Short Sell Turnover (Main Board) up to morning close-3 X
24/04/2025 12:10
Short Sell Turnover (Main Board) up to morning close           CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT -------------------------------------------------------------------   201.   01055   CHINA SOUTH AIR          1,260,000       4,173,700   202.   01060   ALI PICTURES             1,330,000         659,300   203.   01066   WEIGAO GROUP               655,200       3,793,548   204.   01070   TCL ELECTRONICS            874,000       7,778,130   205.   01071   HUADIAN POWER              374,000       1,685,260   206.   01072   DONGFANG ELEC              368,400       3,887,852   207.   01083   TG SMART ENERGY            115,000         397,610   208.   01088   CHINA SHENHUA              626,000      19,469,600   209.   01093   CSPC PHARMA             19,786,000     120,033,560   210.   01099   SINOPHARM                1,160,400      20,220,976   211.   01109   CHINA RES LAND           1,415,500      37,910,425   212.   01112   H&H INTL HLDG               30,000         268,195   213.   01113   CK ASSET                   444,000      13,818,075   214.   01114   BRILLIANCE CHI           1,240,000       3,229,680   215.   01117   CH MODERN D              1,012,000       1,051,140   216.   01119   IDREAMSKY                  145,600         125,608   217.   01128   WYNN MACAU                 436,000       2,253,036   218.   01133   HARBIN ELECTRIC            110,000         515,980   219.   01138   COSCO SHIP ENGY          1,002,000       5,891,120   220.   01157   ZOOMLION                 2,237,800      12,743,400   221.   01164   CGN MINING               1,025,000       1,574,800   222.   01171   YANKUANG ENERGY          1,540,000      12,236,860   223.   01177   SINO BIOPHARM           11,205,000      43,534,350   224.   01179   HWORLD-S                   268,200       7,314,910   225.   01186   CHINA RAIL CONS            434,000       2,160,275   226.   01193   CHINA RES GAS              164,800       3,662,705   227.   01196   REALORD GROUP                8,000          57,360   228.   01199   COSCO SHIP PORT            392,000       1,623,960   229.   01208   MMG                      5,496,000      13,082,840   230.   01209   CHINA RES MIXC             419,600      15,416,870   231.   01211   BYD COMPANY              1,813,500     707,216,700   232.   01234   CHINA LILANG                27,000          99,970   233.   01258   CHINFMINING                506,000       2,519,150   234.   01268   MEIDONG AUTO               254,000         511,680   235.   01274   IMOTIONTECH                 18,000         249,672   236.   01277   KINETIC DEV                 10,000          11,740   237.   01288   ABC                      9,390,000      44,107,710   238.   01299   AIA                      2,176,800     122,474,470   239.   01302   LIFETECH SCI               566,000         838,900   240.   01308   SITC                       190,000       3,823,400   241.   01310   HKBN                        62,000         314,570   242.   01313   CR BLDG MAT TEC             72,000         124,820   243.   01316   NEXTEER                    765,000       3,427,920   244.   01336   NCI                      2,532,100      74,295,740   245.   01339   PICC GROUP               5,016,000      22,723,250   246.   01341   HAO TIAN INTL              680,000         335,040   247.   01347   HUA HONG SEMI            3,107,000     114,325,500   248.   01349   FUDANZHANGJIANG             37,000          91,780   249.   01357   MEITU                    1,056,000       5,156,615   250.   01359   CHINA CINDA              9,674,000       9,616,090   251.   01361   361 DEGREES                 60,000         253,820   252.   01368   XTEP INT'L                 813,500       4,071,265   253.   01375   CC SECURITIES              216,000         317,160   254.   01378   CHINAHONGQIAO            2,762,000      37,191,220   255.   01381   CANVEST ENV                 73,000         350,400   256.   01382   PACIFICTEXTILES             32,000          40,000   257.   01385   SHANGHAI FUDAN             415,000      11,155,200   258.   01398   ICBC                     8,818,000      47,661,830   259.   01405   DPC DASH                     5,900         586,830   260.   01415   COWELL                     604,000      13,371,500   261.   01448   FU SHOU YUAN             1,178,000       4,236,940   262.   01456   GLMS SEC                     8,000          27,785   263.   01458   ZHOU HEI YA                207,500         515,900   264.   01475   NISSIN FOODS                 4,000          25,680   265.   01477   OCUMENSION-B               354,500       1,971,350   266.   01478   Q TECH                      96,000         615,970   267.   01508   CHINA RE                 4,115,000       3,613,990   268.   01513   LIVZON PHARMA               16,100         436,290   269.   01515   CR MEDICAL                 837,000       3,130,230   270.   01516   SUNAC SERVICES             415,000         762,260   271.   01519   J&T EXPRESS-W              754,200       4,296,592   272.   01523   PLOVER BAY TECH             54,000         276,750   273.   01528   RS MACALLINE               175,400         246,114   274.   01530   3SBIO                    5,257,500      69,528,260   275.   01541   IMMUNEONCO-B               122,600         840,720   276.   01548   GENSCRIPT BIO              562,000       6,304,480   277.   01558   HEC CJ PHARM               316,400       3,990,888   278.   01578   BANK OF TIANJIN             25,500          44,370   279.   01579   YIHAI INTL                 238,000       3,317,940   280.   01585   YADEA                      410,000       5,855,160   281.   01606   CDB LEASING                210,000         245,860   282.   01610   COFCO JOYCOME              603,000         893,610   283.   01618   MCC                        372,000         553,190   284.   01651   TSUGAMI CHINA               97,000       2,117,450   285.   01658   PSBC                     3,845,000      18,455,640   286.   01666   TONG REN TANG               76,000         363,160   287.   01675   ASIAINFO TECH              199,200       1,755,712   288.   01681   CONSUN PHARMA               29,000         280,720   289.   01686   SUNEVISION                 117,000         692,040   290.   01691   JS GLOBAL LIFE             885,000       1,537,690   291.   01698   TME-SW                       9,600         488,985   292.   01729   TIMEINTERCON-1K             92,000         357,590   293.   01733   E-COMMODITIES              160,000         132,760   294.   01735   CENTRAL NEW EGY            229,000       2,079,690   295.   01766   CRRC                       559,000       2,660,510   296.   01769   SCHOLAR EDU                 18,000          91,610   297.   01772   GANFENGLITHIUM           1,197,800      23,220,500   298.   01773   TIANLI INT HLDG            296,000       1,149,670   299.   01776   GF SEC                      54,600         534,238   300.   01783   ENVISION GREEN              33,000         259,960



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