Portfolio Holdings Detail for ISIN IE00BKPX3K41
Stock Name / FundiShares MSCI AC Far East ex-Japan UCITS ETF USD (Acc)
IssuerBlackrock
Entity holding fund iShares Public Limited Company
Entity TypeUmbrella investment company with variable capital and having segregated liability between its funds
Entity LEI 549300YDM1GFZR5B4U80
ETF TickerIFFI.AS(USD) CXE
ETF TickerIFFI(USD) Euronext Amsterdam

Holdings detail for 960.HK

Stock NameLONGFOR GROUP HOLDINGS LTD
Ticker960.HK(HKD) Hong Kong
CountryHong Kong

Show aggregate 960.HK holdings

iShares MSCI AC Far East ex-Japan UCITS ETF USD (Acc) 960.HK holdings

DateNumber of 960.HK Shares HeldBase Market Value of 960.HK SharesLocal Market Value of 960.HK SharesChange in 960.HK Shares HeldChange in 960.HK Base ValueCurrent Price per 960.HK Share HeldPrevious Price per 960.HK Share Held
2025-11-11 (Tuesday)305,500960.HK holding decreased by -4000HKD 410,025960.HK holding increased by 3535HKD 410,025-4,000HKD 3,535 HKD 1.34214 HKD 1.31338
2025-11-10 (Monday)309,500HKD 406,490960.HK holding increased by 9335HKD 406,4900HKD 9,335 HKD 1.31338 HKD 1.28321
2025-11-07 (Friday)309,500HKD 397,155960.HK holding increased by 2292HKD 397,1550HKD 2,292 HKD 1.28321 HKD 1.27581
2025-11-06 (Thursday)309,500HKD 394,863960.HK holding increased by 17504HKD 394,8630HKD 17,504 HKD 1.27581 HKD 1.21925
2025-11-05 (Wednesday)309,500HKD 377,359960.HK holding increased by 748HKD 377,3590HKD 748 HKD 1.21925 HKD 1.21684
2025-11-04 (Tuesday)309,500HKD 376,611960.HK holding decreased by -9244HKD 376,6110HKD -9,244 HKD 1.21684 HKD 1.2467
2025-11-03 (Monday)309,500HKD 385,855960.HK holding increased by 3171HKD 385,8550HKD 3,171 HKD 1.2467 HKD 1.23646
2025-10-31 (Friday)309,500HKD 382,684960.HK holding decreased by -4923HKD 382,6840HKD -4,923 HKD 1.23646 HKD 1.25237
2025-10-30 (Thursday)309,500HKD 387,607960.HK holding decreased by -14675HKD 387,6070HKD -14,675 HKD 1.25237 HKD 1.29978
2025-10-29 (Wednesday)309,500HKD 402,282960.HK holding decreased by -51HKD 402,2820HKD -51 HKD 1.29978 HKD 1.29995
2025-10-28 (Tuesday)309,500HKD 402,333960.HK holding decreased by -4516HKD 402,3330HKD -4,516 HKD 1.29995 HKD 1.31454
2025-10-27 (Monday)309,500HKD 406,849960.HK holding increased by 4122HKD 406,8490HKD 4,122 HKD 1.31454 HKD 1.30122
Share price and value of shares held is calculated on the adjusted close price of each day (row). Changes between days reflect the gain/loss of the portfolio as a result of changes in the adjusted close price and changes in the holdings

Share Trades of 960.HK by Blackrock for IE00BKPX3K41

Show aggregate share trades of 960.HK

DateActionQuantityMarket HighMarket LowLikely Trade PriceLikely Trade Value (Profit/Loss)Average Price previous trades
2025-11-11SELL-4,000 1.342* 1.31 Profit of 5,255 on sale
2025-07-15SELL-14,000 1.297* 1.30 Profit of 18,134 on sale
2025-07-02SELL-2,000 1.225* 1.30 Profit of 2,598 on sale
2025-06-26BUY20,000 1.234* 1.30
2025-06-05SELL-12,000 1.235* 1.32 Profit of 15,863 on sale
2025-05-21BUY4,000 1.292* 1.34
2025-04-22BUY4,000 1.397* 1.34
Market high and low price is on the date.

* (if shown) = market close price used not a projected price. This is used when we do not have market data available to calculate a projection

The likely trade price/value is our estimate on the likely price the trade took place at and is not the actual trade price. The likely LOSS/GAIN is our estimate. Where a profit/loss value is shown in the Likely Trade Value column, this is derived from matching trades between periods eg the most recent previous BUY is matched with the SELL for the same number of shares and the difference between the likely BUY price and likely SELL price is calculated. Where a profit or loss is shown in the Average Price of Previous Trades column, this is dervied using the likely trade price compared to the average of previous trades based on adjusted close

Shorting History of 960.HK

DateShorted VolumeShort Exempt VolumeTotal Shares Traded% Shorted

The data here is derived from FINRA daily shorted trade data. The Daily Short Sale Volume is the total volume of short trades that meet certain criteria on each trade date by 6 PM ET on the trade date. The detail trade data is derived from the monthly shorted trade data which will differ in aggregate. The detail trade data is derived from the transaction level data and includes ALL trades (including exempt) and the aggregation period extends beyond 6pm.

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