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智通港股通持股解析|1月13日
智通财经网· 2026-01-13 00:32
智通财经APP获悉,根据2026年1月12日披露数据,中国电信(00728)、绿色动力环保(01330)、凯 盛新能(01108)位居港股通持股比例前3位,分别为71.45%、69.71%、67.98%。此外,小米集团-W (01810)、阿里巴巴-W(09988)、腾讯控股(00700)在最近有统计数据的5个交易日内,持股额增 幅最大,分别为+32.43亿元、+21.48亿元、+20.40亿元;盈富基金(02800)、中国移动(00941)、恆生 中国企业(02828)在最近有统计数据的5个交易日内,持股额减幅最大,分别为-50.71亿元、-26.86亿 元、-20.85亿元。 2、港股通最近5个交易日增持榜(前10名) | 公司名称 | 持股额变动 | 持股数变动 | | --- | --- | --- | | 小米集团-W(01810) | +32.43亿元 | +8372.35万股 | | 阿里巴巴-W(09988) | +21.48亿元 | +1392.41万股 | | 腾讯控股(00700) | +20.40亿元 | +327.49万股 | | 中国平安(02318) | +17.33亿元 | + ...
智通港股通持股解析|1月8日
智通财经网· 2026-01-08 00:35
智通财经APP获悉,根据2026年1月7日披露数据,中国电信(00728)、绿色动力环保(01330)、凯盛 新能(01108)位居港股通持股比例前3位,分别为71.53%、69.79%、68.10%。此外,盈富基金 (02800)、恆生中国企业(02828)、小米集团-W(01810)在最近有统计数据的5个交易日内,持股 额增幅最大,分别为+52.01亿元、+20.69亿元、+16.24亿元;腾讯控股(00700)、中国移动(00941)、 中国联通(00762)在最近有统计数据的5个交易日内,持股额减幅最大,分别为-29.29亿元、-15.13亿 元、-7.27亿元。 | 公司名称 | 持股额变动 | 持股数变动 | | --- | --- | --- | | 盈富基金(02800) | +52.01亿元 | +19507.40万股 | | 恆生中国企业(02828) | +20.69亿元 | +2207.72万股 | | 小米集团-W(01810) | +16.24亿元 | +4256.90万股 | | 中芯国际(00981) | +15.41亿元 | +2062.73万股 | | 快手-W(01024 ...
智通港股通持股解析|1月7日
智通财经网· 2026-01-07 00:31
Core Insights - The top three companies by Hong Kong Stock Connect shareholding ratios are China Telecom (71.63%), Gree Power Environmental (69.81%), and Da Zhong Public Utilities (68.41%) [1] - In the last five trading days, the largest increases in shareholding amounts were seen in China Merchants Bank (+2.22 billion), Industrial and Commercial Bank of China (+1.47 billion), and Agricultural Bank of China (+1.39 billion) [1] - The largest decreases in shareholding amounts during the same period were recorded for China Mobile (-2.62 billion), Tencent Holdings (-2.37 billion), and the Tracker Fund of Hong Kong (-1.56 billion) [1] Group 1: Shareholding Ratios - China Telecom (00728) holds 9.941 billion shares, with a shareholding ratio of 71.63% [1] - Gree Power Environmental (01330) has 0.282 billion shares, with a shareholding ratio of 69.81% [1] - Da Zhong Public Utilities (01635) possesses 0.365 billion shares, with a shareholding ratio of 68.41% [1] Group 2: Recent Increases in Shareholding - China Merchants Bank (03968) saw an increase of 2.22 billion in shareholding, with a change of 42.72 million shares [1] - Industrial and Commercial Bank of China (01398) increased by 1.47 billion, with a change of 237.38 million shares [1] - Agricultural Bank of China (01288) rose by 1.39 billion, with a change of 249.72 million shares [1] Group 3: Recent Decreases in Shareholding - China Mobile (00941) experienced a decrease of 2.62 billion, with a change of -31.85 million shares [3] - Tencent Holdings (00700) saw a reduction of 2.37 billion, with a change of -3.75 million shares [3] - Tracker Fund of Hong Kong (02800) decreased by 1.56 billion, with a change of -58.09 million shares [3]
智通港股通持股解析|1月6日
智通财经网· 2026-01-06 00:37
智通财经APP获悉,根据2026年1月5日披露数据,中国电信(00728)、绿色动力环保(01330)、大眾 公用(01635)位居港股通持股比例前3位,分别为71.63%、69.81%、68.41%。此外,招商银行 (03968)、工商银行(01398)、农业银行(01288)在最近有统计数据的5个交易日内,持股额增幅最 大,分别为+22.23亿元、+14.74亿元、+14.08亿元;中国移动(00941)、腾讯控股(00700)、盈富基金 (02800)在最近有统计数据的5个交易日内,持股额减幅最大,分别为-26.21亿元、-23.40亿元、-15.41 亿元。 具体数据如下(交易所数据根据T+2日结算): 1、港股通最新持股比例排行(前20名) 备注:以上数据由智通机器人根据港交所数据,经过人工智能运算后自动生成,并不保证数据100%准 确;持股额变动=变动持股数*昨日收盘价。 3、港股通最近5个交易日减持榜(前10名) 公司名称 持股额变动 持股数变动 中国移动(00941) -26.21亿元 -3185.20万股 腾讯控股(00700) -23.40亿元 -374.72万股 盈富基金(02800) ...
