768863172 4.9600 L Ordinary Shares
2014-05-02 FMR LLC 48617000 767945000 4.9600 L 816562000 5.2700 L Common Stock
2014-04-07 FMR LLC 10000000 779006000 5.0300 L 769006000 4.9700 L Common Stock
2014-03-12 FMR LLC 29761000 771334000 4.9800 L 801095000 5.1700 L Common Stock
2014-03-10 贝莱德公司 Blackrock, Inc. 9365758 780933235 5.0400 L 771567477 4.9800 L Ordinary Shares
2014-03-10 贝莱德公司 Blackrock, Inc. 139456000 0.9000 S 109213000 0.7000 S Ordinary Shares
2014-03-05 贝莱德公司 Blackrock, Inc. 21743435 788407395 5.0900 L 774557376 5.0000 L Ordinary Shares
2014-03-05 贝莱德公司 Blackrock, Inc. 142755000 0.9200 S 142299000 0.9100 S Ordinary Shares
2014-03-03 贝莱德公司 Blackrock, Inc. 1712944 767724920 4.9500 L 792498639 5.1100 L Ordinary Shares
2014-03-03 贝莱德公司 Blackrock, Inc. 139770000 0.9000 S 141071000 0.9100 S Ordinary Shares
2014-03-03 贝莱德公司 Blackrock, Inc. 24773719 767724920 4.9500 L 792498639 5.1100 L Ordinary Shares
2014-03-03 贝莱德公司 Blackrock, Inc. 139770000 0.9000 S 141071000 0.9100 S Ordinary Shares
2014-02-27 贝莱德公司 Blackrock, Inc. 43818775 801576516 5.1700 L 757757741 4.8900 L Ordinary Shares
2014-02-27 贝莱德公司 Blackrock, Inc. 144882000 0.9300 S 144745000 0.9300 S Ordinary Shares
2014-02-25 贝莱德公司 Blackrock, Inc. 150479000 0.9700 S 150316000 0.9700 S Ordinary Shares
2014-02-25 贝莱德公司 Blackrock, Inc. 845000 785926025 5.0700 L 802296367 5.1800 L Ordinary Shares
2014-02-24 贝莱德公司 Blackrock, Inc. 6450000 156929000 1.0100 S 150479000 0.9700 S Ordinary Shares
2014-02-24 贝莱德公司 Blackrock, Inc. 788835083 5.0900 L 785926025 5.0700 L Ordinary Shares
2014-02-24 贝莱德公司 Blackrock, Inc. 156929000 1.0100 S 150479000 0.9700 S Ordinary Shares
2014-02-24 贝莱德公司 Blackrock, Inc. 10000000 788835083 5.0900 L 785926025 5.0700 L Ordinary Shares
2014-02-21 贝莱德公司 Blackrock, Inc. 10000000 773950041 4.9900 L 788835083 5.0900 L Ordinary Shares
2014-02-21 贝莱德公司 Blackrock, Inc. 157763000 1.0100 S 156929000 1.0100 S Ordinary Shares
2014-02-21 贝莱德公司 Blackrock, Inc. 14885042 773950041 4.9900 L 788835083 5.0900 L Ordinary Shares
2014-02-21 贝莱德公司 Blackrock, Inc. 157763000 1.0100 S 156929000 1.0100 S Ordinary Shares
2014-02-20 贝莱德公司 Blackrock, Inc. 1304218 775254259 5.0000 L 773950041 4.9900 L Ordinary Shares
2014-02-20 贝莱德公司 Blackrock, Inc. 164674000 1.0600 S 157763000 1.0100 S Ordinary Shares
2014-02-19 贝莱德公司 Blackrock, Inc. 9497338 765756921 4.9400 L 775254259 5.0000 L Ordinary Shares
2014-02-19 贝莱德公司 Blackrock, Inc. 169027000 1.0900 S 164674000 1.0600 S Ordinary Shares
2014-02-17 Pacific Alliance Investment Management Limited 926184281 5.9800 L 826184281 5.3400 L Ordinary Shares
2014-02-17 Pacific Alliance Investment Management Limited 100000000 360000000 2.3200 S 260000000 1.6800 S Ordinary Shares
2014-02-17 PAG Holdings Limited 926184281 5.9800 L 826184281 5.3400 L Ordinary Shares
2014-02-17 PAG Holdings Limited 100000000 360000000 2.3200 S 260000000 1.6800 S Ordinary Shares
2014-02-17 Pacific Alliance Asia Opportunity Fund L.P. 926184281 5.9800 L 826184281 5.3400 L Ordinary Shares
2014-02-17 Pacific Alliance Asia Opportunity Fund L.P. 100000000 360000000 2.3200 S 260000000 1.6800 S Ordinary Shares
2014-02-17 Pacific Alliance Group Asset Management Limited 926184281 5.9800 L 826184281 5.3400 L Ordinary Shares
2014-02-17 Pacific Alliance Group Asset Management Limited 100000000 360000000 2.3200 S 260000000 1.6800 S Ordinary Shares
2014-02-17 Pacific Alliance Group Limited 926184281 5.9800 L 826184281 5.3400 L Ordinary Shares
2014-02-17 Pacific Alliance Group Limited 100000000 360000000 2.3200 S 260000000 1.6800 S Ordinary Shares
2014-02-10 贝莱德公司 Blackrock, Inc. 166074000 1.0700 S 169107000 1.0900 S Ordinary Shares
2014-02-10 贝莱德公司 Blackrock, Inc. 35499732 775810820 5.0100 L 740311088 4.7800 L Ordinary Shares
2014-02-07 贝莱德公司 Blackrock, Inc. 163442000 1.0500 S 166074000 1.0700 S Ordinary Shares
2014-02-07 贝莱德公司 Blackrock, Inc. 17553377 758257443 4.8900 L 775810820 5.0100 L Ordinary Shares
2014-02-07 贝莱德公司 Blackrock, Inc. 163442000 1.0500 S 166074000 1.0700 S Ordinary Shares
2014-02-07 贝莱德公司 Blackrock, Inc. 3234000 758257443 4.8900 L 775810820 5.0100 L Ordinary Shares
2014-02-06 贝莱德公司 Blackrock, Inc. 163536000 1.0500 S 163442000 1.0500 S Ordinary Shares
2014-02-06 贝莱德公司 Blackrock, Inc. 46525756 804783199 5.1900 L 758257443 4.8900 L Ordinary Shares
2014-02-05 贝莱德公司 Blackrock, Inc. 2872000 803773785 5.1900 L 804783199 5.1900 L Ordinary Shares
2014-02-05 贝莱德公司 Blackrock, Inc. 160588000 1.0300 S 163536000 1.0500 S Ordinary Shares
2014-02-05 贝莱德公司 Blackrock, Inc. 160588000 1.0300 S 163536000 1.0500 S Ordinary Shares
2014-02-04 贝莱德公司 Blackrock, Inc. 2834000 774468261 5.0000 L 803773785 5.1900 L Ordinary Shares
2014-02-04 贝莱德公司 Blackrock, Inc. 158178000 1.0200 S 160588000 1.0300 S Ordinary Shares
2014-02-04 贝莱德公司 Blackrock, Inc. 158178000 1.0200 S 160588000 1.0300 S Ordinary Shares
2014-02-03 贝莱德公司 Blackrock, Inc. 29366025 745102236 4.8100 L 774468261 5.0000 L Ordinary Shares
2014-02-03 贝莱德公司 Blackrock, Inc. 158178000 1.0200 S 158178000 1.0200 S Ordinary Shares
2014-01-22 贝莱德公司 Blackrock, Inc. 155311000 1.0000 S 154655000 0.9900 S Ordinary Shares
2014-01-22 贝莱德公司 Blackrock, Inc. 14398998 774219229 5.0000 L 759820231 4.9000 L Ordinary Shares
2014-01-20 贝莱德公司 Blackrock, Inc. 13564878 766475854 4.9500 L 780040732 5.0300 L Ordinary Shares
2014-01-20 贝莱德公司 Blackrock, Inc. 156926000 1.0100 S 155461000 1.0000 S Ordinary Shares
2014-01-14 中国投资有限责任公司 China Investment Corporation 1200000000 1916386187 12.3800 L 716386187 4.6300 L Ordinary Shares
2013-12-17 PAG Holdings Limited 100000000 1026184281 6.6300 L 926184281 5.9800 L Ordinary Shares
2013-12-17 PAG Holdings Limited 460000000 2.9700 S 360000000 2.3300 S Ordinary Shares
2013-12-17 Pacific Alliance Asia Opportunity Fund L.P. 100000000 1026184281 6.6300 L 926184281 5.9800 L Ordinary Shares
2013-12-17 Pacific Alliance Asia Opportunity Fund L.P. 460000000 2.9700 S 360000000 2.3300 S Ordinary Shares
2013-12-17 Pacific Alliance Group Asset Management Limited 100000000 1026184281 6.6300 L 926184281 5.9800 L Ordinary Shares
2013-12-17 Pacific Alliance Group Asset Management Limited 460000000 2.9700 S 360000000 2.3300 S Ordinary Shares
2013-12-17 Pacific Alliance Group Limited 100000000 1026184281 6.6300 L 926184281 5.9800 L Ordinary Shares
2013-12-17 Pacific Alliance Group Limited 460000000 2.9700 S 360000000 2.3300 S Ordinary Shares
2013-12-17 Pacific Alliance Investment Management Limited 100000000 1026184281 6.6300 L 926184281 5.9800 L Ordinary Shares
2013-12-17 Pacific Alliance Investment Management Limited 460000000 2.9700 S 360000000 2.3300 S Ordinary Shares
2013-11-29 Credit Suisse Trust Limited 260000000 260000000 1.6800 S Ordinary Shares
2013-11-29 Credit Suisse Trust Limited 5018843327 32.4200 L 5018843327 32.4200 L Ordinary Shares
2013-11-29 Credit Suisse Trust Limited 260000000 5018843327 32.4200 L 5018843327 32.4200 L Ordinary Shares
2013-11-29 Asia Pacific Energy Fund Limited 260000000 260000000 1.6800 S Ordinary Shares
2013-11-29 Asia Pacific Energy Fund Limited 5018843327 32.4200 L 5018843327 32.4200 L Ordinary Shares
