IPO Allotment Result

Please find the allotment results of thes following IPO shares:

Stock Name

Stock Code

Allotment Date

Listing Date

Simcere Pharmaceutical Group Limited 02096 23 October 2020 27 October 2020
Canggang Railway Limited 02169 22 October 2020 23 October 2020
First Service Holding Limited 02107 21 October 2020 22 October 2020
China Nature Energy Technology Holdings Limited 01597 19 October 2020 20 October 2020
LANDRICH HOLDING LIMITED 02132 19 October 2020 20 October 2020
EXCELLENCE COMMERCIAL PROPERTY & FACILITIES MANAGEMENT GROUP LIMITED 06989 16 October 2020 19 October 2020
TRUE PARTNER CAPITAL HOLDING LIMITED 08657 15 October 2020 16 October 2020
Channel Micron Holdings Company Limited 02115 14 October 2020 08 October 2020
CN Logistics International Holdings Limited 02130 14 October 2020 15 October 2020
Everest Medicines Limited 01952 08 October 2020 09 October 2020
JHBP (CY) Holdings Limited 06998 06 October 2020 07 October 2020
ZTO Express (Cayman) Inc. 02057 28 September 2020 29 September 2020
NEUSOFT EDUCATION TECHNOLOGY CO. LIMITED 09616 28 September 2020 29 September 2020
Skymission Group Holdings Limited 01429 28 September 2020 29 September 2020
Baozun Inc. 09991 28 September 2020 29 September 2020
Zai Lab Limited 09688 25 September 2020 28 September 2020




Simcere Pharmaceutical Group Limited

Application through Branch/Hotline

Securities
Account No.

No. of Shares

109300688610
2000
 

Application through DBS iBanking

Securities
Account No.

No. of Shares

100007500170
1000
100201049880
1000
101211760170
1000
104201129120
1000
104302239170
1000
104806726820
1000
105121557820
1000
106431295310
1000
107710510220
1000
108000211380
1000
209403440370
1000

 


Canggang Railway Limited

Application through DBS iBanking

Securities
Account No.

No. of Shares

 


First Service Holding Limited

Application through Branch/Hotline

Securities
Account No.

No. of Shares

100009867910
7500
109300688610
22500
 

Application through DBS iBanking

Securities
Account No.

No. of Shares

100201049880
2500
106600526150
5000
108400078710
2500

 


China Nature Energy Technology Holdings Limited

Application through DBS iBanking

Securities
Account No.

No. of Shares

100001515710
1000
100006016500
1000
100012432220
3000
100905999170
1000
101603195180
1000

 


LANDRICH HOLDING LIMITED

Application through DBS iBanking

Securities
Account No.

No. of Shares

100607022170
8000

 


EXCELLENCE COMMERCIAL PROPERTY & FACILITIES MANAGEMENT GROUP LIMITED

Application through Branch/Hotline

Securities
Account No.

No. of Shares

104803799180
4000
209316280870
4000
 

Application through DBS iBanking

Securities
Account No.

No. of Shares

100000316110
1000
100002251680
1000
100003519860
1000
100005518690
1000
100012432220
1000
100516166180
1000
100607022170
1000
101013533110
1000
102405633120
1000
102502740840
1000
103300922110
1000
104800191130
1000
104806726820
1000
105120896740
1000
105121389260
1000
105810869890
1000
105811062380
1000
106131447490
2000
106420311980
1000
106910579170
1000
107610036150
1000
108300052770
1000
108700142520
1000
109100442490
1000
201305280380
1000
211344351740
1000
284341776550
1000
299304891210
1000

 


TRUE PARTNER CAPITAL HOLDING LIMITED

Application through DBS iBanking

Securities
Account No.

No. of Shares

102414522120
4000

 


Channel Micron Holdings Company Limited

Application through DBS iBanking

Securities
Account No.

No. of Shares

 


CN Logistics International Holdings Limited

Application through DBS iBanking

Securities
Account No.

