| 序号 | 股票代码 | 股票名称 | 机构名称 | 变动方向 | 变动股份数(股) | 变动后数量(股) | 变动后持股率 | 公布日期 |
| 246851 | 00375 | YGM TRADING | Chan Family Investment Corporation Ltd. |
增持 | 7.70万 | 3286.17万 | 20.20% | 2011-04-20 |
| 246852 | 00538 | 味千(中国) | HSBC International Trustee Limited |
减持 | -6355.19万 | 50077.77万 | 46.75% | 2011-04-20 |
| 246853 | 00538 | 味千(中国) | Favor Choice Group Limited |
减持 | -6355.19万 | 47242.50万 | 44.11% | 2011-04-20 |
| 246854 | 00538 | 味千(中国) | Anmi Holding Company Limited |
减持 | -6355.19万 | 47242.50万 | 44.11% | 2011-04-20 |
| 246855 | 00683 | 嘉里建设 | JPMorgan Chase & Co. |
减持 | -270.20万 | 9990.74万 | 6.95% | 2011-04-20 |
| 246856 | 00728 | 中国电信 | Blackrock, Inc. |
减持 | -1291.68万 | 101957.57万 | 7.35% | 2011-04-20 |
| 246857 | 00753 | 中国国航 | Blackrock, Inc. |
增持 | 283.40万 | 23043.62万 | 5.05% | 2011-04-20 |
| 246858 | 00763 | 中兴通讯 | Deutsche Bank Aktiengesellschaft |
减持 | -610.50万 | 3122.48万 | 4.96% | 2011-04-20 |
| 246859 | 00763 | 中兴通讯 | Deutsche Bank Aktiengesellschaft |
减持 | -615.70万 | 892.11万 | 1.41% | 2011-04-20 |
| 246860 | 00823 | 领展房产基金 | Blackrock, Inc. |
减持 | -108.71万 | 14340.56万 | 6.42% | 2011-04-20 |
| 246861 | 00825 | 新世界百货中国 | Government of Singapore Investment Corporation Pte Ltd |
增持 | 54.50万 | 8441.08万 | 5.01% | 2011-04-20 |
| 246862 | 00855 | 中国水务 | Asset Full Resources Limited |
增持 | 97.00万 | 14357.83万 | 10.36% | 2011-04-20 |
| 246863 | 00880 | 澳博控股 | STDM - Investments Limited |
减持 | -30.50亿 | 0.00万 | 0.00% | 2011-04-20 |
| 246864 | 00970 | 新耀莱 | Veritas Asset Management (UK) Limited |
增持 | 472.80万 | 14935.20万 | 5.02% | 2011-04-20 |
| 246865 | 00970 | 新耀莱 | The Real Return Group Limited |
增持 | 472.80万 | 14935.20万 | 5.02% | 2011-04-20 |
| 246866 | 00975 | MONGOL MINING | Standard Bank Group Limited |
减持 | -2306.20万 | 34290.62万 | 9.26% | 2011-04-20 |
| 246867 | 00975 | MONGOL MINING | MCS Mining Group Limited |
减持 | -2306.20万 | 33665.03万 | 9.09% | 2011-04-20 |
| 246868 | 00975 | MONGOL MINING | MCS Group Limited |
减持 | -2306.20万 | 33665.03万 | 9.09% | 2011-04-20 |
| 246869 | 00975 | MONGOL MINING | MCS Holding LLC |
减持 | -2306.20万 | 33665.03万 | 9.09% | 2011-04-20 |
| 246870 | 00975 | MONGOL MINING | Standard Bank Asia Limited |
减持 | -2306.20万 | 33665.03万 | 9.09% | 2011-04-20 |
| 246871 | 01011 | 泰凌医药 | TPG Biotechnology GenPar III,L.P. |
增持 | 7327.30万 | 7327.30万 | 6.77% | 2011-04-20 |
| 246872 | 01011 | 泰凌医药 | The Goldman Sachs Group, Inc. |
增持 | 200.00万 | 5555.40万 | 5.13% | 2011-04-20 |
| 246873 | 01011 | 泰凌医药 | TPG Group Holdings (SBS), L.P. |
增持 | 2.20亿 | 21982.20万 | 20.32% | 2011-04-20 |
| 246874 | 01011 | 泰凌医药 | TPG Biotech III Jaguar Ltd. |
增持 | 7327.30万 | 7327.30万 | 6.77% | 2011-04-20 |
