港股通持股
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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]
智通港股通持股解析|12月2日
智通财经网· 2025-12-02 00:36
Core Insights - The top three companies by Hong Kong Stock Connect holding ratios are China Telecom (72.69%), Power Assets Holdings (69.90%), and GCL-Poly Energy Holdings (69.11%) [1] - Alibaba (W) saw the largest increase in holding amount over the last five trading days, with an increase of 7.925 billion yuan, followed by Pop Mart with 1.242 billion yuan and China Merchants Bank with 969 million yuan [1] - The largest decreases in holding amounts were observed in the Tracker Fund of Hong Kong (-2.649 billion yuan), Tencent Holdings (-1.534 billion yuan), and Hang Seng China Enterprises Index (-822 million yuan) [2] Group 1: Top Holding Ratios - China Telecom (00728) has a holding of 10.089 billion shares, representing 72.69% [1] - Power Assets Holdings (01635) has a holding of 373 million shares, representing 69.90% [1] - GCL-Poly Energy Holdings (01330) has a holding of 279 million shares, representing 69.11% [1] Group 2: Recent Increases in Holdings - Alibaba (W) (09988) increased its holding amount by 7.925 billion yuan, with a change of 51.1647 million shares [1] - Pop Mart (09992) increased its holding amount by 1.242 billion yuan, with a change of 5.7703 million shares [1] - China Merchants Bank (03968) increased its holding amount by 969 million yuan, with a change of 18.3774 million shares [1] Group 3: Recent Decreases in Holdings - Tracker Fund of Hong Kong (02800) decreased its holding amount by 2.649 billion yuan, with a change of -101.111 million shares [2] - Tencent Holdings (00700) decreased its holding amount by 1.534 billion yuan, with a change of -2.476 million shares [2] - Hang Seng China Enterprises Index (02828) decreased its holding amount by 822 million yuan, with a change of -8.7834 million shares [2]