2013-11-29 Asia Pacific Energy Fund Limited 260000000 5018843327 32.4200 L 5018843327 32.4200 L Ordinary Shares
2013-11-29 PAG Holdings Limited 260000000 200000000 1.2900 S 460000000 2.9700 S Ordinary Shares
2013-11-29 PAG Holdings Limited 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-29 Pacific Alliance Investment Management Limited 260000000 200000000 1.2900 S 460000000 2.9700 S Ordinary Shares
2013-11-29 Pacific Alliance Investment Management Limited 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-29 Pacific Alliance Group Limited 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-29 Pacific Alliance Group Limited 260000000 200000000 1.2900 S 460000000 2.9700 S Ordinary Shares
2013-11-29 Pacific Alliance Group Asset Management Limited 260000000 200000000 1.2900 S 460000000 2.9700 S Ordinary Shares
2013-11-29 Pacific Alliance Group Asset Management Limited 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-29 Pacific Alliance Asia Opportunity Fund L.P. 260000000 200000000 1.2900 S 460000000 2.9700 S Ordinary Shares
2013-11-29 Pacific Alliance Asia Opportunity Fund L.P. 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Credit Suisse Trust Limited 260000000 260000000 1.6800 S Ordinary Shares
2013-11-27 Credit Suisse Trust Limited 5018843327 32.4200 L 5018843327 32.4200 L Ordinary Shares
2013-11-27 Asia Pacific Energy Fund Limited 260000000 260000000 1.6800 S Ordinary Shares
2013-11-27 Asia Pacific Energy Fund Limited 5018843327 32.4200 L 5018843327 32.4200 L Ordinary Shares
2013-11-27 PAG Holdings Limited 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 PAG Holdings Limited 260000000 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 PAG Holdings Limited 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 PAG Holdings Limited 260000000 766184281 4.9500 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Pacific Alliance Investment Management Limited 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 Pacific Alliance Investment Management Limited 260000000 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Pacific Alliance Investment Management Limited 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 Pacific Alliance Investment Management Limited 260000000 766184281 4.9500 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Pacific Alliance Group Limited 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 Pacific Alliance Group Limited 260000000 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Pacific Alliance Group Limited 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 Pacific Alliance Group Limited 260000000 766184281 4.9500 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Pacific Alliance Group Asset Management Limited 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 Pacific Alliance Group Asset Management Limited 260000000 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Pacific Alliance Group Asset Management Limited 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 Pacific Alliance Group Asset Management Limited 260000000 766184281 4.9500 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Pacific Alliance Asia Opportunity Fund L.P. 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 Pacific Alliance Asia Opportunity Fund L.P. 260000000 1026184281 6.6300 L 1026184281 6.6300 L Ordinary Shares
2013-11-27 Pacific Alliance Asia Opportunity Fund L.P. 200000000 1.2900 S 200000000 1.2900 S Ordinary Shares
2013-11-27 Pacific Alliance Asia Opportunity Fund L.P. 260000000 766184281 4.9500 L 1026184281 6.6300 L Ordinary Shares
2013-10-09 贝莱德公司 Blackrock, Inc. 42727706 774569629 5.0000 L 731841923 4.7200 L Ordinary Shares
2013-10-09 贝莱德公司 Blackrock, Inc. 150643000 0.9700 S 159272000 1.0200 S Ordinary Shares
2013-10-08 贝莱德公司 Blackrock, Inc. 3343365 709122816 4.5800 L 774569629 5.0000 L Ordinary Shares
2013-10-08 贝莱德公司 Blackrock, Inc. 150131000 0.9700 S 150643000 0.9700 S Ordinary Shares
2013-10-08 贝莱德公司 Blackrock, Inc. 65446813 709122816 4.5800 L 774569629 5.0000 L Ordinary Shares
2013-10-08 贝莱德公司 Blackrock, Inc. 150131000 0.9700 S 150643000 0.9700 S Ordinary Shares
2013-09-10 摩根大通 JPMorgan Chase & Co. 1883000 772443058 4.9900 L 774326058 5.0000 L Ordinary Shares
2013-09-10 摩根大通 JPMorgan Chase & Co. 24676000 0.1600 S 26966000 0.1700 S Ordinary Shares
2013-09-10 摩根大通 JPMorgan Chase & Co. 469937835 3.0400 P 471112835 3.0400 P Ordinary Shares
2013-07-29 摩根大通 JPMorgan Chase & Co. 481691112 3.1100 P 434436112 2.8100 P Ordinary Shares
2013-07-29 摩根大通 JPMorgan Chase & Co. 35088000 0.2300 S 34149000 0.2200 S Ordinary Shares
2013-07-29 摩根大通 JPMorgan Chase & Co. 45003000 776822335 5.0200 L 731819335 4.7300 L Ordinary Shares
2013-07-25 摩根大通 JPMorgan Chase & Co. 8874000 765490335 4.9500 L 774364335 5.0000 L Ordinary Shares
2013-07-25 摩根大通 JPMorgan Chase & Co. 475266112 3.0700 P 478901112 3.0900 P Ordinary Shares
2013-07-25 摩根大通 JPMorgan Chase & Co. 33903000 0.2200 S 35698000 0.2300 S Ordinary Shares
2013-07-16 摩根大通 JPMorgan Chase & Co. 461528626 2.9800 P 462858626 2.9900 P Ordinary Shares
2013-07-16 摩根大通 JPMorgan Chase & Co. 43127000 0.2800 S 35844000 0.2300 S Ordinary Shares
2013-07-16 摩根大通 JPMorgan Chase & Co. 34751000 786749849 5.0800 L 751998849 4.8600 L Ordinary Shares
2013-07-10 摩根大通 JPMorgan Chase & Co. 440325495 2.8400 P 446325495 2.8800 P Ordinary Shares
2013-07-10 摩根大通 JPMorgan Chase & Co. 45516000 0.2900 S 44312000 0.2900 S Ordinary Shares
2013-07-10 摩根大通 JPMorgan Chase & Co. 14158000 765109718 4.9400 L 779267718 5.0300 L Ordinary Shares
2013-07-05 摩根大通 JPMorgan Chase & Co. 438377219 2.8300 P 437748219 2.8300 P Ordinary Shares
2013-07-05 摩根大通 JPMorgan Chase & Co. 45619000 0.2900 S 46066000 0.3000 S Ordinary Shares
2013-07-05 摩根大通 JPMorgan Chase & Co. 17479000 778580442 5.0300 L 761101442 4.9200 L Ordinary Shares
2013-06-27 摩根大通 JPMorgan Chase & Co. 437340154 2.8300 P 436600219 2.8200 P Ordinary Shares
2013-06-27 摩根大通 JPMorgan Chase & Co. 40903000 0.2600 S 41586000 0.2700 S Ordinary Shares
2013-06-27 摩根大通 JPMorgan Chase & Co. 3611065 773215377 4.9900 L 776826442 5.0200 L Ordinary Shares
2013-06-26 摩根大通 JPMorgan Chase & Co. 435521154 2.8100 P 437340154 2.8300 P Ordinary Shares
2013-06-26 摩根大通 JPMorgan Chase & Co. 39314000 0.2500 S 40903000 0.2600 S Ordinary Shares
2013-06-26 摩根大通 JPMorgan Chase & Co. 2270000 775485377 5.0100 L 773215377 4.9900 L Ordinary Shares
2013-06-20 中国投资有限责任公司 China Investment Corporation 1200000000 3115271187 20.1300 L 1915271187 12.3700 L H Shares
2013-06-20 Goldman Sachs (Asia) Corporate Holdings L.P. 1200000000 1200000000 7.7500 L 0 0.0000 L Ordinary Shares
2013-06-20 Goldman Sachs Holdings (Hong Kong) Limited 1200000000 1200000000 7.7500 L 0 0.0000 L Ordinary Shares
2013-06-20 GS India Holdings (Delaware) L.L.C. 1200000000 1200000000 7.7500 L 0 0.0000 L Ordinary Shares
2013-06-20 高盛集团有限公司 The Goldman Sachs Group, Inc. 1200000000 1268400587 8.1900 L 68400587 0.4400 L Ordinary Shares
2013-06-20 高盛(亚洲)有限责任公司 Goldman Sachs (Asia) L L C 1200000000 1200000000 7.7500 L 0 0.0000 L Ordinary Shares
