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机构风向标 | 康泰生物(300601)2025年三季度已披露前十大机构持股比例合计下跌1.01个百分点
Xin Lang Cai Jing· 2025-10-28 01:41
Group 1 - The core viewpoint of the news is that institutional investors hold a total of 62.23 million shares of Kangtai Biological, accounting for 5.57% of the company's total share capital, with a decrease of 1.01 percentage points compared to the previous quarter [1] - As of October 27, 2025, seven institutional investors have disclosed their holdings in Kangtai Biological, including notable entities such as China Industrial Bank and Agricultural Bank of China [1] - The report indicates a mixed trend in public fund holdings, with two funds increasing their stakes and three funds reducing theirs, reflecting a slight increase in the proportion of holdings among public funds [2] Group 2 - Foreign investment sentiment shows a slight increase, with one foreign fund, Hong Kong Central Clearing Limited, raising its holdings by 0.29% compared to the previous period [2] - A total of 232 public funds did not disclose their holdings in this period, including several significant funds in the biotechnology sector [2] - The overall trend indicates a cautious approach from institutional and public investors towards Kangtai Biological, with a notable decrease in institutional holdings [1][2]
机构风向标 | 爱婴室(603214)2025年三季度已披露前十大机构持股比例合计下跌4.31个百分点
Xin Lang Cai Jing· 2025-10-28 01:41
Core Insights - Aiyingshi (603214.SH) reported its Q3 2025 results, revealing that four institutional investors hold a total of 7.2554 million shares, accounting for 5.24% of the company's total equity [1] - The institutional holding percentage decreased by 4.31 percentage points compared to the previous quarter [1] - In the public fund sector, 86 public funds were not disclosed in this period compared to the last quarter, including notable funds such as Penghua Quality Governance Mixed (LOF) A and Huaxia Stable Growth Mixed [1] Institutional Holdings - Four institutional investors disclosed their holdings in Aiyingshi, with a combined shareholding of 7.2554 million shares [1] - The total institutional holding represents 5.24% of Aiyingshi's total equity [1] - The institutional holding percentage saw a decline of 4.31 percentage points from the previous quarter [1] Public Fund Activity - A total of 86 public funds were not disclosed in this quarter compared to the last, indicating a shift in public fund participation [1] - Notable public funds include Penghua Quality Governance Mixed (LOF) A and Penghua Industry Selection Mixed A [1] Foreign Investment - The report indicates that Partners Group Harmonious Baby Limited was the only foreign institution not disclosed in this quarter compared to the previous one [2]
机构风向标 | 南京聚隆(300644)2025年三季度已披露前十大机构持股比例合计下跌2.34个百分点
Xin Lang Cai Jing· 2025-10-28 01:40
Group 1 - Nanjing Julong (300644.SZ) reported its Q3 2025 results, with institutional investors holding a total of 16.0148 million shares, representing 14.47% of the total share capital [1] - The proportion of shares held by institutional investors decreased by 2.34 percentage points compared to the previous quarter [1] - One new public fund was disclosed this period, namely the China Merchants Quantitative Selected Stock Initiation Fund A, while 31 public funds were not disclosed compared to the previous quarter [1] Group 2 - No foreign institutions were disclosed this period compared to the previous quarter, specifically BARCLAYS BANK PLC was not reported [2]
机构风向标 | 龙利得(300883)2025年三季度已披露前十大机构持股比例合计下跌9.63个百分点
Xin Lang Cai Jing· 2025-10-28 01:40
Core Viewpoint - Longlide (300883.SZ) reported a decline in institutional ownership in its Q3 2025 report, with a total of 5 institutional investors holding 66.73 million shares, representing 19.29% of the total share capital, down 9.63 percentage points from the previous quarter [1] Institutional Investors - As of October 27, 2025, 5 institutional investors disclosed their holdings in Longlide, totaling 66.73 million shares, which is 19.29% of the company's total shares [1] - The institutional investors include Shanghai Longerli Investment Development Co., Ltd., Chuzhou Junyuan Venture Capital Center (Limited Partnership), Longlide Intelligent Technology Co., Ltd. - 2024 Employee Stock Ownership Plan, Beijing Ruice Investment Management Co., Ltd. - Ruice Multi-Strategy Phase III Private Securities Investment Fund, and J.P. Morgan Securities PLC - proprietary funds [1] - The institutional ownership percentage decreased by 9.63 percentage points compared to the previous quarter [1] Public Funds - In this period, 43 public funds were not disclosed compared to the previous quarter, including CITIC Prudential Multi-Strategy Mixed (LOF) A, Huaxia CSI 500 Index Enhanced A, Nuoan Multi-Strategy Mixed A, Guojin Quantitative Multi-Factor A, and Huaxia CSI 500 Index Smart Selection Enhanced A [1] Foreign Investment - One new foreign institution disclosed its holdings this quarter, J.P. Morgan Securities PLC - proprietary funds [1] - The foreign institution that was not disclosed compared to the previous quarter is BARCLAYS BANK PLC [1]
机构风向标 | 米奥会展(300795)2025年三季度已披露前十大机构持股比例合计下跌1.32个百分点
Xin Lang Cai Jing· 2025-10-28 01:40
