Short Sell Turnover (Main Board) up to day close-5 X
03/10/2022 16:13
Short Sell Turnover (Main Board) up to day close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
-------------------------------------------------------------------
  401.   02057   ZTO EXPRESS-SW             132,250      25,283,150
  402.   02096   SIMCERE PHARMA             163,000       1,099,650
  403.   02098   ZALL SMARTCOM                8,000           3,355
  404.   02099   CHINAGOLDINTL                1,400          27,688
  405.   02121   AINNOVATION                  1,400          25,652
  406.   02126   JW THERAP-B                122,000         383,635
  407.   02128   CHINA LESSO                349,000       2,612,020
  408.   02137   BRII-B                       9,500          51,535
  409.   02138   EC HEALTHCARE               39,000         184,320
  410.   02142   HBM HOLDINGS-B              55,000          97,960
  411.   02148   VESYNC                      15,000          46,740
  412.   02150   NAYUKI                     559,500       2,867,925
  413.   02155   MORIMATSU INTL               6,000          47,250
  414.   02156   C&D PROPERTY               143,000         539,220
  415.   02158   YIDU TECH                    2,800          13,494
  416.   02160   CARDIOFLOW-B               391,000         863,120
  417.   02162   KEYMED BIO-B                16,500         583,000
  418.   02171   CARSGEN-B                   53,000         568,620
  419.   02179   RECBIO-B                     2,500          53,300
  420.   02186   LUYE PHARMA                799,000       1,731,785
  421.   02190   ZYLOXTB-B                    7,000          72,810
  422.   02191   SF REIT                     99,000         281,000
  423.   02192   MEDLIVE                     26,500         232,680
  424.   02196   FOSUN PHARMA               388,000       7,400,730
  425.   02197   CLOVER BIO-B                 1,500           2,910
  426.   02202   CHINA VANKE              2,511,400      37,497,178
  427.   02208   GOLDWIND                   694,000       6,157,740
  428.   02217   TAM JAI INTL                45,000          93,940
  429.   02232   CRYSTAL INTL                 6,500          15,650
  430.   02233   WESTCHINACEMENT            460,000         357,060
  431.   02238   GAC GROUP                  896,000       5,009,040
  432.   02252   MEDBOT-B                     9,500         185,870
  433.   02255   HAICHANG HLDG            2,384,000      17,725,740
  434.   02257   SIRNAOMICS-B                11,500         749,073
  435.   02269   WUXI BIO                 1,484,000      72,063,900
  436.   02273   GUSHENGTANG                 62,900       1,770,330
  437.   02279   YONGHE MEDICAL               5,000          40,980
  438.   02282   MGM CHINA                   77,600         333,964
  439.   02285   CHERVON                     17,500         528,840
  440.   02313   SHENZHOU INTL            1,095,700      65,232,065
  441.   02314   LEE & MAN PAPER             77,000         196,310
  442.   02318   PING AN                  9,626,500     362,613,975
  443.   02319   MENGNIU DAIRY              818,000      25,263,350
  444.   02328   PICC P&C                 3,164,000      25,382,600
  445.   02331   LI NING                  1,192,000      71,983,125
  446.   02333   GREATWALL MOTOR          8,671,500      77,297,970
  447.   02338   WEICHAI POWER              299,000       2,237,640
  448.   02342   COMBA                      142,000         179,620
  449.   02343   PACIFIC BASIN            3,191,000       7,791,310
  450.   02356   DAHSING BANKING             60,400         313,580
  451.   02357   AVICHINA                   989,000       2,979,790
  452.   02359   WUXI APPTEC                113,800       7,251,625
  453.   02362   JINCHUAN INTL              939,000         689,820
  454.   02378   PRU                         19,200       1,482,398
  455.   02380   CHINA POWER              3,814,000      11,589,650
  456.   02382   SUNNY OPTICAL            1,227,700      92,697,870
  457.   02386   SINOPEC SEG                 15,500          47,880
  458.   02388   BOC HONG KONG            1,991,000      51,215,950
  459.   02400   XD INC                     199,000       3,136,048
  460.   02500   VENUS MEDTECH-B             16,000         147,175
  461.   02552   HUA MEDICINE-B              82,500         306,770
  462.   02588   BOC AVIATION                20,900       1,148,380
  463.   02599   SHINSUN HOLD GP             65,000          16,036
  464.   02600   CHALCO                   4,102,000      10,551,720
  465.   02601   CPIC                       325,200       4,611,040
  466.   02607   SH PHARMA                  208,700       2,241,150
  467.   02611   GTJA                        62,600         509,630
  468.   02616   CSTONE PHARMA-B             38,000         128,195
  469.   02618   JD LOGISTICS               353,600       4,834,640
  470.   02628   CHINA LIFE               1,786,000      17,449,180
  471.   02638   HKELECTRIC-SS              135,500         729,405
  472.   02666   UNI MEDICAL                 95,000         380,720
  473.   02669   CHINA OVS PPT            1,085,000       7,812,550
  474.   02678   TEXHONG TEXTILE             32,500         174,280
  475.   02686   AAG ENERGY                  46,000          62,110
  476.   02688   ENN ENERGY                 144,600      14,672,610
  477.   02689   ND PAPER                 4,394,000      20,683,520
  478.   02696   HENLIUS                      8,000          86,458
  479.   02727   SH ELECTRIC                242,000         371,380
  480.   02768   JIAYUAN INTL               374,000          60,418
  481.   02777   R&F PROPERTIES              26,000          35,668
  482.   02778   CHAMPION REIT              955,000       2,682,110
  483.   02798   PER ENERGY                  50,000          40,500
  484.   02799   CHINA HUARONG            1,399,000         368,825
  485.   02800   TRACKER FUND           126,588,500   2,244,275,005
  486.   02806   GX CN CONSUME                  250          12,190
  487.   02807   GX CN ROBO&AI                6,000         251,940
  488.   02809   GX CN CLN EN                13,650       1,596,735
  489.   02812   SAMSUNGCDGN                 40,000         366,100
  490.   02814   SAMSUNG FANG                   800          11,176
  491.   02820   GX CN BIOTECH               20,300       1,141,849
  492.   02821   ABF PAIF                       250          24,977 USD
  493.   02822   CSOP A50 ETF               725,000       9,513,200
  494.   02823   ISHARES A50                292,600       3,987,901
  495.   02826   GX CN CLOUD                  5,250         240,730
  496.   02828   HSCEI ETF                9,606,000     569,731,388
  497.   02834   ISHARESND100                 1,000         207,200
  498.   02839   CAM MSCI A50                38,500         895,030
  499.   02840   SPDR GOLD TRUST                430         522,680
  500.   02845   GX CN EV BATT               94,750      10,690,725



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