2013-06-18 摩根大通 JPMorgan Chase & Co. 433089154 2.8000 P 433089154 2.8000 P Ordinary Shares
2013-06-18 摩根大通 JPMorgan Chase & Co. 26982000 0.1700 S 31023000 0.2000 S Ordinary Shares
2013-06-18 摩根大通 JPMorgan Chase & Co. 152755000 656754377 4.2400 L 809509377 5.2300 L Ordinary Shares
2013-06-17 Goldman Sachs (Asia) Corporate Holdings L.P. 1200000000 0 0.0000 L 1200000000 7.7500 L Ordinary Shares
2013-06-17 Goldman Sachs Holdings (Hong Kong) Limited 1200000000 0 0.0000 L 1200000000 7.7500 L Ordinary Shares
2013-06-17 GS India Holdings (Delaware) L.L.C. 1200000000 0 0.0000 L 1200000000 7.7500 L Ordinary Shares
2013-06-17 高盛集团有限公司 The Goldman Sachs Group, Inc. 1200000000 65720886 0.4200 L 1265720886 8.1800 L Ordinary Shares
2013-06-17 高盛(亚洲)有限责任公司 Goldman Sachs (Asia) L L C 1200000000 0 0.0000 L 1200000000 7.7500 L Ordinary Shares
2012-05-15 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-05-15 摩根士丹利 Morgan Stanley 692969300 4.4800 S 670185282 4.3300 S Ordinary Shares
2012-05-15 摩根士丹利 Morgan Stanley 20000000 797264978 5.1500 L 771249960 4.9800 L Ordinary Shares
2012-05-14 摩根士丹利 Morgan Stanley 696492300 4.5000 S 696492300 4.5000 S Ordinary Shares
2012-05-14 摩根士丹利 Morgan Stanley 4000 799561034 5.1700 L 799561034 5.1700 L Ordinary Shares
2012-05-11 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-05-11 摩根士丹利 Morgan Stanley 687976682 4.4500 S 687976682 4.4500 S Ordinary Shares
2012-05-11 摩根士丹利 Morgan Stanley 42418730 791046416 5.1100 L 791046416 5.1100 L Ordinary Shares
2012-05-10 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-05-10 摩根士丹利 Morgan Stanley 16133419 663300263 4.2900 S 687976682 4.4500 S Ordinary Shares
2012-05-10 摩根士丹利 Morgan Stanley 16133419 766373997 4.9500 L 791046416 5.1100 L Ordinary Shares
2012-02-13 摩根士丹利 Morgan Stanley 0 0.0000 P Ordinary Shares
2012-02-13 摩根士丹利 Morgan Stanley 554626384 3.5800 S 528397939 3.4200 S Ordinary Shares
2012-02-13 摩根士丹利 Morgan Stanley 61158000 802133028 5.1800 L 720140581 4.6500 L Ordinary Shares
2012-02-10 摩根士丹利 Morgan Stanley 594799981 3.8400 S 554626384 3.5800 S Ordinary Shares
2012-02-10 摩根士丹利 Morgan Stanley 7522000 808750625 5.2300 L 802133028 5.1800 L Ordinary Shares
2012-02-09 摩根士丹利 Morgan Stanley 597126981 3.8600 S 594799981 3.8400 S Ordinary Shares
2012-02-09 摩根士丹利 Morgan Stanley 1452000 820823553 5.3100 L 808750625 5.2300 L Ordinary Shares
2012-02-07 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-02-07 摩根士丹利 Morgan Stanley 607753494 3.9300 S 604889981 3.9100 S Ordinary Shares
2012-02-07 摩根士丹利 Morgan Stanley 2737000 899533575 5.8100 L 860487553 5.5600 L Ordinary Shares
2012-02-06 摩根士丹利 Morgan Stanley 605175275 3.9100 S 607753494 3.9300 S Ordinary Shares
2012-02-06 摩根士丹利 Morgan Stanley 38873000 931230847 6.0200 L 899533575 5.8100 L Ordinary Shares
2012-02-03 摩根士丹利 Morgan Stanley 12414000 955611321 6.1800 L 931230847 6.0200 L Ordinary Shares
2012-02-03 摩根士丹利 Morgan Stanley 579218677 3.7400 S 605175275 3.9100 S Ordinary Shares
2012-02-01 摩根士丹利 Morgan Stanley 578048756 3.7400 S 576680684 3.7300 S Ordinary Shares
2012-02-01 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-02-01 摩根士丹利 Morgan Stanley 3400000 947768545 6.1300 L 947727250 6.1300 L Ordinary Shares
2012-01-31 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-01-31 摩根士丹利 Morgan Stanley 580963756 3.7600 S 578048756 3.7400 S Ordinary Shares
2012-01-31 摩根士丹利 Morgan Stanley 1188000 950403178 6.1400 L 947768545 6.1300 L Ordinary Shares
2012-01-30 摩根士丹利 Morgan Stanley 574992129 3.7200 S 580963756 3.7600 S Ordinary Shares
2012-01-30 摩根士丹利 Morgan Stanley 12026000 954503551 6.1700 L 950403178 6.1400 L Ordinary Shares
2012-01-27 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-01-27 摩根士丹利 Morgan Stanley 34433000 620763057 4.0100 S 574992129 3.7200 S Ordinary Shares
2012-01-27 摩根士丹利 Morgan Stanley 967554551 6.2500 L 954503551 6.1700 L Ordinary Shares
2012-01-26 摩根士丹利 Morgan Stanley 619784684 4.0100 S 620763057 4.0100 S Ordinary Shares
2012-01-26 摩根士丹利 Morgan Stanley 360000 954629178 6.1700 L 967554551 6.2500 L Ordinary Shares
2012-01-20 摩根士丹利 Morgan Stanley 959879178 6.2000 L 954629178 6.1700 L Ordinary Shares
2012-01-20 摩根士丹利 Morgan Stanley 34433000 590601684 3.8200 S 619784684 4.0100 S Ordinary Shares
2012-01-19 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-01-19 摩根士丹利 Morgan Stanley 594601684 3.8400 S 590601684 3.8200 S Ordinary Shares
2012-01-19 摩根士丹利 Morgan Stanley 4000000 963879178 6.2300 L 959879178 6.2000 L Ordinary Shares
2012-01-17 摩根士丹利 Morgan Stanley 593798684 3.8400 S 594601684 3.8400 S Ordinary Shares
2012-01-17 摩根士丹利 Morgan Stanley 203000 963579178 6.2300 L 963879178 6.2300 L Ordinary Shares
2012-01-16 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-01-16 摩根士丹利 Morgan Stanley 565412612 3.6500 S 593798684 3.8400 S Ordinary Shares
2012-01-16 摩根士丹利 Morgan Stanley 28392072 954432178 6.1700 L 963579178 6.2300 L Ordinary Shares
2012-01-13 摩根士丹利 Morgan Stanley 601406352 3.8900 S 565412612 3.6500 S Ordinary Shares
2012-01-13 摩根士丹利 Morgan Stanley 2336034 936494974 6.0500 L 954432178 6.1700 L Ordinary Shares
2012-01-12 摩根士丹利 Morgan Stanley 609145018 3.9400 S 601406352 3.8900 S Ordinary Shares
2012-01-12 摩根士丹利 Morgan Stanley 8082000 945917542 6.1100 L 936494974 6.0500 L Ordinary Shares
2012-01-11 摩根士丹利 Morgan Stanley 965437542 6.2400 L 945917542 6.1100 L Ordinary Shares
2012-01-11 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-01-11 摩根士丹利 Morgan Stanley 19520000 628906018 4.0700 S 609145018 3.9400 S Ordinary Shares
2012-01-10 摩根士丹利 Morgan Stanley 632695994 4.0900 S 628906018 4.0700 S Ordinary Shares
2012-01-10 摩根士丹利 Morgan Stanley 6471348 971848890 6.2800 L 965437542 6.2400 L Ordinary Shares
2012-01-09 摩根士丹利 Morgan Stanley 631589994 4.0800 S 632695994 4.0900 S Ordinary Shares
2012-01-09 摩根士丹利 Morgan Stanley 894000 971282865 6.2800 L 971848890 6.2800 L Ordinary Shares
2012-01-06 摩根士丹利 Morgan Stanley 628218769 4.0600 S 631589994 4.0800 S Ordinary Shares
2012-01-06 摩根士丹利 Morgan Stanley 4474400 969749665 6.2700 L 971282865 6.2800 L Ordinary Shares
2012-01-05 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-01-05 摩根士丹利 Morgan Stanley 622688369 4.0200 S 628218769 4.0600 S Ordinary Shares
2012-01-05 摩根士丹利 Morgan Stanley 9633000 967961265 6.2600 L 969749665 6.2700 L Ordinary Shares
2012-01-04 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2012-01-04 摩根士丹利 Morgan Stanley 626522369 4.0500 S 622688369 4.0200 S Ordinary Shares
2012-01-04 摩根士丹利 Morgan Stanley 3084000 971635235 6.2800 L 967961265 6.2600 L Ordinary Shares
2012-01-03 摩根士丹利 Morgan Stanley 627275335 4.0500 S 626522369 4.0500 S Ordinary Shares
2012-01-03 摩根士丹利 Morgan Stanley 5540966 967781201 6.2600 L 971635235 6.2800 L Ordinary Shares
2011-12-30 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-30 摩根士丹利 Morgan Stanley 42313966 551212369 3.5600 S 627275335 4.0500 S Ordinary Shares
2011-12-30 摩根士丹利 Morgan Stanley 42313966 923576965 5.9700 L 967781201 6.2600 L Ordinary Shares
2011-12-29 摩根士丹利 Morgan Stanley 551359369 3.5600 S 551212369 3.5600 S Ordinary Shares
2011-12-29 摩根士丹利 Morgan Stanley 3114000 923723964 5.9700 L 923576965 5.9700 L Ordinary Shares
