Short Sell Turnover (Main Board) up to morning close-5 X
03/07/2025 12:10
Short Sell Turnover (Main Board) up to morning close           CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT -------------------------------------------------------------------   401.   02400   XD INC                     129,000       6,177,150   402.   02410   TYK MEDICINES-B                500          10,975   403.   02423   BEKE-W                     440,600      20,380,340   404.   02429   UBOX ONLINE                 39,000         121,100   405.   02431   MINIEYE                     52,400       1,398,630   406.   02432   DOBOT                       14,400         796,390   407.   02443   AUTOSTREETS                 40,400         168,538   408.   02453   CONCORD HC GP                4,800          29,104   409.   02460   CR BEVERAGE                657,000       7,781,836   410.   02469   FENBI                      230,500         552,195   411.   02473   XXF                        960,000       5,109,175   412.   02477   WELLCELL HOLD               53,600         360,744   413.   02488   LAUNCH TECH                  6,000          79,510   414.   02489   PERSISTENCE RES             55,000          85,450   415.   02498   ROBOSENSE                  180,000       5,530,190   416.   02507   CIRRUS                       3,300         143,175   417.   02517   GUOQUAN                     16,400          54,008   418.   02522   RIMAG GROUP                  5,500          75,190   419.   02531   CARLINK TECH                 1,000          16,300   420.   02533   BLACK SESAME               424,100       7,561,628   421.   02555   CHABAIDAO                    9,600          93,148   422.   02556   MARKETINGFORCE              12,100         569,875   423.   02570   REFIRE                         280          49,616   424.   02577   INNOSCIENCE                  2,700         100,360   425.   02587   HEALTHYWAY INC               1,500          15,320   426.   02588   BOC AVIATION                18,800       1,250,710   427.   02600   CHALCO                   5,364,000      29,311,540   428.   02601   CPIC                       728,800      19,647,200   429.   02602   ONEWO                       28,700         610,110   430.   02607   SH PHARMA                  122,400       1,446,764   431.   02611   GTHT                     1,573,200      19,861,884   432.   02618   JD LOGISTICS               232,600       3,015,886   433.   02628   CHINA LIFE               1,922,000      35,156,600   434.   02638   HKELECTRIC-SS               54,500         314,845   435.   02666   UNI MEDICAL                267,000       1,522,185   436.   02669   CHINA OVS PPT              275,000       1,520,250   437.   02688   ENN ENERGY                  55,300       3,504,820   438.   02689   ND PAPER                   256,000         874,120   439.   02696   HENLIUS                     14,100         749,255   440.   02727   SH ELECTRIC                182,000         528,300   441.   02777   R&F PROPERTIES          15,052,800      16,031,060   442.   02778   CHAMPION REIT              128,000         284,710   443.   02799   CITIC FAMC               3,597,000       4,446,660   444.   02800   TRACKER FUND            26,158,500     641,999,030   445.   02806   GX CN CONSUME                2,050          93,868   446.   02807   GX CN ROBO&AI                  450          20,796   447.   02809   GX CN CLN EN                 2,900         219,643   448.   02822   CSOP A50 ETF               124,000       1,672,216   449.   02823   ISHARES A50                167,700       2,426,297   450.   02826   GX CN CLOUD                     50           2,872   451.   02828   HSCEI ETF                6,329,200     560,493,172   452.   02836   ISHARES INDIA               10,600         450,036   453.   02839   CAM MSCI A50               288,150       6,823,688   454.   02845   GX CN EV BATT                  600          51,099   455.   02846   ISHARESCSI300                8,800         256,508   456.   02858   YIXIN                      525,000       1,211,180   457.   02866   COSCO SHIP DEV           1,476,000       1,622,810   458.   02869   GREENTOWN SER              106,000         460,880   459.   02877   SHINEWAY PHARM              66,000         548,490   460.   02880   LIAONING PORT               40,000          31,240   461.   02883   CHINA OILFIELD             244,000       1,639,160   462.   02888   STANCHART                  482,450      63,435,390   463.   02899   ZIJIN MINING            12,622,000     266,773,700   464.   03032   HSTECH ETF                  18,800          98,184   465.   03033   CSOP HS TECH           144,004,400     738,936,479   466.   03037   CSOP HSI ETF                18,500         453,990   467.   03040   GX MSCI CHINA                2,000          67,150   468.   03042   CAM BTC                      1,100          15,026   469.   03046   CAM ETH                        900           5,607   470.   03067   ISHARESHSTECH               14,500         160,080   471.   03068   FA CSOP ETH                  2,900          36,047   472.   03070   PING AN HKDIV                  600          21,876   473.   03141   CAM ASIA IGB                   400           5,900   474.   03147   X CSOPCHINEXT                  400           3,292   475.   03188   CAM CSI300                 191,000       8,618,196   476.   03189   EFUND LIQUOR                   100             147   477.   03191   GX CN SEMICON                  850          34,674   478.   03306   JNBY                        65,000       1,200,520   479.   03311   CHINA STATE CON             84,000         989,160   480.   03316   BINJIANG SER                 8,500         201,600   481.   03319   A-LIVING                   521,000       1,522,243   482.   03320   CHINARES PHARMA            488,500       2,541,395   483.   03323   CNBM                     1,288,000       5,344,340   484.   03328   BANKCOMM                 1,670,000      12,306,610   485.   03330   LINGBAO GOLD               314,000       3,180,880   486.   03337   ANTON OILFIELD             682,000         997,160   487.   03339   LONKING                    346,000         770,680   488.   03347   TIGERMED                   168,800       6,561,800   489.   03360   FE HORIZON                 219,000       1,569,860   490.   03380   LOGAN GROUP                 20,000          18,240   491.   03383   AGILE GROUP                990,000         430,780   492.   03393   WASION HOLDINGS             66,000         574,240   493.   03396   LEGENDHOLDING               16,700         149,400   494.   03416   A GX HSCEICC             6,182,000      64,859,865   495.   03417   A GX HSTCC                 625,000       5,818,133   496.   03419   A GX HSICC                 171,500       1,810,900   497.   03454   CSOP MAG7                   44,000         396,645   498.   03600   MODERN DENTAL               25,000         107,890   499.   03606   FUYAO GLASS                 10,000         567,640   500.   03613   TONGRENTANGCM               46,000         408,410



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