No. of Shares

106131447490
1000

 


Everest Medicines Limited

Application through Branch/Hotline

Securities
Account No.

No. of Shares

104803799180
1000
109300688610
1000
200310476450
500
 

Application through DBS iBanking

Securities
Account No.

No. of Shares

100000316110
500
100002251680
500
100607022170
500
104302239170
500
106131447490
500
108300052770
500
109100136100
500
109131277060
500

 


JHBP (CY) Holdings Limited

Application through Branch/Hotline

Securities
Account No.

No. of Shares

107710096700
500
109300688610
1000
 

Application through DBS iBanking

Securities
Account No.

No. of Shares

100001310090
500
100005518690
500
100010118540
500
100516166180
1500
100805193890
500
101211760170
500
103300922110
500
104302239170
500
104806726820
500
105810869890
500
106431284380
500
107731548050
500
108200213470
500
208340209260
500

 


ZTO Express (Cayman) Inc.

Application through DBS iBanking

Securities
Account No.

No. of Shares

100000316110
150
100001515710
50
100803988830
50
100804395120
50
101003628800
50
101014413180
50
101202975890
50
101807421150
50
103402556820
50
103910986110
50
105120471810
50
105128796910
50
105510871070
50
105511570910
50
107711583580
50
108000371820
50
108200213470
100
109300808880
50
208307460350
50
208307473840
50
208307477240
50
209343319560
50
214318254190
50
227403574810
50

 


NEUSOFT EDUCATION TECHNOLOGY CO. LIMITED

Application through Branch/Hotline

Securities
Account No.

No. of Shares

109300688610
4800
 

Application through DBS iBanking

Securities
Account No.

No. of Shares

103402556820
1600
107711347850
800
200310106280
800

 


Skymission Group Holdings Limited

Application through DBS iBanking

Securities
Account No.

No. of Shares

102502505170
8000

 


Baozun Inc.

Application through DBS iBanking

Securities
Account No.

No. of Shares

100805931120
200
101207895110
200
104300248170
500
105120471810
100
107711583580
100
107731548480
100
108400078710
100
209402242950
400

 


Zai Lab Limited

Application through DBS iBanking

Securities
Account No.

No. of Shares

100000316110
150
100001515710
50
103402556820
100
104300248170
50
105726062440
50

 

Simcere Pharmaceutical Group Limited

Stock Code

02096

Allotment Date

23 October 2020

Listing Date

27 October 2020

Application through Branch/Hotline

Securities
Account No.

No. of Shares

109300688610
2000

Application through DBS iBanking

Securities
Account No.

No. of Shares

100007500170
1000
100201049880
1000
101211760170
1000
104201129120
1000
104302239170
1000
104806726820
1000
105121557820
1000
106431295310
1000
107710510220
1000
108000211380
1000
209403440370
1000

 

Canggang Railway Limited

Stock Code

02169

Allotment Date

22 October 2020

Listing Date

23 October 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

 

First Service Holding Limited

Stock Code

02107

Allotment Date

21 October 2020

Listing Date

22 October 2020

Application through Branch/Hotline

Securities
Account No.

No. of Shares

100009867910
7500
109300688610
22500

Application through DBS iBanking

Securities
Account No.

No. of Shares

100201049880
2500
106600526150
5000
108400078710
2500

 

China Nature Energy Technology Holdings Limited

Stock Code

01597

Allotment Date

19 October 2020

Listing Date

20 October 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

100001515710
1000
100006016500
1000
100012432220
3000
100905999170
1000
101603195180
1000

 

LANDRICH HOLDING LIMITED

Stock Code

02132

Allotment Date

19 October 2020

Listing Date

20 October 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

100607022170
8000

 

EXCELLENCE COMMERCIAL PROPERTY & FACILITIES MANAGEMENT GROUP LIMITED

Stock Code

06989

Allotment Date

16 October 2020

Listing Date

19 October 2020

Application through Branch/Hotline

Securities
Account No.