2011-12-28 摩根士丹利 Morgan Stanley 584329369 3.7800 S 551359369 3.5600 S Ordinary Shares
2011-12-28 摩根士丹利 Morgan Stanley 32970000 956625265 6.1800 L 923723964 5.9700 L Ordinary Shares
2011-12-23 摩根士丹利 Morgan Stanley 34433000 629695569 4.0700 S 584329369 3.7800 S Ordinary Shares
2011-12-23 摩根士丹利 Morgan Stanley 971460465 6.2800 L 956625265 6.1800 L Ordinary Shares
2011-12-22 摩根士丹利 Morgan Stanley 21363200 603633369 3.9000 S 629695569 4.0700 S Ordinary Shares
2011-12-22 摩根士丹利 Morgan Stanley 948407910 6.1300 L 971460465 6.2800 L Ordinary Shares
2011-12-21 摩根士丹利 Morgan Stanley 603828369 3.9000 S 603633369 3.9000 S Ordinary Shares
2011-12-21 摩根士丹利 Morgan Stanley 10999 946270363 6.1200 L 948407910 6.1300 L Ordinary Shares
2011-12-20 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-20 摩根士丹利 Morgan Stanley 607378369 3.9300 S 603828369 3.9000 S Ordinary Shares
2011-12-20 摩根士丹利 Morgan Stanley 71044999 945121363 6.1100 L 946270363 6.1200 L Ordinary Shares
2011-12-19 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-19 摩根士丹利 Morgan Stanley 530198916 3.4300 S 607378369 3.9300 S Ordinary Shares
2011-12-19 摩根士丹利 Morgan Stanley 77179453 870911584 5.6300 L 945121363 6.1100 L Ordinary Shares
2011-12-16 摩根士丹利 Morgan Stanley 498924941 3.2200 S 530198916 3.4300 S Ordinary Shares
2011-12-16 摩根士丹利 Morgan Stanley 1130000 871392910 5.6300 L 870911584 5.6300 L Ordinary Shares
2011-12-15 摩根士丹利 Morgan Stanley 491940488 3.1800 S 498924941 3.2200 S Ordinary Shares
2011-12-15 摩根士丹利 Morgan Stanley 3000000 867659910 5.6100 L 871392910 5.6300 L Ordinary Shares
2011-12-14 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-14 摩根士丹利 Morgan Stanley 492940488 3.1900 S 491940488 3.1800 S Ordinary Shares
2011-12-14 摩根士丹利 Morgan Stanley 1000000 866974910 5.6000 L 867659910 5.6100 L Ordinary Shares
2011-12-13 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-13 摩根士丹利 Morgan Stanley 501251488 3.2400 S 492940488 3.1900 S Ordinary Shares
2011-12-13 摩根士丹利 Morgan Stanley 723000 876912910 5.6700 L 866974910 5.6000 L Ordinary Shares
2011-12-12 摩根士丹利 Morgan Stanley 4069000 880838391 5.6900 L 876912910 5.6700 L Ordinary Shares
2011-12-12 摩根士丹利 Morgan Stanley 505320488 3.2700 S 501251488 3.2400 S Ordinary Shares
2011-12-09 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-09 摩根士丹利 Morgan Stanley 508967488 3.2900 S 505320488 3.2700 S Ordinary Shares
2011-12-09 摩根士丹利 Morgan Stanley 1000000 880838390 5.6900 L 880838391 5.6900 L Ordinary Shares
2011-12-08 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-08 摩根士丹利 Morgan Stanley 507099488 3.2800 S 508967488 3.2900 S Ordinary Shares
2011-12-08 摩根士丹利 Morgan Stanley 2215000 880654391 5.6900 L 880838390 5.6900 L Ordinary Shares
2011-12-07 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-07 摩根士丹利 Morgan Stanley 510035488 3.3000 S 507099488 3.2800 S Ordinary Shares
2011-12-07 摩根士丹利 Morgan Stanley 550000 883426391 5.7100 L 880654391 5.6900 L Ordinary Shares
2011-12-06 摩根士丹利 Morgan Stanley 513645617 3.3200 S 510035488 3.3000 S Ordinary Shares
2011-12-06 摩根士丹利 Morgan Stanley 2128000 886231064 5.7300 L 883426391 5.7100 L Ordinary Shares
2011-12-05 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-05 摩根士丹利 Morgan Stanley 505701617 3.2700 S 513645617 3.3200 S Ordinary Shares
2011-12-05 摩根士丹利 Morgan Stanley 1131000 883482391 5.7100 L 886231064 5.7300 L Ordinary Shares
2011-12-02 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-02 摩根士丹利 Morgan Stanley 496071617 3.2100 S 505701617 3.2700 S Ordinary Shares
2011-12-02 摩根士丹利 Morgan Stanley 11416000 882080064 5.7000 L 883482391 5.7100 L Ordinary Shares
2011-12-01 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-12-01 摩根士丹利 Morgan Stanley 500046922 3.2300 S 496071617 3.2100 S Ordinary Shares
2011-12-01 摩根士丹利 Morgan Stanley 5468000 886154369 5.7300 L 882080064 5.7000 L Ordinary Shares
2011-11-30 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-11-30 摩根士丹利 Morgan Stanley 499119121 3.2300 S 500046922 3.2300 S Ordinary Shares
2011-11-30 摩根士丹利 Morgan Stanley 3512000 881325400 5.7000 L 886154369 5.7300 L Ordinary Shares
2011-11-29 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-11-29 摩根士丹利 Morgan Stanley 520776268 3.3700 S 499119121 3.2300 S Ordinary Shares
2011-11-29 摩根士丹利 Morgan Stanley 18788000 900999042 5.8200 L 881325400 5.7000 L Ordinary Shares
2011-11-28 摩根士丹利 Morgan Stanley 524074595 3.3900 S 520776268 3.3700 S Ordinary Shares
2011-11-28 摩根士丹利 Morgan Stanley 951000 900670241 5.8200 L 900999042 5.8200 L Ordinary Shares
2011-11-25 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-11-25 摩根士丹利 Morgan Stanley 545007107 3.5200 S 524074595 3.3900 S Ordinary Shares
2011-11-25 摩根士丹利 Morgan Stanley 4712809 915704554 5.9200 L 900670241 5.8200 L Ordinary Shares
2011-11-24 摩根士丹利 Morgan Stanley 547356107 3.5400 S 545007107 3.5200 S Ordinary Shares
2011-11-24 摩根士丹利 Morgan Stanley 2501809 919181064 5.9400 L 915704554 5.9200 L Ordinary Shares
2011-11-23 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-11-23 摩根士丹利 Morgan Stanley 523599107 3.3800 S 547356107 3.5400 S Ordinary Shares
2011-11-23 摩根士丹利 Morgan Stanley 18579000 897246064 5.8000 L 919181064 5.9400 L Ordinary Shares
2011-11-22 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-11-22 摩根士丹利 Morgan Stanley 507124617 3.2800 S 523599107 3.3800 S Ordinary Shares
2011-11-22 摩根士丹利 Morgan Stanley 6176980 882410063 5.7000 L 897246064 5.8000 L Ordinary Shares
2011-11-21 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-11-21 摩根士丹利 Morgan Stanley 472108064 3.0500 S 507124617 3.2800 S Ordinary Shares
2011-11-21 摩根士丹利 Morgan Stanley 14251020 891289511 5.7600 L 882410063 5.7000 L Ordinary Shares
2011-11-18 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-11-18 摩根士丹利 Morgan Stanley 519715064 3.3600 S 472108064 3.0500 S Ordinary Shares
2011-11-18 摩根士丹利 Morgan Stanley 47607000 934737241 6.0400 L 891289511 5.7600 L Ordinary Shares
2011-11-17 摩根士丹利 Morgan Stanley 506135064 3.2700 S 519715064 3.3600 S Ordinary Shares
2011-11-17 摩根士丹利 Morgan Stanley 37910000 891574511 5.7600 L 934737241 6.0400 L Ordinary Shares
2011-11-16 摩根士丹利 Morgan Stanley 173100510 333034554 2.1500 S 506135064 3.2700 S Ordinary Shares
2011-11-16 摩根士丹利 Morgan Stanley 173100510 708285001 4.5800 L 891574511 5.7600 L Ordinary Shares
2011-10-13 摩根士丹利 Morgan Stanley 348488553 2.2500 S 339036652 2.1900 S Ordinary Shares
2011-10-13 摩根士丹利 Morgan Stanley 37413000 781583000 5.0500 L 734876099 4.7500 L Ordinary Shares
2011-10-12 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2011-10-12 摩根士丹利 Morgan Stanley 351737553 2.2700 S 348488553 2.2500 S Ordinary Shares
2011-10-12 摩根士丹利 Morgan Stanley 37413000 699003428 4.5200 L 781583000 5.0500 L Ordinary Shares
2011-06-16 Credit Suisse Trust Limited 1000000 5017843327 32.4100 L 5018843327 32.4200 L Ordinary
2011-06-16 Asia Pacific Energy Fund Limited 1000000 5017843327 32.4100 L 5018843327 32.4200 L Ordinary Shares
2011-06-15 Credit Suisse Trust Limited 2500000 5015343327 32.3900 L 5017843327 32.4000 L Ordinary
2011-06-15 Asia Pacific Energy Fund Limited 2500000 5015343327 32.3900 L 5017843327 32.4000 L Ordinary
