CHINA UNICOM (HONG KONG) LTD - SPONSORED ADR (CHU) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2021

Type / Class
Equity / SPONSORED ADR
Symbol
CHU
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of CHINA UNICOM (HONG KONG) LTD - SPONSORED ADR (CHU) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q2 0 $0 -$815,000 0
2021 Q1 135,231 $815,000 -$147,521,681 $6.03 1
2020 Q4 27,265,968 $154,982,618 -$7,543,662 $5.68 80
2020 Q3 28,297,640 $185,157,902 -$13,842,707 $6.54 90
2020 Q2 30,488,513 $166,245,144 -$17,745,012 $5.45 87
2020 Q1 33,530,351 $197,201,203 +$8,787,927 $5.88 89
2019 Q4 31,260,933 $292,690,425 -$14,621,273 $9.36 92
2019 Q3 32,302,654 $338,790,725 +$3,044,903 $10.49 94
2019 Q2 31,925,224 $347,951,710 -$6,742,527 $10.90 99
2019 Q1 32,393,048 $414,705,736 +$35,540,303 $12.80 105
2018 Q4 29,805,080 $317,838,614 -$40,228,721 $10.66 94
2018 Q3 33,463,669 $391,113,744 +$16,449,274 $11.69 99
2018 Q2 32,110,626 $401,630,653 +$22,520,880 $12.51 95
2018 Q1 30,286,140 $388,683,414 +$46,331,096 $12.83 91
2017 Q4 26,767,083 $362,330,275 -$17,475,732 $13.53 89
2017 Q3 27,990,030 $392,586,799 -$1,423,385 $14.03 91
2017 Q2 28,263,218 $422,753,232 +$34,099,065 $14.96 79
2017 Q1 26,004,259 $350,161,950 +$50,645,157 $13.47 75
2016 Q4 22,504,775 $260,036,840 +$6,714,647 $11.55 76
2016 Q3 21,766,935 $265,080,568 +$11,659,043 $12.18 75
2016 Q2 20,896,653 $217,499,172 -$37,810,100 $10.41 82
2016 Q1 23,947,226 $314,942,096 -$19,161,134 $13.16 77
2015 Q4 25,596,708 $308,702,309 -$12,627,101 $12.06 83
2015 Q3 26,597,922 $339,633,611 +$9,727,052 $12.77 88
2015 Q2 27,191,036 $426,875,657 +$27,186,850 $15.70 89
2015 Q1 25,486,816 $388,811,540 +$39,086,588 $15.26 80
2014 Q4 23,030,131 $310,049,686 +$1,885,656 $13.45 80
2014 Q3 22,478,464 $337,823,626 -$9,975,987 $15.03 83
2014 Q2 23,274,572 $357,673,459 -$18,205,278 $15.33 84
2014 Q1 24,483,768 $322,286,610 -$48,441,804 $13.16 83