Short Sell Turnover (Main Board) up to day close-6 X
25/06/2024 16:14
Short Sell Turnover (Main Board) up to day close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
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  501.   03759   PHARMARON                  345,700       3,137,694
  502.   03800   GCL TECH                24,197,000      29,441,100
  503.   03808   SINOTRUK                   562,500      10,819,680
  504.   03813   POU SHENG INT'L             15,000           9,150
  505.   03866   BQD                          5,000          11,585
  506.   03868   XINYI ENERGY             1,134,000       1,169,760
  507.   03877   CSSC SHIPPING              240,000         378,080
  508.   03888   KINGSOFT                   813,600      18,760,730
  509.   03896   KINGSOFT CLOUD           1,448,000       1,985,000
  510.   03898   TIMES ELECTRIC             140,100       4,104,735
  511.   03899   CIMC ENRIC                  66,000         520,380
  512.   03900   GREENTOWN CHINA          2,009,500      13,013,880
  513.   03908   CICC                     2,037,200      18,181,472
  514.   03918   NAGACORP                    36,000         142,260
  515.   03933   UNITED LAB                  76,000         651,920
  516.   03939   WANGUO MINING               66,000         508,980
  517.   03958   DFZQ                       100,400         309,180
  518.   03968   CM BANK                  5,350,500     192,009,025
  519.   03969   CHINA CRSC               1,890,000       6,124,650
  520.   03983   CHINA BLUECHEM              76,000         169,080
  521.   03988   BANK OF CHINA           61,498,000     236,956,200
  522.   03993   CMOC                     6,204,000      45,596,490
  523.   03996   CH ENERGY ENG              398,000         338,300
  524.   03998   BOSIDENG                 1,494,000       6,706,020
  525.   06030   CITIC SEC                1,061,000      12,592,060
  526.   06049   POLY PPT SER                30,200         899,880
  527.   06055   CTIHK                      178,000       2,952,140
  528.   06060   ZA ONLINE                  552,600       7,854,630
  529.   06066   CSC                        121,500         727,120
  530.   06069   SY HOLDINGS                 17,500          78,145
  531.   06078   HYGEIA HEALTH            1,022,800      29,171,700
  532.   06088   FIT HON TENG             4,211,000      13,310,890
  533.   06098   CG SERVICES              2,054,000      10,353,060
  534.   06099   CMSC                        43,800         274,226
  535.   06110   TOPSPORTS                1,415,000       6,520,770
  536.   06160   BEIGENE                     70,900       6,671,420
  537.   06178   EB SECURITIES               72,400         365,474
  538.   06185   CANSINOBIO                  93,200       1,852,490
  539.   06186   CHINA FEIHE                771,000       2,834,980
  540.   06198   QINGDAO PORT               223,000       1,328,760
  541.   06608   BAIRONG-W                  135,000       1,225,465
  542.   06616   GLOBAL NEW MAT             142,000         545,210
  543.   06618   JD HEALTH                1,334,450      30,448,653
  544.   06639   ARRAIL GROUP               122,500         633,645
  545.   06655   HUAXIN CEMENT              119,700         942,964
  546.   06682   FOURTH PARADIGM                600          30,095
  547.   06683   STARPLUS LEGEND            154,000       1,845,950
  548.   06690   HAIER SMARTHOME          1,720,400      48,773,570
  549.   06699   ANGELALIGN                  18,600       1,062,990
  550.   06808   SUNART RETAIL              361,000         521,475
  551.   06818   CEB BANK                 3,629,000       8,842,650
  552.   06821   ASYMCHEM                     7,000         346,015
  553.   06823   HKT-SS                   1,028,000       9,016,630
  554.   06830   HUAZHONG IN-V                8,000          18,080
  555.   06837   HAITONG SEC              2,667,200       9,922,596
  556.   06855   ASCENTAGE-B                140,600       3,571,090
  557.   06862   HAIDILAO                 5,048,000      74,880,140
  558.   06865   FLAT GLASS               2,627,000      31,854,400
  559.   06869   YOFC                        33,500         261,590
  560.   06881   CGS                      2,399,500      10,026,295
  561.   06886   HTSC                        98,600         856,402
  562.   06963   SUNSHINE INS                 9,500          24,995
  563.   06969   SMOORE INTL                945,000       9,568,500
  564.   06979   ZJLD                       182,800       1,525,244
  565.   06990   SKB BIO-B                   19,000       3,139,480
  566.   06993   BLUE MOON GROUP            261,000         537,980
  567.   07200   FL2 CSOP HSI            44,839,200     148,310,347
  568.   07226   XL2CSOPHSTECH          103,718,800     337,982,401
  569.   07233   XL2CSOPCSI300              576,300       1,832,388
  570.   07234   XL2 BOS CHINEXT              6,100          17,197
  571.   07261   FL2CAMNDQ100                 5,700         176,054
  572.   07266   FL2CSOPNASDAQ                4,600         108,736
  573.   07288   FL2 CSOP HSCEI             866,100       1,757,256
  574.   07299   FL2CSOPGOLD                 95,400         916,519
  575.   07500   FI2 CSOP HSI            11,049,200      56,725,519
  576.   07515   FI2 CSOP NIKKEI                820          62,063
  577.   07522   FI2CAMNDQ100               643,200         569,336
  578.   07552   XI2CSOPHSTECH            1,100,200       6,662,870
  579.   07568   FI2CSOPNASDAQ              534,100       3,150,231
  580.   07588   FI2 CSOP HSCEI             474,600       2,017,651
  581.   09115   ISHARESHSI-U                 1,300          11,002 USD
  582.   09191   GX CN SEMICON-U              1,150           4,706 USD
  583.   09439   HGI BTC-U                   12,000          11,676 USD
  584.   09618   JD-SW                    1,828,800     199,269,195
  585.   09626   BILIBILI-W               1,070,520     142,370,412
  586.   09633   NONGFU SPRING              669,800      26,566,410
  587.   09658   SUPER HI                   514,000       6,706,800
  588.   09668   CBHB                       452,000         429,680
  589.   09669   BEISEN HOLDING             120,000         596,020
  590.   09688   ZAI LAB                    503,200       7,223,492
  591.   09690   TUHU-W                      22,700         531,480
  592.   09696   TIANQI LITHIUM              67,400       1,566,710
  593.   09698   GDS-SW                     189,100       1,738,486
  594.   09699   SF INTRA-CITY                4,400          52,696
  595.   09801   ISHARES CHINA-U              3,000           7,292 USD
  596.   09806   GX CN CONSUME-U             14,500          73,583 USD
  597.   09826   GX CN CLOUD-U                3,000          14,940 USD
  598.   09839   CAM MSCI A50-U               3,000           8,046 USD
  599.   09845   GX CN EV BATT-U             21,750         186,303 USD
  600.   09860   ADICON HOLDINGS            151,000       1,450,100



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