Short Sell Turnover (Main Board) up to day close-2 X
20/10/2021 16:13
Short Sell Turnover (Main Board) up to day close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
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  101.   00386   SINOPEC CORP             7,892,000      31,310,600
  102.   00388   HKEX                       916,000     448,763,120
  103.   00390   CHINA RAILWAY            2,029,000       8,011,720
  104.   00392   BEIJING ENT                352,500      10,769,225
  105.   00400   COGOBUY                    124,000         366,970
  106.   00405   YUEXIU REIT                 49,000         178,570
  107.   00410   SOHO CHINA                 759,500       1,567,245
  108.   00419   HUAYI TENCENT              120,000          22,210
  109.   00425   MINTH GROUP                348,000      10,970,700
  110.   00435   SUNLIGHT REIT               82,000         374,070
  111.   00440   DAH SING                     8,800         215,680
  112.   00451   GCL NEWENERGY              490,000         174,370
  113.   00460   SIHUAN PHARM             5,798,000      10,356,290
  114.   00467   UNITEDENERGY GP          1,626,000       1,331,220
  115.   00468   GAPACK                   1,124,000       3,222,370
  116.   00486   RUSAL                      524,000       4,551,710
  117.   00489   DONGFENG GROUP             608,000       4,493,520
  118.   00493   GOME RETAIL             14,674,000      12,486,860
  119.   00506   CHINA FOODS                 16,000          49,020
  120.   00511   TVB                          1,400           8,780
  121.   00512   CHINAGRANDPHARM             31,500         205,940
  122.   00520   XIABUXIABU                 174,000       1,108,925
  123.   00522   ASM PACIFIC                 63,200       5,472,560
  124.   00525   GUANGSHEN RAIL              68,000         100,380
  125.   00535   GEMDALE PPT                996,000         793,300
  126.   00546   FUFENG GROUP               290,000         765,370
  127.   00548   SHENZHENEXPRESS             60,000         456,180
  128.   00551   YUE YUEN IND               240,500       4,067,730
  129.   00552   CHINACOMSERVICE            410,000       1,794,520
  130.   00558   LK TECH                  1,060,000      21,767,750
  131.   00563   SH IND URBAN               318,000         206,700
  132.   00564   ZMJ                        221,000       2,064,780
  133.   00570   TRAD CHI MED             1,138,000       4,324,700
  134.   00576   ZHEJIANGEXPRESS            834,000       5,766,420
  135.   00579   JNCEC                      646,000       1,709,220
  136.   00580   SUN.KING TECH               82,000         360,640
  137.   00581   CHINA ORIENTAL             156,000         367,860
  138.   00586   CONCH VENTURE            1,025,000      39,252,225
  139.   00588   BEIJING N STAR              28,000          36,120
  140.   00590   LUK FOOK HOLD                5,000         107,550
  141.   00598   SINOTRANS                  117,000         333,910
  142.   00604   SHENZHEN INVEST          3,544,000       6,870,780
  143.   00607   FULLSHARE                  405,000          43,335
  144.   00622   OSHIDORI                     9,000           4,950
  145.   00631   SANY INT'L                 361,000       3,479,150
  146.   00636   KERRY LOG NET              126,000       2,386,820
  147.   00639   SHOUGANG RES               360,000         828,500
  148.   00656   FOSUN INTL                 192,500       1,782,170
  149.   00658   C TRANSMISSION             494,000       2,909,150
  150.   00659   NWS HOLDINGS               173,000       1,349,220
  151.   00665   HAITONG INT'L              216,000         438,480
  152.   00667   CHINA EAST EDU           2,894,500      25,979,060
  153.   00669   TECHTRONIC IND             465,500      74,580,450
  154.   00670   CHINA EAST AIR             346,000       1,082,640
  155.   00683   KERRY PPT                    7,000         154,700
  156.   00686   BJ ENERGY INTL              34,000          10,260
  157.   00688   CHINA OVERSEAS           2,981,000      51,490,470
  158.   00694   BEIJING AIRPORT            256,000       1,294,440
  159.   00696   TRAVELSKY TECH             458,000       7,159,040
  160.   00697   SHOUCHENG                  146,000         245,420
  161.   00698   TONGDA GROUP               850,000         212,380
  162.   00700   TENCENT                  5,401,000   2,754,877,100
  163.   00708   EVERG VEHICLE            2,264,000       7,934,980
  164.   00709   GIORDANO INT'L               2,000           3,080
  165.   00710   BOE VARITRONIX             106,000         848,430
  166.   00728   CHINA TELECOM            6,798,000      19,044,680
  167.   00732   TRULY INT'L                 32,000          75,680
  168.   00737   BAY AREA DEV                 4,500          12,645
  169.   00743   ASIA CEMENT CH             660,000       4,069,665
  170.   00751   SKYWORTH GROUP             502,000       1,207,880
  171.   00753   AIR CHINA                1,860,000      10,342,480
  172.   00762   CHINA UNICOM               214,000         871,580
  173.   00763   ZTE                        144,000       3,776,310
  174.   00769   CHINA RAREEARTH             30,000          24,900
  175.   00772   CHINA LIT                  105,600       6,472,500
  176.   00777   NETDRAGON                   10,500         196,300
  177.   00778   FORTUNE REIT                 7,000          55,780
  178.   00780   TONGCHENG-ELONG          1,224,000      21,651,528
  179.   00788   CHINA TOWER             40,930,000      42,973,440
  180.   00798   CEOVU                       20,000           8,600
  181.   00799   IGG                        581,000       4,351,470
  182.   00806   VALUE PARTNERS             198,000         838,550
  183.   00807   SIICENVIRONMENT            260,000         368,800
  184.   00808   PROSPERITY REIT            104,000         318,100
  185.   00811   XINHUA WINSHARE             19,000         106,020
  186.   00813   SHIMAO GROUP               754,000       9,916,920
  187.   00817   CHINA JINMAO             2,446,000       5,980,940
  188.   00819   TIANNENG POWER             712,000       6,816,060
  189.   00823   LINK REIT                  303,900      20,580,065
  190.   00826   TIANGONG INT'L             240,000       1,199,860
  191.   00832   CENTRAL CHINA            1,262,000       1,570,500
  192.   00836   CHINA RES POWER          4,676,000      92,762,560
  193.   00839   CHINA EDU GROUP          2,694,000      42,214,080
  194.   00853   MICROPORT                  972,800      40,358,575
  195.   00855   CHINA WATER              1,022,000       8,435,520
  196.   00856   VSTECS                      16,000         117,140
  197.   00857   PETROCHINA              31,146,000     126,529,820
  198.   00860   APOLLO FMG                 200,000         112,280
  199.   00861   DC HOLDINGS                 40,000         170,350
  200.   00863   BC TECH GROUP               10,500         128,260



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