Kunshan Kinglai Hygienic Materials Co.,Ltd.

SZSE:300260 Stock Report

Market Cap: CN¥10.8b

Kunshan Kinglai Hygienic MaterialsLtd Ownership

Who are the major shareholders and have insiders been buying or selling?


Recent Insider Transactions

Insider Trading Volume

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


Ownership Breakdown

What is the ownership structure of 300260?
Owner TypeNumber of SharesOwnership Percentage
Institutions74,908,83918.5%
General Public95,727,34023.6%
Individual Insiders235,157,00257.9%

Dilution of Shares: Shareholders have not been meaningfully diluted in the past year.


Top Shareholders

Top 25 shareholders own 74.37% of the company
OwnershipNameSharesCurrent ValueChange %Portfolio %
25.2%
Shuibo Li
102,200,850CN¥2.7b0%no data
16.8%
Anyun Shen
68,145,300CN¥1.8b0%no data
6.93%
Baihua Li
28,127,089CN¥747.1m0%no data
6.92%
Baiyuan Li
28,068,894CN¥745.5m0%no data
2.14%
Bosera Asset Management Co., Ltd.
8,702,522CN¥231.1m0%0.14%
2.1%
Dajia Asset Management Co., Ltd.
8,502,084CN¥225.8m0%0.58%
1.83%
Horizon Asset Management Co. Ltd.
7,443,471CN¥197.7m0%2.47%
1.8%
Shanhong Li
7,298,291CN¥193.8m0%no data
1.22%
China Southern Asset Management Co., Ltd.
4,935,393CN¥131.1m0%0.05%
1.13%
National Council for Social Security Fund
4,570,978CN¥121.4m0%0.02%
0.88%
Oriental Alpha Fund Management Co., Ltd.
3,571,328CN¥94.9m0%1.15%
0.81%
Invesco Great Wall Fund Management Co. Ltd
3,277,024CN¥87.0m0%0.05%
0.75%
China Asset Management Co. Ltd.
3,053,756CN¥81.1m0%0.01%
0.73%
Orient Fund Management Co. Ltd.
2,958,191CN¥78.6m0%0.34%
0.72%
Yinhua Fund Management Co., Ltd.
2,930,436CN¥77.8m0%0.07%
0.66%
Fullgoal Fund Management Co. Ltd.
2,664,780CN¥70.8m0%0.03%
0.63%
Focusbridge Investments Limited
2,543,260CN¥67.5m0%1.89%
0.59%
Huashang Fund Management Company Ltd.
2,391,479CN¥63.5m0%0.12%
0.56%
Hwabao WP Fund Management Co., Ltd
2,252,740CN¥59.8m0%0.05%
0.54%
Jinxin Fund Management Co., Ltd.
2,176,100CN¥57.8m0%1.35%
0.35%
China Universal Asset Management Company Ltd.
1,400,120CN¥37.2m0%0.02%
0.32%
GF Fund Management Co., Ltd.
1,295,520CN¥34.4m0%0.01%
0.29%
ABC-CA Fund Management Co., Ltd.
1,186,951CN¥31.5m0%0.1%
0.26%
UBS SDIC Fund Management Co., Ltd.
1,050,840CN¥27.9m0%0.09%
0.26%
The Vanguard Group, Inc.
1,046,745CN¥27.8m0%no data