智通港股通持股解析|1月5日
Zhi Tong Cai Jing· 2026-01-05 01:12
2、港股通最近5个交易日增持榜(前10名) 公司名称 持股额变动 持股数变动 招商银行(03968) +17.68亿元 +3300.78万股 农业银行(01288) +10.93亿 元 +18744.26万股 香港交易所(00388) +8.37亿元 +201.24万股 三花智控(02050) +7.33亿元 +1829.50万股 中国平安(02318) +6.73亿元 +1007.24万股 长江基建集团(01038) +5.69亿元 +995.95万股 电能实业(00006) +5.47亿元 +991.55万股 工商银行(01398) +5.27亿元 +8310.61万股 地平线机器人-W(09660) +4.84亿元 +5384.22万股 泡泡玛特(09992) +4.76亿元 +246.33万股 智通财经APP获悉,根据2026年1月2日披露数据,中国电信(00728)、绿色动力环保(01330)、凯盛新能 (01108)位居港股通持股比例前3位,分别为71.86%、70.06%、68.16%。此外,招商银行(03968)、农业 银行(01288)、香港交易所(00388)在最近有统计数据的5个交易日内 ...
智通港股通持股解析|12月31日
智通财经网· 2025-12-31 00:31
| 公司名称 | 持股额变动 | 持股数变动 | | --- | --- | --- | | 中芯国际(00981) | +11.08亿元 | +1528.03万股 | | 招商银行(03968) | +10.56亿元 | +1992.38万股 | | 香港交易所(00388) | +7.92亿元 | +193.91万股 | | 小米集团-W(01810) | +6.33亿元 | +1608.82万股 | | 三花智控(02050) | +6.32亿元 | +1645.09万股 | | 阿里巴巴-W(09988) | +5.30亿元 | +366.55万股 | | 长江基建集团(01038) | +5.17亿元 | +883.75万股 | | 农业银行(01288) | +4.48亿元 | +7716.84万股 | | 越疆(02432) | +4.29亿元 | +1114.44万股 | | 匯丰控股(00005) | +4.21亿元 | +342.34万股 | 备注:以上数据由智通机器人根据港交所数据,经过人工智能运算后自动生成,并不保证数据100%准 确;持股额变动=变动持股数*昨日收盘价。 3、港股通最 ...
智通港股通持股解析|12月23日
智通财经网· 2025-12-23 00:32
| 公司名称 | 持股额变动 | 持股数变动 | | --- | --- | --- | | 小米集团-W(01810) | +25.47亿元 | +6399.58万股 | | 美团-W(03690) | +14.76亿元 | +1435.95万股 | | 中国平安(02318) | +8.72亿元 | +1336.12万股 | | 南方恆生科技(03033) | +8.08亿元 | +14930.10万股 | | 长飞光纤光缆(06869) | +7.96亿元 | +1383.68万股 | | 腾讯控股(00700) | +7.74亿元 | +125.92万股 | | 香港交易所(00388) | +7.68亿元 | +188.72万股 | | 商汤-W(00020) | +5.35亿元 | +26202.00万股 | | 小鹏汽车-W(09868) | +5.15亿元 | +667.77万股 | | 比亚迪股份(01211) | +5.14亿元 | +548.32万股 | 智通财经APP获悉,根据2025年12月22日披露数据,中国电信(00728)、绿色动力环保(01330)、大 眾公用(01635)位 ...