Core Insights - Miaowei Exhibition (300795.SZ) released its Q3 2025 report, indicating a total of 4 institutional investors holding shares, amounting to 9.8998 million shares, which represents 3.31% of the total share capital [1] - The institutional holding ratio decreased by 1.32 percentage points compared to the previous quarter [1] Institutional Investors - The institutional investors include Taicang Yangtze River Delta Equity Investment Center (Limited Partnership), China Construction Bank Corporation Enterprise Annuity Plan - Industrial and Commercial Bank of China, Industrial and Commercial Bank of China - Harvest Theme New Power Mixed Securities Investment Fund, and Guangdong Province No. 5 Occupational Annuity Plan - Construction Bank [1] - The total institutional holding ratio is now at 3.31% [1] Public Funds - One public fund, Harvest Theme New Power Mixed Fund, reduced its holdings slightly compared to the previous quarter [1] - A total of 52 public funds that did not disclose holdings this quarter include notable funds such as Huaxia Stable Growth Mixed, Harvest Leading Growth Mixed, Harvest Advantage Growth Mixed A, Chang'an Xinyue Consumption Mixed A, and Huaxia Return Mixed A [1]
机构风向标 | 富祥药业(300497)2025年三季度已披露前十大机构持股比例合计下跌1.97个百分点
Xin Lang Cai Jing· 2025-10-28 01:35
Core Insights - Fuxiang Pharmaceutical (300497.SZ) released its Q3 2025 report on October 28, 2025, indicating a total of 6 institutional investors holding shares, amounting to 34.4275 million shares, which represents 6.39% of the total share capital [1] Institutional Holdings - The institutional investors include Qingdao Hengze Rui Fund Management Co., Ltd., Jingdezhen Fuxiang Investment Co., Ltd., Jingdezhen Guokong Financial Development Co., Ltd., Guangzhou Fengshen Automotive Investment Group Co., Ltd., CITIC Jiantou Securities Co., Ltd., and Gongqingcheng Yunfeng Asset Management Co., Ltd. - Yunfeng Value No. 5 Securities Investment Private Fund [1] - The total institutional holding percentage decreased by 1.97 percentage points compared to the previous quarter [1] Public Fund Disclosures - In this period, 27 public funds were not disclosed compared to the previous quarter, including funds such as China Merchants Medical Health Industry Stock, China Merchants Quality Growth Mixed A, China Merchants Frontier Medical Care Stock A, China Merchants Innovation Growth Mixed A, and Bosera Huixing Return One-Year Holding Period Mixed [1]
机构风向标 | 太辰光(300570)2025年三季度已披露前十大机构持股比例合计下跌1.96个百分点
Xin Lang Cai Jing· 2025-10-28 01:35
Group 1 - The core viewpoint of the news is that Tai Chen Guang (300570.SZ) has reported its Q3 2025 results, highlighting changes in institutional investor holdings [1] - As of October 27, 2025, a total of 12 institutional investors disclosed holdings in Tai Chen Guang A-shares, with a combined holding of 39.49 million shares, accounting for 17.39% of the total share capital [1] - The top ten institutional investors collectively hold 17.38% of the shares, with a decrease of 1.96 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, two public funds increased their holdings, accounting for 2.33% of the total, while one fund, the ChiNext 200 ETF, saw a slight decrease in holdings [2] - Four new public funds disclosed their holdings in this period, including funds focused on digital economy and mixed strategies [2] - One new social security fund, the National Social Security Fund 110 Combination, disclosed holdings in Tai Chen Guang [2] - One foreign fund, Hong Kong Central Clearing Limited, reduced its holdings by 1.49%, while UBS AG was a new foreign institution that disclosed its holdings [2]
机构风向标 | 汇中股份(300371)2025年三季度已披露前十大机构持股比例合计下跌2.25个百分点
Xin Lang Cai Jing· 2025-10-28 01:35
Core Viewpoint - Huizhong Co., Ltd. (300371.SZ) reported a decline in institutional ownership in its Q3 2025 financial results, indicating a potential shift in investor sentiment [1] Institutional Ownership - As of October 27, 2025, there is one institutional investor holding Huizhong shares, with a total holding of 1.8031 million shares, representing 0.90% of the total share capital [1] - The institutional ownership ratio has decreased by 2.25 percentage points compared to the previous quarter [1] Public Fund Participation - In this reporting period, 64 public funds were not disclosed compared to the previous quarter, including notable funds such as CITIC Prudential Multi-Strategy Mixed (LOF) A, Jinyuan Shun'an Yuanqi Flexible Allocation Mixed, and others [1]
机构风向标 | 德赛西威(002920)2025年三季度已披露持股减少机构超10家
Xin Lang Cai Jing· 2025-10-28 01:35
Group 1 - Desay SV's Q3 2025 report shows that 38 institutional investors hold a total of 363 million shares, representing 60.78% of the company's total equity [1] - The top ten institutional investors collectively hold 60.26% of the shares, with a decrease of 7.28 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, 11 funds increased their holdings, with a total increase ratio of 0.22% [2] - Conversely, 10 funds reduced their holdings, with a slight decrease in the holding ratio [2] - Seven new public funds were disclosed this period, while 593 funds were not disclosed compared to the previous quarter [2] - One foreign fund, Hong Kong Central Clearing Limited, increased its holdings by 0.25% [2]
机构风向标 | 国瓷材料(300285)2025年三季度已披露前十大机构持股比例合计下跌4.57个百分点
Xin Lang Cai Jing· 2025-10-28 01:29
Group 1 - The core viewpoint of the news is that Guocera Materials (300285.SZ) reported a decrease in institutional holdings in its third-quarter report for 2025, with a total of 17 institutional investors holding 182 million shares, accounting for 18.24% of the total share capital [1] - The top ten institutional investors collectively hold 18.17% of the shares, which is a decrease of 4.57 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, six public funds reduced their holdings compared to the previous quarter, with a total reduction of 0.42% [2] - Five new public funds disclosed their holdings this quarter, while 281 public funds did not disclose their holdings again, indicating a significant turnover in public fund investments [2] - In terms of foreign investment, two foreign funds reduced their holdings, with a total reduction of 0.79% compared to the previous quarter [2]