Short Sell Turnover (Main Board) up to morning close-5 X
17/01/2024 12:10
Short Sell Turnover (Main Board) up to morning close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
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  401.   02318   PING AN                  6,433,000     198,845,600
  402.   02319   MENGNIU DAIRY            2,533,000      45,656,180
  403.   02328   PICC P&C                   930,000       8,790,820
  404.   02331   LI NING                  3,946,000      66,337,790
  405.   02333   GWMOTOR                  4,632,500      42,728,365
  406.   02338   WEICHAI POWER              488,000       6,853,840
  407.   02342   COMBA                       76,000          53,960
  408.   02343   PACIFIC BASIN              842,000       1,946,760
  409.   02356   DAHSING BANKING             12,800          61,260
  410.   02357   AVICHINA                   386,000       1,134,690
  411.   02359   WUXI APPTEC                355,400      27,325,015
  412.   02362   JINCHUAN INTL              723,000         453,490
  413.   02367   GIANT BIOGENE               60,800       2,103,430
  414.   02378   PRU                          2,650         208,450
  415.   02380   CHINA POWER              2,620,000       7,814,780
  416.   02382   SUNNY OPTICAL              234,800      13,268,340
  417.   02386   SINOPEC SEG                299,500       1,164,810
  418.   02388   BOC HONG KONG            1,210,000      22,339,010
  419.   02390   ZHIHU-W                      2,200          26,724
  420.   02400   XD INC                     225,200       1,847,276
  421.   02411   PAGODA GP                  157,000         619,480
  422.   02423   BEKE-W                      25,600         926,170
  423.   02469   FENBI                      997,500       4,287,695
  424.   02487   CUTIA-B                        200           1,342
  425.   02588   BOC AVIATION                42,800       2,526,410
  426.   02600   CHALCO                     586,000       2,105,840
  427.   02601   CPIC                       291,800       4,083,380
  428.   02602   ONEWO                       39,400         716,310
  429.   02607   SH PHARMA                   76,900         857,342
  430.   02611   GTJA                       167,600       1,470,480
  431.   02618   JD LOGISTICS             1,502,200      12,096,070
  432.   02628   CHINA LIFE               5,104,000      44,244,550
  433.   02638   HKELECTRIC-SS               66,500         320,465
  434.   02666   UNI MEDICAL                217,500         899,830
  435.   02669   CHINA OVS PPT              275,000       1,452,900
  436.   02688   ENN ENERGY                 285,900      15,576,220
  437.   02689   ND PAPER                 1,402,000       4,229,420
  438.   02727   SH ELECTRIC                416,000         641,700
  439.   02777   R&F PROPERTIES             171,200         163,912
  440.   02778   CHAMPION REIT              760,000       1,542,440
  441.   02799   CHINA HUARONG              869,000         316,960
  442.   02800   TRACKER FUND           113,199,500   1,767,513,750
  443.   02801   ISHARES CHINA               15,400         249,970
  444.   02812   SAMSUNGCDGN                 20,600         177,512
  445.   02814   SAMSUNG FANG                 8,000         202,160
  446.   02820   GX CN BIOTECH                4,700         240,536
  447.   02822   CSOP A50 ETF               270,600       2,888,106
  448.   02823   ISHARES A50              1,419,300      15,984,130
  449.   02828   HSCEI ETF                  965,200      50,905,012
  450.   02836   ISHARES INDIA                5,800         225,400
  451.   02837   GX HS TECH                   2,000           7,912
  452.   02840   SPDR GOLD TRUST                105         154,553
  453.   02846   ISHARESCSI300               22,000         510,840
  454.   02858   YIXIN                      209,500         113,755
  455.   02866   COSCO SHIP DEV              10,000           8,100
  456.   02869   GREENTOWN SER              424,000       1,141,440
  457.   02877   SHINEWAY PHARM              37,000         289,720
  458.   02883   CHINA OILFIELD             472,000       3,606,440
  459.   02888   STANCHART                   35,300       2,041,663
  460.   02899   ZIJIN MINING             4,148,000      49,097,760
  461.   03001   PP CNUSDPROP                   110           9,900
  462.   03010   ISHARES AXJ                    300          14,166
  463.   03032   HSTECH ETF               3,941,400      12,592,418
  464.   03033   CSOP HS TECH           232,994,800     735,398,768
  465.   03037   CSOP HSI ETF                19,500         305,650
  466.   03067   ISHARESHSTECH            1,607,900      10,922,769
  467.   03069   CAM HSBIOTECH               12,100         111,348
  468.   03070   PING AN HKDIV               15,400         365,394
  469.   03115   ISHARESHSI                  14,600         819,724
  470.   03151   PREMIA STAR50               83,800         440,462
  471.   03160   CAM JAPAN HDG                  600          11,202
  472.   03188   CAM CSI300                 591,600      21,538,464
  473.   03189   EFUND LIQUOR                21,200          37,283
  474.   03190   FB SSH HIGH DIV                200           1,954
  475.   03191   GX CN SEMICON               13,550         440,372
  476.   03306   JNBY                        13,500         136,220
  477.   03309   C-MER EYE                  128,000         387,460
  478.   03311   CHINA STATE CON            124,000       1,037,840
  479.   03319   A-LIVING                   919,000       2,794,883
  480.   03320   CHINARES PHARMA            268,500       1,343,850
  481.   03323   CNBM                     1,192,000       3,498,320
  482.   03328   BANKCOMM                 1,741,000       7,943,520
  483.   03331   VINDA INT'L                 34,000         776,900
  484.   03333   EVERGRANDE                 200,000          39,600
  485.   03339   LONKING                    496,000         595,730
  486.   03347   TIGERMED                    89,900       2,794,260
  487.   03360   FE HORIZON                 275,000       1,587,970
  488.   03377   SINO-OCEAN GP            1,789,000         593,210
  489.   03380   LOGAN GROUP                240,000         143,730
  490.   03383   AGILE GROUP              1,360,000         925,320
  491.   03393   WASION HOLDINGS             28,000         109,960
  492.   03396   LEGENDHOLDING               31,300         208,057
  493.   03403   CAM HSI ESG                    990          34,598
  494.   03405   FB ASIA EGY STR              1,200           6,540
  495.   03433   CSOP UST20                   1,650         126,379
  496.   03606   FUYAO GLASS                235,200       9,069,700
  497.   03613   TONGRENTANGCM                7,000          77,520
  498.   03618   CQRC BANK                  136,000         401,810
  499.   03633   ZHONGYU ENERGY              65,000         348,870
  500.   03660   QFIN-S                          50           2,760



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