| 246875 | 01011 | 泰凌医药 | TPG Biotechnology Partners III,L.P. |
增持 | 7327.30万 | 7327.30万 | 6.77% | 2011-04-20 |
| 246876 | 01011 | 泰凌医药 | TPG Group Holdings (SBS) Advisors, Inc. |
增持 | 2.20亿 | 21982.20万 | 20.32% | 2011-04-20 |
| 246877 | 01011 | 泰凌医药 | TPG Star Jaguar Ltd. |
增持 | 1.47亿 | 14654.90万 | 13.55% | 2011-04-20 |
| 246878 | 01011 | 泰凌医药 | UBS AG |
增持 | 8379.20万 | 8379.20万 | 7.74% | 2011-04-20 |
| 246879 | 01011 | 泰凌医药 | TPG Holdings I-A, LLC |
增持 | 2.20亿 | 21982.20万 | 20.32% | 2011-04-20 |
| 246880 | 01011 | 泰凌医药 | TPG Star GenPar. L.P. |
增持 | 1.47亿 | 14654.90万 | 13.55% | 2011-04-20 |
| 246881 | 01011 | 泰凌医药 | TPG Star. L.P. |
增持 | 1.47亿 | 14654.90万 | 13.55% | 2011-04-20 |
| 246882 | 01011 | 泰凌医药 | TPG Biotechnology GenPar III Advisors, LLC |
增持 | 7327.30万 | 7327.30万 | 6.77% | 2011-04-20 |
| 246883 | 01011 | 泰凌医药 | TPG Star GenPar Advisors, LLC. |
增持 | 1.47亿 | 14654.90万 | 13.55% | 2011-04-20 |
| 246884 | 01011 | 泰凌医药 | TPG Holdings I, L.P. |
增持 | 2.20亿 | 21982.20万 | 20.32% | 2011-04-20 |
| 246885 | 01026 | 环球实业科技 | World One Investments Limited |
增持 | 422.00万 | 41764.00万 | 27.36% | 2011-04-20 |
| 246886 | 01072 | 东方电气 | UBS AG |
减持 | -4.82万 | 2150.89万 | 6.33% | 2011-04-20 |
| 246887 | 01072 | 东方电气 | UBS AG |
增持 | 233.21万 | 1153.95万 | 3.39% | 2011-04-20 |
| 246888 | 01080 | 胜利管道 | SEAVI Advent Equity V (A) Ltd |
减持 | -150.00万 | 12308.36万 | 4.94% | 2011-04-20 |
| 246889 | 01080 | 胜利管道 | SEAVI Advent Corporation Ltd. |
减持 | -150.00万 | 12308.36万 | 4.94% | 2011-04-20 |
| 246890 | 01133 | 哈尔滨电气 | SKAGEN Kon-Tiki Verdipapirfond |
增持 | 158.20万 | 6800.00万 | 10.07% | 2011-04-20 |
| 246891 | 01133 | 哈尔滨电气 | SKAGEN AS |
增持 | 158.20万 | 6800.00万 | 10.07% | 2011-04-20 |
| 246892 | 01142 | 能源及能量环球 | Cordia Global Limited |
减持 | -3200.00万 | 3648207.00万 | 999.99% | 2011-04-20 |
| 246893 | 01142 | 能源及能量环球 | Uridul Asset Management Company |
减持 | -5443.00万 | 20557.00万 | 7.58% | 2011-04-20 |
| 246894 | 01142 | 能源及能量环球 | Cordia Global Limited |
减持 | -5000.00万 | 3643207.00万 | 999.99% | 2011-04-20 |
| 246895 | 01157 | 中联重科 | 联想控股有限公司 |
减持 | -3174.53万 | 60354.04万 | 12.50% | 2011-04-20 |
| 246896 | 01157 | 中联重科 | Hony Capital II GP Ltd. |
减持 | -3174.53万 | 47196.54万 | 9.78% | 2011-04-20 |
| 246897 | 01157 | 中联重科 | Right Lane Limited |
减持 | -3174.53万 | 47196.54万 | 9.78% | 2011-04-20 |
| 246898 | 01157 | 中联重科 | Chinese Academy of Sciences Holdings Co., Ltd. |
减持 | -3174.53万 | 60354.04万 | 12.50% | 2011-04-20 |
| 246899 | 01157 | 中联重科 | Hony Capital II L.P. |
减持 | -3174.53万 | 47196.54万 | 9.78% | 2011-04-20 |
| 246900 | 01157 | 中联重科 | Rise Honour Investments Limited |
减持 | -3174.53万 | 47196.54万 | 9.78% | 2011-04-20 |