2010-10-12 张颂义 Zhang Song Yi 5000000 777320346 5.0200 L 772320346 4.9900 L Ordinary Shares
2010-10-12 Beansprouts Ltd. 5000000 777320346 5.0200 L 772320346 4.9900 L Ordinary Shares
2010-10-12 梅冰巧 Mui Bing How 5000000 777320346 5.0200 L 772320346 4.9900 L Ordinary Shares
2010-06-24 Credit Suisse Trust Limited 3000000 5012343327 32.4000 L 5015343327 32.4200 L Ordinary Shares
2010-06-24 Asia Pacific Energy Fund Limited 3000000 5012343327 32.4000 L 5015343327 32.4200 L Ordinary Shares
2010-02-18 张颂义 Zhang Song Yi 54387736 961134083 6.2100 L 906746347 5.8600 L Ordinary Shares
2010-02-18 梅冰巧 Mui Bing How 54387736 961134083 6.2100 L 906746347 5.8600 L Ordinary Shares
2010-02-18 Beansprouts Ltd. 54387736 961134083 6.2100 L 906746347 5.8600 L Ordinary Shares
2010-01-27 VMS Private Investment Partners V Limited 9121208688 9121208688 58.9500 L 0 0.0000 L Ordinary Shares
2010-01-27 VMS Private Investment Partners II Limited 9121208688 9121208688 58.9500 L 0 0.0000 L Ordinary Shares
2010-01-27 鼎佩投资集团有限公司 VMS Investment Group Limited 9121208688 9121208688 58.9500 L 0 0.0000 L Ordinary Shares
2010-01-27 Sun Ally Holdings Limited 9121208688 9121208688 58.9500 L 0 0.0000 L Ordinary Shares
2010-01-27 Star Right Limited 9121208688 9121208688 58.9500 L 0 0.0000 L Ordinary Shares
2010-01-27 Shaw David Elliot 9204390885 9456501639 61.1200 L 252110754 1.6300 L Ordinary Shares
2010-01-27 Milestone Silicon Limited 9622909393 9926169535 64.1600 L 303260142 1.9600 L Ordinary Shares
2010-01-27 麦少娴 Mak Siu Hang Viola 9121208688 9121208688 58.9500 L 0 0.0000 L Ordinary Shares
2010-01-27 Investec Plc 9723996148 9926169535 64.1600 L 202173387 1.3100 L Ordinary Shares
2010-01-27 Investec 1 Limited 9723996148 9926169535 64.1600 L 202173387 1.3100 L Ordinary Shares
2010-01-27 Investec Bank plc 9723996148 9926169535 64.1600 L 202173387 1.3100 L Ordinary Shares
2010-01-27 Guinness Mahon & Co. Limited 9723996148 9926169535 64.1600 L 202173387 1.3100 L Ordinary Shares
2010-01-27 Faith Rise Limited 9121208688 9121208688 58.9500 L 0 0.0000 L Ordinary Shares
2010-01-27 D.E. Shaw Composite Portfolios L.L.C. 9204390885 9456501639 61.1200 L 252110754 1.6300 L Ordinary Shares
2010-01-27 D.E. Shaw Composite Investments Asia 5 (Cayman) Limited 9204390885 9204390885 59.4900 L 0 0.0000 L Ordinary Shares
2010-01-27 D.E. Shaw & Co.,Inc 9204390885 9456501639 61.1200 L 252110754 1.6300 L Ordinary Shares
2010-01-27 D.E. Shaw & Co., L.P. 9204390885 9456501639 61.1200 L 252110754 1.6300 L Ordinary Shares
2010-01-27 D.E. Shaw & Co., L.L.C. 9204390885 9456501639 61.1200 L 252110754 1.6300 L Ordinary Shares
2010-01-27 D.E. Shaw & Co. II, Inc 9204390885 9456501639 61.1200 L 252110754 1.6300 L Ordinary Shares
2010-01-27 D.E. Shaw & Co. (Asia Pacific) Limited 9204390885 9456501639 61.1200 L 252110754 1.6300 L Ordinary Shares
2010-01-27 Bright Joy Group Limited 9121208688 9121208688 58.9500 L 0 0.0000 L Ordinary Shares
2009-12-23 中国投资有限责任公司 China Investment Corporation 3108163054 3111103054 20.1100 L 3111103054 20.1100 L Ordinary Shares
2009-12-23 Chengdong Investment Corporation 3106163054 0 0.0000 L 3108163054 20.0900 L Ordinary Shares
2009-12-23 张颂义 Zhang Song Yi 961134083 961134083 7.7700 L 961134083 6.2100 L Ordinary Shares
2009-12-23 VMS Private Investment Partners V Limited 8943845688 72.3400 L 8943845688 57.8100 L Ordinary Shares
2009-12-23 VMS Private Investment Partners II Limited 8943845688 72.3400 L 8943845688 57.8100 L Ordinary Shares
2009-12-23 鼎佩投资集团有限公司 VMS Investment Group Limited 8943845688 72.3400 L 8943845688 57.8100 L Ordinary Shares
2009-12-23 Sun Ally Holdings Limited 8943845688 72.3400 L 8943845688 57.8100 L Ordinary Shares
2009-12-23 Star Right Limited 8943845688 72.3400 L 8943845688 57.8100 L Ordinary Shares
2009-12-23 Shaw David Elliot 9457721639 76.5000 L 9457721639 61.1300 L Ordinary Shares
2009-12-23 梅冰巧 Mui Bing How 961134083 961134083 7.7700 L 961134083 6.2100 L Ordinary Shares
2009-12-23 麦少娴 Mak Siu Hang Viola 8943845688 72.3400 L 8943845688 57.8100 L Ordinary Shares
2009-12-23 Faith Rise Limited 8943845688 72.3400 L 8943845688 57.8100 L Ordinary Shares
2009-12-23 D.E. Shaw Composite Portfolios L.L.C. 9457721639 76.5000 L 9457721639 61.1300 L Ordinary Shares
2009-12-23 D.E. Shaw Composite Investments Asia 5 (Cayman) Limited 9204390885 74.4500 L 9204390885 59.4900 L Ordinary Shares
2009-12-23 D.E. Shaw & Co.,Inc 9457721639 76.5000 L 9457721639 61.1300 L Ordinary Shares
2009-12-23 D.E. Shaw & Co., L.P. 9457721639 76.5000 L 9457721639 61.1300 L Ordinary Shares
2009-12-23 D.E. Shaw & Co., L.L.C. 9457721639 76.5000 L 9457721639 61.1300 L Ordinary Shares
2009-12-23 D.E. Shaw & Co. II, Inc 9457721639 76.5000 L 9457721639 61.1300 L Ordinary Shares
2009-12-23 D.E. Shaw & Co. (Asia Pacific) Limited 9457721639 76.5000 L 9457721639 61.1300 L Ordinary Shares
2009-12-23 Credit Suisse Trust Limited 5012343327 40.5400 L 5012343327 32.4000 L Ordinary
2009-12-23 Bright Joy Group Limited 8943845688 72.3400 L 8943845688 57.8100 L Ordinary Shares
2009-12-23 Beansprouts Ltd. 961134083 961134083 7.7700 L 961134083 6.2100 L Ordinary Shares
2009-12-23 Asia Pacific Energy Fund Limited 5012343327 40.5400 L 5012343327 32.4000 L Ordinary
2009-12-17 VMS Private Investment Partners V Limited 1000000 9024845688 73.0000 L 9023845688 72.9900 L Ordinary Shares
2009-12-17 VMS Private Investment Partners II Limited 1000000 9024845688 73.0000 L 9023845688 72.9900 L Ordinary Shares
2009-12-17 鼎佩投资集团有限公司 VMS Investment Group Limited 1000000 9024845688 73.0000 L 9023845688 72.9900 L Ordinary Shares
2009-12-17 Sun Ally Holdings Limited 1000000 9024845688 73.0000 L 9023845688 72.9900 L Ordinary Shares
2009-12-17 Star Right Limited 1000000 9024845688 73.0000 L 9023845688 72.9900 L Ordinary Shares
2009-12-17 麦少娴 Mak Siu Hang Viola 1000000 9024845688 73.0000 L 9023845688 72.9900 L Ordinary Shares
2009-12-17 Faith Rise Limited 1000000 9024845688 73.0000 L 9023845688 72.9900 L Ordinary Shares
2009-12-17 Bright Joy Group Limited 1000000 9024845688 73.0000 L 9023845688 72.9900 L Ordinary Shares
2009-12-07 Shaw David Elliot 16371727 9529237275 77.0800 L 9512814548 76.9400 L Ordinary Shares
2009-12-07 D.E. Shaw Composite Portfolios L.L.C. 16371727 9529237275 77.0800 L 9512814548 76.9400 L Ordinary Shares
2009-12-07 D.E. Shaw & Co.,Inc 16371727 9529237275 77.0800 L 9512814548 76.9400 L Ordinary Shares
2009-12-07 D.E. Shaw & Co., L.P. 16371727 9529237275 77.0800 L 9512814548 76.9400 L Ordinary Shares
2009-12-07 D.E. Shaw & Co., L.L.C. 16371727 9529237275 77.0800 L 9512814548 76.9400 L Ordinary Shares
2009-12-07 D.E. Shaw & Co. II, Inc 16371727 9529237275 77.0800 L 9512814548 76.9400 L Ordinary Shares
2009-12-07 D.E. Shaw & Co. (Asia Pacific) Limited 16371727 9529237275 77.0800 L 9512814548 76.9400 L Ordinary Shares
2009-12-02 Shaw David Elliot 60000000 9721046820 78.6300 L 9604731820 77.6900 L Ordinary Shares
2009-12-02 D.E. Shaw & Co.,Inc 60000000 9721046820 78.6300 L 9604731820 77.6900 L Ordinary Shares
2009-12-02 D.E. Shaw Composite Portfolios L.L.C. 60000000 9721046820 78.6300 L 9604731820 77.6900 L Ordinary Shares
