Date | Shareholder name | Reason of Disclosure | Buy/Sell and Involved Shares |
Average Price per share | Current Holdings | % of Issued Shares |
08/06/2023 | Cosmic Elite Holdings Limited | 11035(L) | +7,208,000(L) | 25,599,016(L) | 8.17 | |
08/06/2023 | Nexus Partners Group Limited | 11035(L) | +7,208,000(L) | 25,599,016(L) | 8.17 | |
08/06/2023 | Vistra Trust (Singapore) Pte. Limited | 11035(L) | +7,208,000(L) | 25,599,016(L) | 8.17 | |
08/06/2023 | Li Jing | 11035(L) | +7,208,000(L) | 36,127,456(L) | 11.53 | |
06/06/2023 | Vistra Trust (Singapore) Pte. Limited | 1201(L) | -7,208,000(L) | 18,391,016(L) | 5.87 | |
06/06/2023 | Nexus Partners Group Limited | 1201(L) | -7,208,000(L) | 18,391,016(L) | 5.87 | |
06/06/2023 | Cosmic Elite Holdings Limited | 1201(L) | -7,208,000(L) | 18,391,016(L) | 5.87 | |
06/06/2023 | Li Jing | 1201(L) | -7,208,000(L) | 28,919,456(L) | 9.23 | |
09/02/2023 | CPEChina Fund III, L.P. | 1201(L) | -131,295,753(L) | 30,581,889(L) | 9.76 | |
09/02/2023 | Cosmic Elite Holdings Limited | 1201(L) | -17,463,631(L) | 25,599,016(L) | 8.17 | |
09/02/2023 | CPE GOF GP Limited | 1201(L) | -131,295,753(L) | 30,581,889(L) | 9.76 | |
09/02/2023 | CA Medtech Investment III Limited | 1201(L) | -128,649,198(L) | 29,965,444(L) | 9.56 | |
09/02/2023 | CA Medtech Investment II Limited | 1201(L) | -128,649,198(L) | 29,965,444(L) | 9.56 | |
09/02/2023 | CPE Global Opportunities Fund, L.P. | 1201(L) | -131,295,753(L) | 30,581,889(L) | 9.76 | |
09/02/2023 | Li Jing | 1201(L) | -17,463,631(L) | 37,827,456(L) | 12.07 | |
09/02/2023 | CPE Holdings International Limited | 1201(L) | -131,295,753(L) | 30,581,889(L) | 9.76 | |
09/02/2023 | Vistra Trust (Singapore) Pte. Limited | 1201(L) | -17,463,631(L) | 25,599,016(L) | 8.17 | |
09/02/2023 | CPE Funds III Limited | 1201(L) | -131,295,753(L) | 30,581,889(L) | 9.76 | |
09/02/2023 | Li Jing | 1213(L) | -1,700,000(L) | 36,127,456(L) | 11.53 | |
09/02/2023 | Schaffner Silvio Rudolf | 1201(L) | -3,464,987(L) | 807,078(L) | 0.26 | |
09/02/2023 | Nexus Partners Group Limited | 1201(L) | -17,463,631(L) | 25,599,016(L) | 8.17 | |
09/02/2023 | CA Medtech Investment (Cayman) Limited | 1201(L) | -128,649,198(L) | 29,965,444(L) | 9.56 | |
09/02/2023 | CPE Holdings Limited | 1201(L) | -131,295,753(L) | 30,581,889(L) | 9.76 | |
26/01/2023 | Li Jing | 1316(L) | 21,531,324(L) | 55,291,087(L) | 17.64 | |
26/01/2023 | Schaffner Silvio Rudolf | 1316(L) | 4,272,065(L) | 4,272,065(L) | 1.36 | |
26/01/2023 | Vistra Trust (Singapore) Pte. Limited | 1316(L) | 21,531,324(L) | 43,062,647(L) | 13.74 | |
26/01/2023 | Cosmic Elite Holdings Limited | 1316(L) | 21,531,324(L) | 43,062,647(L) | 13.74 | |
26/01/2023 | Boston Scientific Corporation | 1113(L) | 203,702,962(L) | 65.00 | ||
26/01/2023 | Nexus Partners Group Limited | 1316(L) | 21,531,324(L) | 43,062,647(L) | 13.74 | |
19/01/2023 | CA Medtech Investment II Limited | 1316(L) | 158,614,642(L) | 158,614,642(L) | 50.61 | |
19/01/2023 | CPE Funds III Limited | 1316(L) | 161,877,642(L) | 161,877,642(L) | 51.65 | |
19/01/2023 | CPE Holdings International Limited | 1316(L) | 161,877,642(L) | 161,877,642(L) | 51.65 | |
19/01/2023 | CPE Holdings Limited | 1316(L) | 161,877,642(L) | 161,877,642(L) | 51.65 | |
19/01/2023 | CA Medtech Investment (Cayman) Limited | 1316(L) | 158,614,642(L) | 158,614,642(L) | 50.61 | |
19/01/2023 | CA Medtech Investment III Limited | 1316(L) | 158,614,642(L) | 158,614,642(L) | 50.61 | |
19/01/2023 | CPE GOF GP Limited | 1316(L) | 161,877,642(L) | 161,877,642(L) | 51.65 | |
19/01/2023 | CPE Global Opportunities Fund, L.P. | 1316(L) | 161,877,642(L) | 161,877,642(L) | 51.65 | |
19/01/2023 | CPEChina Fund III, L.P. | 1316(L) | 161,877,642(L) | 161,877,642(L) | 51.65 | |
17/01/2023 | CPE Global Opportunities Fund, L.P. | 1302(L) | 9,058,130(L) | 161,877,642(L) | 51.65 | |
17/01/2023 | CA Medtech Investment II Limited | 1302(L) | 9,058,130(L) | 158,614,642(L) | 50.61 | |
1 2 |
Remark: | (L) - Long Position, (S) - Short Position, (P) Lending; |
Real time quote last updated: 22/11/2024 14:40 | |
Real-time basic market prices of Hong Kong securities are provided by HKEx; a Designated Website authorized by the HKEx Group to provide the Service | |