No. of Shares

104803799180
4000
209316280870
4000

Application through DBS iBanking

Securities
Account No.

No. of Shares

100000316110
1000
100002251680
1000
100003519860
1000
100005518690
1000
100012432220
1000
100516166180
1000
100607022170
1000
101013533110
1000
102405633120
1000
102502740840
1000
103300922110
1000
104800191130
1000
104806726820
1000
105120896740
1000
105121389260
1000
105810869890
1000
105811062380
1000
106131447490
2000
106420311980
1000
106910579170
1000
107610036150
1000
108300052770
1000
108700142520
1000
109100442490
1000
201305280380
1000
211344351740
1000
284341776550
1000
299304891210
1000

 

TRUE PARTNER CAPITAL HOLDING LIMITED

Stock Code

08657

Allotment Date

15 October 2020

Listing Date

16 October 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

102414522120
4000

 

Channel Micron Holdings Company Limited

Stock Code

02115

Allotment Date

14 October 2020

Listing Date

08 October 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

 

CN Logistics International Holdings Limited

Stock Code

02130

Allotment Date

14 October 2020

Listing Date

15 October 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

106131447490
1000

 

Everest Medicines Limited

Stock Code

01952

Allotment Date

08 October 2020

Listing Date

09 October 2020

Application through Branch/Hotline

Securities
Account No.

No. of Shares

104803799180
1000
109300688610
1000
200310476450
500

Application through DBS iBanking

Securities
Account No.

No. of Shares

100000316110
500
100002251680
500
100607022170
500
104302239170
500
106131447490
500
108300052770
500
109100136100
500
109131277060
500

 

JHBP (CY) Holdings Limited

Stock Code

06998

Allotment Date

06 October 2020

Listing Date

07 October 2020

Application through Branch/Hotline

Securities
Account No.

No. of Shares

107710096700
500
109300688610
1000

Application through DBS iBanking

Securities
Account No.

No. of Shares

100001310090
500
100005518690
500
100010118540
500
100516166180
1500
100805193890
500
101211760170
500
103300922110
500
104302239170
500
104806726820
500
105810869890
500
106431284380
500
107731548050
500
108200213470
500
208340209260
500

 

ZTO Express (Cayman) Inc.

Stock Code

02057

Allotment Date

28 September 2020

Listing Date

29 September 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

100000316110
150
100001515710
50
100803988830
50
100804395120
50
101003628800
50
101014413180
50
101202975890
50
101807421150
50
103402556820
50
103910986110
50
105120471810
50
105128796910
50
105510871070
50
105511570910
50
107711583580
50
108000371820
50
108200213470
100
109300808880
50
208307460350
50
208307473840
50
208307477240
50
209343319560
50
214318254190
50
227403574810
50

 

NEUSOFT EDUCATION TECHNOLOGY CO. LIMITED

Stock Code

09616

Allotment Date

28 September 2020

Listing Date

29 September 2020

Application through Branch/Hotline

Securities
Account No.

No. of Shares

109300688610
4800

Application through DBS iBanking

Securities
Account No.

No. of Shares

103402556820
1600
107711347850
800
200310106280
800

 

Skymission Group Holdings Limited

Stock Code

01429

Allotment Date

28 September 2020

Listing Date

29 September 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

102502505170
8000

 

Baozun Inc.

Stock Code

09991

Allotment Date

28 September 2020

Listing Date

29 September 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

100805931120
200
101207895110
200
104300248170
500
105120471810
100
107711583580
100
107731548480
100
108400078710
100
209402242950
400

 

Zai Lab Limited

Stock Code

09688

Allotment Date

25 September 2020

Listing Date

28 September 2020

Application through DBS iBanking

Securities
Account No.

No. of Shares

100000316110
150
100001515710
50
103402556820
100
104300248170
50
105726062440
50