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01669 GIC GROUP
Other Financials
22
34
13
100
0.540 0.000 (0.000%) High
 
Share Tr
0.000
Prev Close
0.540
1 Month High
0.560
MKT Cap
216.000M
Low
 
Turnover
0.000
Open
 
1 Month Low
0.510
Short Sell
--
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Active Buy(am/pm) Active Sell(am/pm)
  • Today
  •  
  • Block Trade
  •  
  • Bid #
  • 0.520
  • 10-D SMA
  • 0.539
  • Ask #
  • 0.560
  • 20-D SMA
  • 0.542
  • No of Tr
  •  
  • 50-D SMA
  • 0.516
  • Amount/T
  • 100-D SMA
  • 0.505
  • VWAP
  • 250-D SMA
  • 0.473
  • Currency
  • HKD
  • 52-W High
  • 0.590
  • BoardLot
  • 2000
  • 52-W Low
  • 0.444
  • Admission Fee
  • 1,080
  • 14-D RSI
  • 52.516
  • Spread
  • 0.010/0.010
  • 10-D R. of Returni
  • 0
  • P/E Ratio/Est.
  • 4.286/--
  • Rate of Riski
  • 0.027%
  • % Yld/Est.
  • 9.259/--
  • Risk Return Ratei
  • 0.000
  • EPS
  • HKD 0.126
  • Betai
  • +0.178
  • DPS
  • HKD 0.050
  • Listing Date
  • 12/12/2014
  • NBV Per Share
  • HKD 2.288
  • Listing Price
  • 1.350
  • POS/CAS Elig.i
  • Y/Y
  • VCM Elig.i
  • N
Call/Put Ratio
Not Applicable
Bull/Bear Ratio
Not Applicable
Call/Bull Put/Bear
Dividend Records 27/03/2024
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Fin Div HKD 0.05
Ex-date: 07/06/2024
Payable Date:28/06/2024
Last Updated: 19/04/2024 10:48
# Bid and Ask are 15-min delayed.
Code Name   Nominal Change %Change PE P/E Range# Amount/T*
01669GIC GROUPunchange0.5400.0000.000%4.286PE
00388HKEXdown214.000-4.600-2.104%22.839PE
201,919
80388HKEX-Rdown198.400-4.200-2.073%23.344PE
73,375
00412SDHGup5.310+0.010+0.189%2,124.000PE
16,319
06030CITIC SECup11.200+0.020+0.179%7.814PE
83,478
03360FE HORIZONdown5.530-0.030-0.540%3.412PE
61,629
03660QFIN-Sdown69.450-0.650-0.927%4.715PE
06623LUFAXdown16.460-0.540-3.176%19.389PE
5,413
03908CICCdown8.550-0.050-0.581%6.803PE
32,465
06886HTSCdown8.780-0.010-0.114%5.899PE
14,866
06881CGSdown3.840-0.030-0.775%5.199PE
29,998
Remark:  * Amount/T indicates the turnover per each transaction.
  # P/E Range is the comparison of P/E of that stock with the industry, left hand side indicating lower P/E and getting larger towards the right hand side.
  Index bar's Local indice is real time, last updated: 19/04/2024 10:48
  Index bar's Shanghai (Securities) Composite Indice is real time, last updated: 19/04/2024 10:48
  Index bar's Futures are real time updated. Last updated: 19/04/2024 10:48
  The calculation of Industry Price Up/Down Ratio, Call/Put Ratio and Bull/Bear Ratio are based on at least 15-min Delayed turnover.
  All Quote data displayed without real time indication of "RT" is at least 15-min delayed.
  Issue price is not adjusted for dividend, bonus issue, ex-rights or any corporate actions.
  Real time quote last updated: 19/04/2024 10:48
  Real-time basic market prices of Hong Kong securities are provided by HKEx; a Designated Website authorized by the HKEx Group to provide the Service
 
Price Up Stocks
Price Down Stocks
No change
Idle Stocks
Code Name   Nominal Turnover
00700TENCENTdown300.4002.369B
03690MEITUAN-Wdown93.1001.862B
02828HSCEI ETFdown57.6201.793B
09999NTES-Sdown141.8001.236B
09988BABA-SWdown66.1501.227B
Real time quote last updated: 19/04/2024 10:48
%Gainers More 更多 %Gainers
Code Name   Nominal %Change
00883CNOOCup19.060+3.587%
00316OOILup101.100+3.374%
00857PETROCHINAup7.530+2.869%
00386SINOPEC CORPup4.660+1.747%
02899ZIJIN MININGup17.980+1.582%
%Losers More 更多 %Losers
Code Name   Nominal %Change
02015LI AUTO-Wdown107.600-6.272%
02382SUNNY OPTICALdown35.450-5.467%
06862HAIDILAOdown15.860-4.802%
03690MEITUAN-Wdown93.100-4.757%
01928SANDS CHINA LTDdown18.000-4.661%
Last updated: 19/04/2024 10:30
%Gainers More 更多 %Gainers
Code Name   Nominal %Change
00883CNOOCup19.060+3.587%
00857PETROCHINAup7.530+2.869%
00386SINOPEC CORPup4.660+1.747%
01288ABCup3.470+1.166%
01088CHINA SHENHUAup33.000+0.917%
%Losers More 更多 %Losers
Code Name   Nominal %Change
09868XPENG-Wdown27.250-6.518%
02015LI AUTO-Wdown107.600-6.272%
02382SUNNY OPTICALdown35.450-5.467%
06862HAIDILAOdown15.860-4.802%
03690MEITUAN-Wdown93.100-4.757%
Last updated: 19/04/2024 10:30
Profit / (Loss) Attributable to Shareholders ($)HKD 50,304,000
%Change-1.285%
EPS / (LPS)HKD 0.126
NBV Per Share ($)HKD 2.288
A Member of HKET Holdings
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計算以10天持有時間為限的回報率。數值愈大,回報愈高;數值愈小,回報愈低。正數表示盈餘,負數表示虧損。
風險率乃指標準差(以過往一年數據為計算基礎),作為量度投資回報穩定性的指標。標準差數值愈大,代表回報遠離過去平均數值,即較不穩定,故風險愈高。相反,標準差數值愈小,代表回報較為穩定,風險亦較低。
回報/風險比率乃10天回報率與風險率相除計算所得。數值大於1,表示波動性較過往一年為高;數值少於1,即波動性較過往一年為低。正數表示向上動力,負數則指向下動力。
啤打系數用於顯示股價相對整體市場的波動性。如數值大於1,意即波動性較市場為大,相反如數值少於1,意即波動性較市場為小。簡言之,數值愈大,風險愈高;數值愈小,風險愈低。
During 09:00 to 09:30 of POS,
- 1st stage: orders could be placed within the ±15% of prev. close
- 2nd stage: orders would further be restricted by upper/lower price limits recorded at the end of Order Input Period.

During 16:00 to 16:10 of CAS,
- Orders could be placed within the ±5% of ref. price and between lowest ask and highest bid.
VCM is triggered if a stock/futures contract (covered under VCM) is far away from the last traded price 5-min ago. A 5-min cooling-off period will start to allow trading within the band. Normal trading will resume afterwards. More Info: click here