Sailun Group Co., Ltd.

SHSE:601058 주식 보고서

시가총액: CN¥47.7b

Sailun Group 소유권

주요 주주는 누구이며 내부자가 매수 또는 매도한 적이 있나요?


최근 내부자 거래

내부자 거래량

내부자 구매: Insufficient data to determine if insiders have bought more shares than they have sold in the past 3 months.


소유권 분석

601058 의 소유 구조는 어떻게 되나요?
소유자 유형공유 수소유권 비율
직원 공유 제도59,900,0501.9%
개인 내부자263,203,2648.35%
민간 기업269,968,7828.56%
VC/PE 기업413,825,99213.1%
교육기관857,047,39727.2%
일반 대중1,289,427,54640.9%

주식의 희석: Shareholders have been diluted in the past year, with total shares outstanding growing by 5.6%.


최대 주주

상위 25 주주가 회사의 53.39%를 소유하고 있습니다.
소유권이름공유현재 값변경 %포트폴리오 %
13.1%
Ruiyuan Dingshi Investment Co., Ltd.
413,825,992CN¥6.3b0%데이터 없음
7.13%
Zhong Yuan
224,690,895CN¥3.4b0%데이터 없음
6.11%
Feldspar Investment Co., Ltd.
192,550,782CN¥2.9b-15.2%데이터 없음
3.29%
China Southern Asset Management Co., Ltd.
103,786,619CN¥1.6b0%0.56%
2.46%
Qingdao Yuming Investment Center (Limited Partnership)
77,418,000CN¥1.2b0%데이터 없음
2.22%
HuaAn Fund Management Company Ltd.
70,130,648CN¥1.1b0%0.62%
1.94%
China Asset Management Co. Ltd.
61,310,405CN¥927.0m0.86%0.14%
1.9%
Sailun Group Co., Ltd. - ESOP
59,900,050CN¥905.7m0%데이터 없음
1.64%
Ping An UOB Fund Management Co., Ltd.
51,639,687CN¥780.8m2.39%2.01%
1.46%
Dacheng Fund Management Co., Ltd.
46,110,723CN¥697.2m-1.13%0.6%
1.33%
Zhong Ou Fund Management Co., Ltd
41,963,203CN¥634.5m0.55%0.33%
1.24%
China Merchants Fund Management Company Ltd.
39,001,596CN¥589.7m-4.29%0.35%
1.21%
Fullgoal Fund Management Co. Ltd.
38,004,853CN¥574.6m-42.2%0.21%
1.15%
National Council for Social Security Fund
36,198,354CN¥547.3m-60.3%0.08%
0.94%
Bank of Communications Schroder Fund Management Co., Ltd.
29,747,557CN¥449.8m-9.18%0.45%
0.88%
Guotai Asset Management Company Limited
27,722,744CN¥419.2m-48.7%0.22%
0.82%
AXA SPDB Investment Managers Co., Ltd.
25,741,963CN¥389.2m0%3.6%
0.81%
Shanghai Orient Securities Asset Management Co., Ltd.
25,677,633CN¥388.2m-45.7%0.43%
0.64%
Lion Fund Management Co. Ltd.
20,026,422CN¥302.8m-52.4%0.76%
0.63%
Bosera Asset Management Co., Ltd.
20,000,742CN¥302.4m16.3%0.18%
0.62%
UBS SDIC Fund Management Co., Ltd.
19,631,082CN¥296.8m77.5%0.93%
0.48%
ICBC Credit Suisse Asset Management Co., Ltd.
15,274,240CN¥230.9m135%0.17%
0.48%
E Fund Management Co., Ltd.
15,212,802CN¥230.0m-3.49%0.04%
0.47%
SWS MU Fund Management Co., Ltd.
14,876,690CN¥224.9m-46.5%0.99%
0.41%
GF Fund Management Co., Ltd.
13,070,403CN¥197.6m177%0.06%