2009-12-02 D.E. Shaw & Co., L.P. 60000000 9721046820 78.6300 L 9604731820 77.6900 L Ordinary Shares
2009-12-02 D.E. Shaw & Co. II, Inc 60000000 9721046820 78.6300 L 9604731820 77.6900 L Ordinary Shares
2009-12-02 D.E. Shaw & Co., L.L.C. 60000000 9721046820 78.6300 L 9604731820 77.6900 L Ordinary Shares
2009-12-02 D.E. Shaw & Co. (Asia Pacific) Limited 60000000 9721046820 78.6300 L 9604731820 77.6900 L Ordinary Shares
2009-11-27 Shaw David Elliot 1201962796 10922647616 88.3500 L 9720684820 78.6300 L Ordinary Shares
2009-11-27 D.E. Shaw Composite Portfolios L.L.C. 1201962796 10922647616 88.3500 L 9720684820 78.6300 L Ordinary Shares
2009-11-27 D.E. Shaw & Co.,Inc 1201962796 10922647616 88.3500 L 9720684820 78.6300 L Ordinary Shares
2009-11-27 D.E. Shaw & Co., L.P. 1201962796 10922647616 88.3500 L 9720684820 78.6300 L Ordinary Shares
2009-11-27 D.E. Shaw & Co., L.L.C. 1201962796 10922647616 88.3500 L 9720684820 78.6300 L Ordinary Shares
2009-11-27 D.E. Shaw & Co. II, Inc 1201962796 10922647616 88.3500 L 9720684820 78.6300 L Ordinary Shares
2009-11-27 D.E. Shaw & Co. (Asia Pacific) Limited 1201962796 10922647616 88.3500 L 9720684820 78.6300 L Ordinary Shares
2009-11-20 VMS Private Investment Partners V Limited 30000000 9151208688 74.0200 L 9121208688 73.7800 L Ordinary Shares
2009-11-20 VMS Private Investment Partners II Limited 30000000 9151208688 74.0200 L 9121208688 73.7800 L Ordinary Shares
2009-11-20 鼎佩投资集团有限公司 VMS Investment Group Limited 30000000 9151208688 74.0200 L 9121208688 73.7800 L Ordinary Shares
2009-11-20 Sun Ally Holdings Limited 30000000 9151208688 74.0200 L 9121208688 73.7800 L Ordinary Shares
2009-11-20 Star Right Limited 30000000 9151208688 74.0200 L 9121208688 73.7800 L Ordinary Shares
2009-11-20 麦少娴 Mak Siu Hang Viola 30000000 9151208688 74.0200 L 9121208688 73.7800 L Ordinary Shares
2009-11-20 Faith Rise Limited 30000000 9151208688 74.0200 L 9121208688 73.7800 L Ordinary Shares
2009-11-20 Bright Joy Group Limited 30000000 9151208688 74.0200 L 9121208688 73.7800 L Ordinary Shares
2009-11-17 中国投资有限责任公司 China Investment Corporation 3108163054 2940000 0.0200 L 3111103054 20.1100 L Ordinary Shares
2009-11-05 VMS Private Investment Partners V Limited 732509 9272479980 75.0000 L 9271747471 74.9900 L Ordinary Shares
2009-11-05 VMS Private Investment Partners II Limited 732509 9272479980 75.0000 L 9271747471 74.9900 L Ordinary Shares
2009-11-05 鼎佩投资集团有限公司 VMS Investment Group Limited 732509 9272479980 75.0000 L 9271747471 74.9900 L Ordinary Shares
2009-11-05 Star Right Limited 732509 9272479980 75.0000 L 9271747471 74.9900 L Ordinary Shares
2009-11-05 Sun Ally Holdings Limited 732509 9272479980 75.0000 L 9271747471 74.9900 L Ordinary Shares
2009-11-05 麦少娴 Mak Siu Hang Viola 732509 9272479980 75.0000 L 9271747471 74.9900 L Ordinary Shares
2009-11-05 Faith Rise Limited 732509 9272479980 75.0000 L 9271747471 74.9900 L Ordinary Shares
2009-11-05 Bright Joy Group Limited 732509 9272479980 75.0000 L 9271747471 74.9900 L Ordinary Shares
2009-10-16 Credit Suisse Trust Limited 1840000 5010503327 40.5300 L 5012343327 40.5400 L Ordinary Shares
2009-10-16 Asia Pacific Energy Fund Limited 1840000 5010503327 40.5300 L 5012343327 40.5400 L Ordinary Shares
2009-10-12 Bright Joy Group Limited 100000000 9396479980 76.0000 L 9296479980 75.1900 L Ordinary Shares
2009-10-12 Faith Rise Limited 100000000 9396479980 76.0000 L 9296479980 75.1900 L Ordinary Shares
2009-10-12 麦少娴 Mak Siu Hang Viola 100000000 9396479980 76.0000 L 9296479980 75.1900 L Ordinary Shares
2009-10-12 Star Right Limited 100000000 9396479980 76.0000 L 9296479980 75.1900 L Ordinary Shares
2009-10-12 Sun Ally Holdings Limited 100000000 9396479980 76.0000 L 9296479980 75.1900 L Ordinary Shares
2009-10-12 鼎佩投资集团有限公司 VMS Investment Group Limited 100000000 9396479980 76.0000 L 9296479980 75.1900 L Ordinary Shares
2009-10-12 VMS Private Investment Partners V Limited 100000000 9396479980 76.0000 L 9296479980 75.1900 L Ordinary Shares
2009-10-12 VMS Private Investment Partners II Limited 100000000 9396479980 76.0000 L 9296479980 75.1900 L Ordinary Shares
2009-09-30 Credit Suisse Trust Limited 3000000 5007503327 40.5000 L 5010503327 40.5300 L Ordinary Shares
2009-09-30 Asia Pacific Energy Fund Limited 3000000 5007503327 40.5000 L 5010503327 40.5300 L Ordinary Shares
2009-09-24 Credit Suisse Trust Limited 58125000 5065628327 40.9700 L 5007503327 40.5000 L Ordinary Shares
2009-09-24 Asia Pacific Energy Fund Limited 58125000 5065628327 40.9700 L 5007503327 40.5000 L Ordinary Shares
2009-08-11 OZ Master Fund, Ltd 1150164060 10.4000 L 1190164060 9.6300 L Ordinary Shares
2009-08-11 OZ Management L.P. 1150164060 10.4000 L 1190164060 9.6300 L Ordinary Shares
2009-08-11 OZ Global Special Investments Master Fund, L.P. 1150164060 10.4000 L 1190164060 9.6300 L Ordinary Shares
2009-08-11 OZ Asia Master Fund, Ltd. 1150164060 10.4000 L 1190164060 9.6300 L Ordinary Shares
2009-08-11 Och-Ziff Capital Management Group LLC 1150164060 10.4000 L 1190164060 9.6300 L Ordinary Shares
2009-08-11 Credit Suisse Group AG 1153733503 1153733503 10.4300 L 1153733503 9.3300 L Ordinary Shares
2009-08-11 Och Daniel Saul 1150164060 10.4000 L 1190164060 9.6300 L Ordinary Shares
2009-08-11 Credit Suisse Group AG 15000000 1193733503 10.7900 L 1178733503 9.5300 L Ordinary Shares
2009-08-11 高卓投资有限公司 Highexcel Investments Limited 352518443 36.2500 L 352518443 2.8500 L Ordinary
2009-08-11 张颂义 Zhang Song Yi 961134083 961134083 8.6900 L 961134083 7.7700 L Ordinary Shares
2009-08-11 VMS Private Investment Partners V Limited 9485120980 85.7400 L 9485120980 76.7200 L Ordinary Shares
2009-08-11 VMS Private Investment Partners II Limited 9485120980 85.7400 L 9485120980 76.7200 L Ordinary Shares
2009-08-11 鼎佩投资集团有限公司 VMS Investment Group Limited 0 9485120980 85.7400 L 9485120980 76.7200 L Ordinary Shares
2009-08-11 Sun Ally Holdings Limited 9485120980 85.7400 L 9485120980 76.7200 L Ordinary Shares
2009-08-11 Star Right Limited 9485120980 85.7400 L 9485120980 76.7200 L Ordinary Shares
2009-08-11 Shaw David Elliot 10963257616 99.1000 L 10948257616 88.5600 L Ordinary Shares
2009-08-11 麦少娴 Mak Siu Hang Viola 9485120980 85.7400 L 9485120980 76.7200 L Ordinary Shares
2009-08-11 梅冰巧 Mui Bing How 961134083 961134083 8.6900 L 961134083 7.7700 L Ordinary Shares
2009-08-11 Faith Rise Limited 9485120980 85.7400 L 9485120980 76.7200 L Ordinary Shares
2009-08-11 D.E. Shaw Composite Portfolios L.L.C. 10963257616 99.1000 L 10948257616 88.5600 L Ordinary Shares
2009-08-11 D.E. Shaw Composite Investments Asia 5 (Cayman) Limited 9204390885 83.2000 L 9204390885 74.4500 L Ordinary Shares
2009-08-11 D.E. Shaw & Co.,Inc 10963257616 99.1000 L 10948257616 88.5600 L Ordinary Shares
2009-08-11 D.E. Shaw & Co., L.L.C. 10963257616 99.1000 L 10948257616 88.5600 L Ordinary Shares
2009-08-11 D.E. Shaw & Co., L.P. 10963257616 99.1000 L 10948257616 88.5600 L Ordinary Shares
2009-08-11 D.E. Shaw & Co. II, Inc 10963257616 99.1000 L 10948257616 88.5600 L Ordinary Shares
2009-08-11 D.E. Shaw & Co. (Hong Kong) Limited 10963257616 99.1000 L 10948257616 88.5600 L Ordinary Shares
