港股通持股情况
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智通港股通持股解析|8月21日
智通财经网· 2025-08-21 00:34
Group 1 - The top three companies by Hong Kong Stock Connect holding ratios are China Telecom (00728) at 74.75%, Green Power Environmental (01330) at 69.93%, and China Shenhua (01088) at 68.22% [1] - The companies with the largest increase in holding amounts over the last five trading days are the Tracker Fund of Hong Kong (02800) with an increase of HKD 63.71 billion, China Life (02628) with HKD 40.68 billion, and Southern Hang Seng Technology (03033) with HKD 35.06 billion [2] - The companies with the largest decrease in holding amounts over the last five trading days are Anta Sports (02020) with a decrease of HKD 9.20 billion, Kuaishou-W (01024) with HKD 7.95 billion, and Geely Automobile (00175) with HKD 6.79 billion [3] Group 2 - The latest holding ratios for the top 20 companies in Hong Kong Stock Connect show significant ownership, with China Telecom leading at 103.75 billion shares [1] - The increase in holdings for the top 10 companies over the last five trading days indicates strong investor interest, particularly in the Tracker Fund of Hong Kong and China Life [2] - The decrease in holdings for the top 10 companies highlights potential concerns among investors, particularly for Anta Sports and Kuaishou [3]
智通港股通持股解析|8月11日
Zhi Tong Cai Jing· 2025-08-11 00:36
Core Insights - The top three companies by Hong Kong Stock Connect holding ratios are China Telecom (00728) at 74.70%, Green Power Environmental (01330) at 70.03%, and China Shenhua (01088) at 68.18% [1] - Tencent Holdings (00700), Alibaba-W (09988), and Kuaishou-W (01024) saw the largest increases in holding amounts over the last five trading days, with increases of +2.39 billion, +2.11 billion, and +1.60 billion respectively [1] - The largest decreases in holding amounts over the last five trading days were recorded by the Tracker Fund of Hong Kong (02800) at -7.82 billion, Hang Seng China Enterprises (02828) at -4.88 billion, and China Mobile (00941) at -1.34 billion [1] Hong Kong Stock Connect Latest Holding Ratios - China Telecom (00728): 10.368 billion shares, 74.70% holding ratio [1] - Green Power Environmental (01330): 0.283 billion shares, 70.03% holding ratio [1] - China Shenhua (01088): 2.303 billion shares, 68.18% holding ratio [1] - Other notable companies include Tianjin Chuangye Environmental (01065) at 64.43% and New天绿色能源 (00956) at 63.76% [1] Recent Increases in Holdings (Last 5 Trading Days) - Tencent Holdings (00700): +2.39 billion, +4.2595 million shares [1] - Alibaba-W (09988): +2.11 billion, +18.1194 million shares [1] - Kuaishou-W (01024): +1.60 billion, +20.1638 million shares [1] - Other companies with significant increases include China Shenhua (01088) and China Life (02628) [1] Recent Decreases in Holdings (Last 5 Trading Days) - Tracker Fund of Hong Kong (02800): -7.82 billion, -30.82404 million shares [1] - Hang Seng China Enterprises (02828): -4.88 billion, -5.35312 million shares [1] - China Mobile (00941): -1.34 billion, -1.54265 million shares [1] - Other companies with notable decreases include Southbound Hang Seng Technology (03033) and Guotai Junan International (01788) [1]
智通港股通持股解析|8月1日
智通财经网· 2025-08-01 00:32
Core Insights - The top three companies by Hong Kong Stock Connect holding ratios are China Telecom (74.71%), Gree Power Environmental (70.02%), and China Shenhua (66.91%) [1][2] - The largest increases in holding amounts over the last five trading days were seen in BYD Company (+135.40 billion), Yingfu Fund (+69.37 billion), and China Construction Bank (+25.49 billion) [1][2] - The largest decreases in holding amounts over the last five trading days were recorded for China Mobile (-18.92 billion), Pop Mart (-11.62 billion), and Agricultural Bank of China (-8.02 billion) [1][3] Group 1: Hong Kong Stock Connect Holding Ratios - China Telecom (00728) has a holding ratio of 74.71% with 10.37 billion shares [2] - Gree Power Environmental (01330) has a holding ratio of 70.02% with 283 million shares [2] - China Shenhua (01088) has a holding ratio of 66.91% with 2.26 billion shares [2] Group 2: Recent Increases in Holdings - BYD Company (01211) saw an increase of 135.40 billion in holding amount, with a change of 11.73 million shares [2] - Yingfu Fund (02800) experienced an increase of 69.37 billion, with a change of 27.46 million shares [2] - China Construction Bank (00939) had an increase of 25.49 billion, with a change of 31.67 million shares [2] Group 3: Recent Decreases in Holdings - China Mobile (00941) had a decrease of 18.92 billion, with a change of -2.20 million shares [3] - Pop Mart (09992) saw a decrease of 11.62 billion, with a change of -0.47 million shares [3] - Agricultural Bank of China (01288) experienced a decrease of 8.02 billion, with a change of -15.57 million shares [3]