智通港股通持股解析|12月17日
智通财经网· 2025-12-17 00:34
| 公司名称 | 持股额变动 | 持股数变动 | | --- | --- | --- | | 小米集团-W(01810) | +38.19亿元 | +9338.51万股 | | 美团-W(03690) | +33.87亿元 | +3403.88万股 | | 贝壳-W(02423) | +16.17亿元 | +3768.91万股 | | 招商银行(03968) | +12.60亿元 | +2531.09万股 | | 快手-W(01024) | +7.37亿元 | +1150.31万股 | | 香港交易所(00388) | +6.56亿元 | +165.73万股 | | 农业银行(01288) | +6.17亿元 | +11594.70万股 | | 万洲国际(00288) | +5.57亿元 | +6330.36万股 | | 泡泡玛特(09992) | +5.48亿元 | +289.73万股 | | 比亚迪股份(01211) | +5.31亿元 | +561.24万股 | 3、港股通最近5个交易日减持榜(前10名) | 公司名称 | 持股额变动 | 持股数变动 | | --- | --- | --- | | 阿里 ...
智通港股通持股解析|12月10日
智通财经网· 2025-12-10 00:32
Core Insights - The top three companies by Hong Kong Stock Connect holding ratios are China Telecom (72.81%), Power Assets Holdings (70.38%), and GCL-Poly Energy Holdings (69.39%) [1][2] - Xiaomi Group-W, Tracker Fund of Hong Kong, and Leapmotor have seen the largest increases in holding amounts over the last five trading days, with increases of +4.027 billion, +2.396 billion, and +0.950 billion respectively [1][2] - Tencent Holdings, Alibaba Group-W, and SMIC have experienced the largest decreases in holding amounts over the last five trading days, with decreases of -3.495 billion, -1.324 billion, and -1.010 billion respectively [1][3] Hong Kong Stock Connect Holding Ratios - The latest holding ratios for the top 20 companies show China Telecom leading with 72.81%, followed by Power Assets Holdings at 70.38% and GCL-Poly Energy at 69.39% [2] - Other notable companies in the top 20 include China Shenhua Energy (67.05%) and Tianjin Capital Environmental Protection (66.57%) [2] Recent Increases in Holdings - Xiaomi Group-W saw an increase of +4.027 billion in holding amounts, with a change of +9.761 million shares [2] - Tracker Fund of Hong Kong and Leapmotor also had significant increases, with +2.396 billion and +0.950 billion respectively [2] Recent Decreases in Holdings - Tencent Holdings experienced the largest decrease in holding amounts at -3.495 billion, with a reduction of -5.800 million shares [3] - Alibaba Group-W and SMIC followed with decreases of -1.324 billion and -1.010 billion respectively [3]
智通港股通持股解析|12月9日
智通财经网· 2025-12-09 00:31
Core Insights - The top three companies by Hong Kong Stock Connect holding ratios are China Telecom (72.88%), Power Assets Holdings (69.70%), and GCL-Poly Energy Holdings (69.23%) [1][2] - The largest increases in holdings over the last five trading days were seen in the Tracker Fund of Hong Kong (+2.874 billion), Xiaomi Group-W (+1.552 billion), and Meituan-W (+925 million) [1][2] - The largest decreases in holdings were recorded for Tencent Holdings (-2.444 billion), SMIC (-1.011 billion), and Zijin Mining (-646 million) [1][3] Group 1: Hong Kong Stock Connect Holding Ratios - China Telecom (00728) has a holding of 10.115 billion shares, representing 72.88% [2] - Power Assets Holdings (01635) has a holding of 372 million shares, representing 69.70% [2] - GCL-Poly Energy Holdings (01330) has a holding of 280 million shares, representing 69.23% [2] Group 2: Recent Increases in Holdings - Tracker Fund of Hong Kong (02800) saw an increase of +2.874 billion in holdings, with a change of +11.06275 million shares [2] - Xiaomi Group-W (01810) experienced an increase of +1.552 billion in holdings, with a change of +3.64502 million shares [2] - Meituan-W (03690) had an increase of +925 million in holdings, with a change of +930.15 thousand shares [2] Group 3: Recent Decreases in Holdings - Tencent Holdings (00700) had a decrease of -2.444 billion in holdings, with a change of -404.04 thousand shares [3] - SMIC (00981) saw a decrease of -1.011 billion in holdings, with a change of -1.40754 million shares [3] - Zijin Mining (02899) experienced a decrease of -646 million in holdings, with a change of -1.90246 million shares [3]