2009-08-11 Credit Suisse Trust Limited 5065628327 45.7900 L 5065328327 40.9700 L Ordinary Shares
2009-08-11 Bright Joy Group Limited 9485120980 85.7400 L 9485120980 76.7200 L Ordinary Shares
2009-08-11 Asia Pacific Energy Fund Limited 5065628327 45.7900 L 5065628327 40.9700 L Ordinary Shares
2009-08-11 Beansprouts Ltd. 961134083 961134083 8.6900 L 961134083 7.7700 L Ordinary Shares
2009-08-04 D.E. Shaw & Co. (Hong Kong) Limited 40000000 10922644616 98.7300 L 10962644616 99.1000 L Ordinary Shares
2009-08-04 D.E. Shaw & Co. II, Inc 40000000 10922644616 98.7300 L 10962644616 99.1000 L Ordinary Shares
2009-08-04 D.E. Shaw & Co., L.L.C. 40000000 10922644616 98.7300 L 10962644616 99.1000 L Ordinary Shares
2009-08-04 D.E. Shaw & Co., L.P. 40000000 10922644616 98.7300 L 10962644616 99.1000 L Ordinary Shares
2009-08-04 D.E. Shaw & Co.,Inc 40000000 10922644616 98.7300 L 10962644616 99.1000 L Ordinary Shares
2009-08-04 D.E. Shaw Composite Portfolios L.L.C. 40000000 10922644616 98.7300 L 10962644616 99.1000 L Ordinary Shares
2009-08-04 Shaw David Elliot 40000000 10922644616 98.7300 L 10962644616 99.1000 L Ordinary Shares
2009-07-31 张颂义 Zhang Song Yi 961134083 961134083 93.9600 L 961134083 8.6900 L Ordinary Shares
2009-07-31 VMS Private Investment Partners V Limited 9485120980 0 0.0000 L 9485120980 85.7400 L Ordinary Shares
2009-07-31 VMS Private Investment Partners II Limited 9485120980 0 0.0000 L 9485120980 85.7400 L Ordinary Shares
2009-07-31 鼎佩投资集团有限公司 VMS Investment Group Limited 9485120980 0 0.0000 L 9485120980 85.7400 L Ordinary Shares
2009-07-31 Sun Ally Holdings Limited 9485120980 0 0.0000 L 9485120980 85.7400 L Ordinary Shares
2009-07-31 Star Right Limited 9485120980 0 0.0000 L 9485120980 85.7400 L Ordinary Shares
2009-07-31 Shaw David Elliot 516290935 50.4800 L 516290935 4.6700 L Ordinary Shares
2009-07-31 Shaw David Elliot 9204390885 516290935 4.6700 L 9720681820 87.8700 L Ordinary Shares
2009-07-31 Shaw David Elliot 1201962796 9720681820 87.8700 L 10922644616 98.7300 L Ordinary Shares
2009-07-31 OZ Master Fund, Ltd 900000000 0 0.0000 L 1150164060 10.4000 L Ordinary Shares
2009-07-31 OZ Management L.P. 900000000 0 0.0000 L 1150164060 10.4000 L Ordinary Shares
2009-07-31 OZ Global Special Investments Master Fund, L.P. 900000000 0 0.0000 L 1150164060 10.4000 L Ordinary Shares
2009-07-31 OZ Asia Master Fund, Ltd. 900000000 0 0.0000 L 1150164060 10.4000 L Ordinary Shares
2009-07-31 Och-Ziff Capital Management Group LLC 900000000 0 0.0000 L 1150164060 10.4000 L Ordinary Shares
2009-07-31 Och Daniel Saul 900000000 0 0.0000 L 1150164060 10.4000 L Ordinary Shares
2009-07-31 梅冰巧 Mui Bing How 961134083 961134083 93.9600 L 961134083 8.6900 L Ordinary Shares
2009-07-31 摩根士丹利 Morgan Stanley 616000 0.0600 S 616000 0.0100 S Ordinary Shares
2009-07-31 摩根士丹利 Morgan Stanley 160696000 15.7100 L 160696000 1.4500 L Ordinary Shares
2009-07-31 Moonchu Foundation For Culture & Education Limited 187025199 187025199 18.2900 L 187025199 1.6900 L Ordinary Shares
2009-07-31 Milestone Silicon Limited 9926169535 0 0.0000 L 9926169535 89.7300 L Ordinary Shares
2009-07-31 麦少娴 Mak Siu Hang Viola 9485120980 0 0.0000 L 9485120980 85.7400 L Ordinary Shares
2009-07-31 Investec Plc 9926169535 0 0.0000 L 9926169535 89.7300 L Ordinary Shares
2009-07-31 Investec Bank plc 9926169535 0 0.0000 L 9926169535 89.7300 L Ordinary Shares
2009-07-31 Investec 1 Limited 9926169535 0 0.0000 L 9926169535 89.7300 L Ordinary Shares
2009-07-31 Guinness Mahon & Co. Limited 9926169535 0 0.0000 L 9926169535 89.7300 L Ordinary Shares
2009-07-31 Get Famous Investments Limited 118395719 11.5800 L 118395719 1.0700 L Ordinary Shares
2009-07-31 Faith Rise Limited 9485120980 0 0.0000 L 9485120980 85.7400 L Ordinary Shares
2009-07-31 德意志银行 Deutsche Bank Aktiengesellschaft 447931574 620046471 5.6000 L 172114897 1.5600 L Common Stock
2009-07-31 D.E. Shaw Composite Portfolios L.L.C. 516290935 50.4800 L 516290935 4.6700 L Ordinary Shares
2009-07-31 D.E. Shaw Composite Portfolios L.L.C. 9204390885 516290935 4.6700 L 9720681820 87.8700 L Ordinary Shares
2009-07-31 D.E. Shaw Composite Portfolios L.L.C. 1201962796 9720681820 87.8700 L 10922644616 98.7300 L Ordinary Shares
2009-07-31 D.E. Shaw Composite Investments Asia 5 (Cayman) Limited 101086633 101086633 9.8800 L 0 0.0000 L Ordinary Shares
2009-07-31 D.E. Shaw Composite Investments Asia 5 (Cayman) Limited 9204390885 0 0.0000 L 9204390885 83.2000 L Ordinary Shares
2009-07-31 D.E. Shaw & Co.,Inc 516290935 50.4800 L 516290935 4.6700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co.,Inc 9204390885 516290935 4.6700 L 9720681820 87.8700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co.,Inc 1201962796 9720681820 87.8700 L 10922644616 98.7300 L Ordinary Shares
2009-07-31 D.E. Shaw & Co., L.P. 516290935 50.4800 L 516290935 4.6700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co., L.P. 9204390885 516290935 4.6700 L 9720681820 87.8700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co., L.P. 1201962796 9720681820 87.8700 L 10922644616 98.7300 L Ordinary Shares
2009-07-31 D.E. Shaw & Co., L.L.C. 516290935 50.4800 L 516290935 4.6700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co., L.L.C. 9204390885 516290935 4.6700 L 9720681820 87.8700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co., L.L.C. 1201962796 9720681820 87.8700 L 10922644616 98.7300 L Ordinary Shares
2009-07-31 D.E. Shaw & Co. II, Inc 516290935 50.4800 L 516290935 4.6700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co. II, Inc 9204390885 516290935 4.6700 L 9720681820 87.8700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co. II, Inc 1201962796 9720681820 87.8700 L 10922644616 98.7300 L Ordinary Shares
2009-07-31 D.E. Shaw & Co. (Hong Kong) Limited 516290935 50.4800 L 516290935 4.6700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co. (Hong Kong) Limited 9204390885 516290935 4.6700 L 9720681820 87.8700 L Ordinary Shares
2009-07-31 D.E. Shaw & Co. (Hong Kong) Limited 1201962796 9720681820 87.8700 L 10922644616 98.7300 L Ordinary Shares
2009-07-31 Credit Suisse Trust Limited 900000000 Ordinary
2009-07-31 Credit Suisse Trust Limited 900000000 5965628327 583.3300 L 5065628327 45.7900 L Ordinary
2009-07-31 Credit Suisse Group AG 0 0.0000 S 0 0.0000 S Ordinary
2009-07-31 Credit Suisse Group AG 1153733503 0 0.0000 L 1153733503 10.4300 L Ordinary
2009-07-31 陈国泰 Chan Marc 51720220 5.0600 L 51720220 0.4700 L Ordinary Shares
2009-07-31 Bright Joy Group Limited 9485120980 0 0.0000 L 9485120980 85.7400 L Ordinary Shares
2009-07-31 Beansprouts Ltd. 961134083 961134083 93.9600 L 961134083 8.6900 L Ordinary Shares
2009-07-31 Asia Pacific Energy Fund Limited 900000000 Ordinary
2009-07-31 Asia Pacific Energy Fund Limited 900000000 5965628327 583.3300 L 5065628327 45.7900 L Ordinary
2009-07-31 Amplewood Resources Limited 51720220 5.0600 L 51720220 0.4700 L Ordinary Shares
2009-06-22 张颂义 Zhang Song Yi 940000 962074083 94.0700 L 961134083 93.9800 L Ordinary Shares
2009-06-22 梅冰巧 Mui Bing How 940000 962074083 94.0700 L 961134083 93.9800 L Ordinary Shares
2009-06-15 德意志银行 Deutsche Bank Aktiengesellschaft 433636364 0 0.0000 L 620046471 5.6000 L Common Stock
2009-06-15 Shaw David Elliot 400909091 115381843 11.2800 L 516290934 50.4800 L Ordinary Shares
2009-06-15 D.E. Shaw Composite Portfolios L.L.C. 400909091 115381843 11.2800 L 516290934 50.4800 L Ordinary Shares
2009-06-15 D.E. Shaw & Co.,Inc 400909091 115381843 11.2800 L 516290934 50.4800 L Ordinary Shares
2009-06-15 D.E. Shaw & Co., L.L.C. 400909091 115381843 11.2800 L 516290934 50.4800 L Ordinary Shares
2009-06-15 D.E. Shaw & Co., L.P. 400909091 115381843 11.2800 L 516290934 50.4800 L Ordinary Shares
2009-06-15 D.E. Shaw & Co. (Hong Kong) Limited 400909091 115381843 11.2800 L 516290934 50.4800 L Ordinary Shares
2009-06-15 D.E. Shaw & Co. II, Inc 400909091 115381843 11.2800 L 516290934 50.4800 L Ordinary Shares
2009-06-15 Credit Suisse Trust Limited 900000000 900000000 88.0000 S Ordinary Shares
2009-06-15 Credit Suisse Trust Limited 5965628327 583.3300 L 5965628327 583.3300 L Ordinary Shares
2009-06-15 Asia Pacific Energy Fund Limited 900000000 900000000 88.0000 S Ordinary Shares
2009-06-15 Asia Pacific Energy Fund Limited 5965628327 583.3300 L 5965628327 583.3300 L Ordinary Shares
2009-06-05 摩根士丹利 Morgan Stanley 0 0.0000 P 0 0.0000 P Ordinary Shares
2009-06-05 摩根士丹利 Morgan Stanley 674000 0.0700 S 616000 0.0600 S Ordinary Shares
2009-06-05 摩根士丹利 Morgan Stanley 58000 160754000 15.7200 L 160696000 15.7100 L Ordinary Shares
2009-06-03 Moonchu Foundation For Culture & Education Limited 187025199 0 0.0000 L 187025199 18.2900 L Ordinary Shares
2009-06-03 D.E. Shaw & Co. (Hong Kong) Limited 115381843 0 0.0000 L 115381843 11.2800 L Ordinary Shares
2009-06-03 Get Famous Investments Limited 118395719 12.1800 L 118395719 11.5800 L Ordinary Shares
2009-06-03 陈国泰 Chan Marc 51720220 0 0.0000 L 51720220 5.0600 L Ordinary Shares
2009-06-03 张颂义 Zhang Song Yi 961134083 940000 0.0900 L 962074083 94.0700 L Ordinary Shares
2009-06-03 Shaw David Elliot 115381843 0 0.0000 L 115381843 11.2800 L Ordinary Shares
2009-06-03 梅冰巧 Mui Bing How 961134083 940000 0.0900 L 962074083 94.0700 L Ordinary Shares
2009-06-03 摩根士丹利 Morgan Stanley 845000 0.0900 S 674000 0.0700 S Ordinary Shares
2009-06-03 D.E. Shaw Composite Portfolios L.L.C. 115381843 0 0.0000 L 115381843 11.2800 L Ordinary Shares
2009-06-03 摩根士丹利 Morgan Stanley 171000 160925000 16.5500 L 160754000 15.7200 L Ordinary Shares
2009-06-03 D.E. Shaw Composite Investments Asia 5 (Cayman) Limited 101086633 0 0.0000 L 101086633 9.8800 L Ordinary Shares
2009-06-03 D.E. Shaw & Co., L.P. 115381843 0 0.0000 L 115381843 11.2800 L Ordinary Shares
2009-06-03 D.E. Shaw & Co.,Inc 115381843 0 0.0000 L 115381843 11.2800 L Ordinary Shares
2009-06-03 D.E. Shaw & Co. II, Inc 115381843 0 0.0000 L 115381843 11.2800 L Ordinary Shares
2009-06-03 D.E. Shaw & Co., L.L.C. 115381843 0 0.0000 L 115381843 11.2800 L Ordinary Shares
2009-06-03 Credit Suisse Trust Limited 352518443 352518443 36.2400 L 352518443 34.4700 L Ordinary Shares
2009-06-03 Beansprouts Ltd. 961134083 0 0.0000 L 961134083 93.9800 L Ordinary Shares
2009-06-03 Credit Suisse Trust Limited 5613109884 352518443 34.4700 L 5965628327 583.3300 L Ordinary Shares
2009-06-03 Asia Pacific Energy Fund Limited 352518443 352518443 36.2400 L 352518443 34.4700 L Ordinary Shares
2009-06-03 Asia Pacific Energy Fund Limited 5613109884 352518443 34.4700 L 5965628327 583.3300 L Ordinary Shares
2009-06-03 Amplewood Resources Limited 51720220 0 0.0000 L 51720220 5.0600 L Ordinary Shares
2009-06-01 Credit Suisse Trust Limited 352518443 0 0.0000 L 352518443 36.2400 L Ordinary
2009-06-01 Asia Pacific Energy Fund Limited 352518443 0 0.0000 L 352518443 36.2400 L Ordinary
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)
2018-07-09 5000000 0.6900 3450000.0000 0.690
2018-07-06 10000000 0.6800 0.6700 6750000.0000 0.675
2018-07-05 15000000 0.6800 0.6700 10104620.0000 0.674
2018-06-27 183000000 0.7800 0.7400 138679710.0000 0.758
2018-06-26 26424000 0.7700 20346480.0000 0.770
2018-06-25 5000000 0.7700 3850000.0000 0.770
2018-06-22 8000000 0.7700 0.7300 6028000.0000 0.754
2018-06-21 10000000 0.7400 0.7300 7370000.0000 0.737
2011-09-20 5000000 2.5200 12600000.0000 2.520
2011-09-19 5000000 2.7900 13950000.0000 2.790
2011-06-10 5000000 3.4500 3.2600 16850000.0000 3.370

认购 认沽 牛证 熊证
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
16996 保协麦银九七购A Macquarie Bank Limited 20170626 0.790 百慕大式权证 0.250 1.00000 20190703 20190626 20190703 4000万份
22407 保协摩通九六购A J.P. Morgan Structured Products B.V. 20180704 0.800 百慕大式权证 0.173 1.00000 20190628 20190624 20190628 7000万份
18669 保协麦银九七购B Macquarie Bank Limited 20171113 2.080 百慕大式权证 0.295 1.00000 20190703 20190626 20190703 3400万份
17835 保协麦银九四购B Macquarie Bank Limited 20171020 1.680 百慕大式权证 0.313 1.00000 20190402 20190327 20190402 3200万份
16672 保协麦银九十购A Macquarie Bank Limited 20170925 1.380 百慕大式权证 0.286 1.00000 20191002 20190925 20191002 3500万份
29380 保协麦银九四购A Macquarie Bank Limited 20170815 1.060 百慕大式权证 0.257 1.00000 20190402 20190327 20190402 3900万份
26114 保协瑞信九六购A Credit Suisse AG 20180808 0.800 百慕大式权证 0.150 1.00000 20190625 20190619 20190625 7000万份
28258 保协麦银零乙购A 麦格理银行 20180912 0.630 百慕大式权证 0.250 1.00000 20201216 20201210 -- 4000万份
24782 保协瑞信零乙购A Credit Suisse AG 20190129 0.640 百慕大式权证 0.200 1.00000 20201209 20201203 19700101 5000万份
29380 保协麦银九四购A Macquarie Bank Limited 20170815 1.060 百慕大式权证 0.257 1.00000 20190402 20190327 20190402 3900万份
17835 保协麦银九四购B Macquarie Bank Limited 20171020 1.680 百慕大式权证 0.313 1.00000 20190402 20190327 20190402 3200万份
14770 保协麦银一五购A Macquarie Bank Limited 20190327 0.750 百慕大式权证 0.251 1.00000 20210504 20210428 19700101 4000万份
26114 保协瑞信九六购A Credit Suisse AG 20180808 0.800 百慕大式权证 0.150 1.00000 20190625 20190619 20190625 7000万份
22407 保协摩通九六购A J.P. Morgan Structured Products B.V. 20180704 0.800 百慕大式权证 0.173 1.00000 20190628 20190624 20190628 7000万份
16996 保协麦银九七购A Macquarie Bank Limited 20170626 0.790 百慕大式权证 0.250 1.00000 20190703 20190626 20190703 4000万份
18669 保协麦银九七购B Macquarie Bank Limited 20171113 2.080 百慕大式权证 0.295 1.00000 20190703 20190626 20190703 3400万份
16672 保协麦银九十购A Macquarie Bank Limited 20170925 1.380 百慕大式权证 0.286 1.00000 20191002 20190925 20191002 3500万份
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
暂无数据
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
暂无数据
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
暂无数据

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全部评论 7

  • 保利协鑫能源上半年营收71.6亿元人民币,同比下降28.4%,净亏损20亿元人民币。

  • 保利协鑫能源上半年营收71.6亿元人民币,同比下降28.4%,净亏损20亿元人民币。

  • 【保利协鑫能源:新疆工厂一装置闪爆 但工厂已恢复生产】今日保利协鑫能源(3800.HK)内部人士向记者表示:“公司新疆生产基地并未出现‘爆炸’,真实情形是由于产能完全释放,导致一条管道出现憋压,进而产生闪爆。目前除闪爆装置停产检修外,其余装置一切生产正常。”此前有外媒报道称,“保利协鑫新疆多晶硅工厂7月19日因精馏装置问题引发爆炸,该工厂已停产。”(财联社)

  • 港股保利协鑫能源上涨12%,交易量为截至此时刻日均水平的四倍。

  • 港股保利协鑫能源上涨12%,交易量为截至此时刻日均水平的四倍。

  • 恒指涨幅扩大至1%,汽车、地产股领涨蓝筹,腾讯控股涨超2%。太阳能光伏股拉升,保利协鑫能源涨超11%。

  • 【全球最大硅片商易主 隆基股份产能已超保利协鑫】近日,隆基股份创始人、总裁李振国对记者表示,“隆基目前实际硅片产能已超60 GW,其中云南一、二期已达40 GW,宁夏基地已大于20 GW。”有光伏行业人士表示,隆基股份的硅片产能在去年已超过保利协鑫能源。(界面)

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