Short Sell Turnover (Main Board) up to day close-4 X
03/03/2022 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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  301.   01308   SITC                       770,000      26,118,850
  302.   01310   HKBN                        36,500         354,945
  303.   01313   CHINARES CEMENT          1,050,000       7,094,500
  304.   01316   NEXTEER                    790,000       5,745,460
  305.   01317   MAPLELEAF EDU            2,630,000       1,086,510
  306.   01323   HUASHENG INTL              176,000          22,836
  307.   01330   DYNAGREEN ENV              110,000         426,320
  308.   01336   NCI                      1,120,600      25,416,310
  309.   01337   RAZER                    4,645,000      11,077,210
  310.   01339   PICC GROUP               1,502,000       3,758,470
  311.   01347   HUA HONG SEMI              765,000      29,835,150
  312.   01349   FUDANZHANGJIANG             46,000         178,610
  313.   01357   MEITU                    3,121,500       3,895,335
  314.   01359   CHINA CINDA              6,587,000       9,591,880
  315.   01361   361 DEGREES                193,000         731,400
  316.   01368   XTEP INT'L                 679,500       8,473,200
  317.   01375   CC SECURITIES              424,000         605,640
  318.   01378   CHINAHONGQIAO            6,086,000      70,832,510
  319.   01381   CANVEST ENV                114,000         433,880
  320.   01382   PACIFICTEXTILES            863,000       3,201,420
  321.   01385   SHANGHAI FUDAN             116,000       2,434,500
  322.   01387   CHINA DILI                 126,000         308,520
  323.   01398   ICBC                    43,720,000     203,458,200
  324.   01415   COWELL                     168,000       1,444,490
  325.   01448   FU SHOU YUAN               123,000         714,340
  326.   01456   GUOLIAN SEC                 27,500         124,185
  327.   01458   ZHOU HEI YA              2,571,000      13,397,640
  328.   01475   NISSIN FOODS               121,000         697,340
  329.   01477   OCUMENSION-B               117,000       1,073,020
  330.   01478   Q TECH                     406,000       2,909,250
  331.   01501   KDL MEDICAL                  2,400          36,584
  332.   01503   CMC REIT                    12,000          32,520
  333.   01508   CHINA RE                   194,000         145,500
  334.   01513   LIVZON PHARMA               26,200         751,590
  335.   01515   CR MEDICAL                 155,500         681,610
  336.   01516   SUNAC SERVICES           1,747,000      11,984,110
  337.   01521   FRONTAGE                   298,000       1,010,260
  338.   01528   RS MACALLINE                37,000         139,040
  339.   01530   3SBIO                      949,000       5,787,190
  340.   01548   GENSCRIPT BIO            2,164,000      63,699,300
  341.   01558   HEC PHARM                  260,800       1,536,822
  342.   01563   IA FIN LEASING               6,000          19,680
  343.   01579   YIHAI INTL                 280,000       8,796,550
  344.   01585   YADEA                    3,432,000      35,434,200
  345.   01589   CNLP                        58,000         251,700
  346.   01600   TIAN LUN GAS               525,500       3,343,500
  347.   01608   VPOWER GROUP               819,000         867,830
  348.   01610   COFCO JOYCOME            3,078,000      10,903,080
  349.   01618   MCC                        155,000         375,610
  350.   01622   REDCO GROUP                392,000         822,500
  351.   01628   YUZHOU GROUP             2,059,000       1,194,220
  352.   01638   KAISA GROUP                354,000         258,750
  353.   01658   PSBC                    15,901,000     104,534,570
  354.   01666   TONG REN TANG                5,000          33,460
  355.   01668   CHINASOUTHCITY             174,000         113,100
  356.   01672   ASCLETIS-B                 291,000       1,336,380
  357.   01675   ASIAINFO TECH               93,200       1,284,736
  358.   01680   MACAU LEGEND                20,000          10,400
  359.   01681   CONSUN PHARMA                5,000          18,420
  360.   01686   SUNEVISION                 193,000       1,294,650
  361.   01691   JS GLOBAL LIFE             910,000       7,506,705
  362.   01696   SISRAM MED                  34,400         270,664
  363.   01717   AUSNUTRIA                   17,000         167,840
  364.   01725   HK AERO TECH                 9,400         180,692
  365.   01733   E-COMMODIT-2K               36,000          48,400
  366.   01735   CENTRAL HOLDING             50,000         742,900
  367.   01755   S-ENJOY SERVICE            189,000       2,612,320
  368.   01760   INTRON TECH                116,000         452,310
  369.   01763   CIRC                           400           8,860
  370.   01765   HOPE EDU                 6,886,000       5,425,800
  371.   01766   CRRC                       514,000       1,799,110
  372.   01772   GANFENGLITHIUM             539,400      69,323,580
  373.   01776   GF SEC                     829,400      10,032,668
  374.   01787   SD GOLD                  1,089,750      16,311,440
  375.   01788   GUOTAI JUNAN I             715,000         746,800
  376.   01789   AK MEDICAL                 170,000         915,940
  377.   01797   KOOLEARN                 1,643,500       7,497,355
  378.   01798   DATANG RENEW               907,000       2,779,740
  379.   01799   XINTE ENERGY               490,000       8,244,248
  380.   01801   INNOVENT BIO               126,000       4,225,150
  381.   01810   XIAOMI-W                14,893,200     219,804,332
  382.   01811   CGN NEW ENERGY             676,000       3,456,020
  383.   01812   CHENMING PAPER              81,000         313,115
  384.   01813   KWG GROUP                1,368,500       4,898,820
  385.   01816   CGN POWER                4,615,000      10,147,130
  386.   01817   MULSANNE GROUP               1,000           4,490
  387.   01818   ZHAOJIN MINING             169,000       1,187,985
  388.   01821   ESR                      1,357,000      32,438,370
  389.   01830   PERFECT MEDICAL             59,000         263,270
  390.   01833   PA GOODDOCTOR            1,947,400      46,704,265
  391.   01836   STELLA HOLDINGS              6,000          48,695
  392.   01848   CALC                        17,000          93,990
  393.   01858   CHUNLI MEDICAL              50,750         531,140
  394.   01860   MOBVISTA                    23,000         139,190
  395.   01866   CHINA XLX FERT             101,000         663,420
  396.   01873   VIVA BIOTECH               550,500       1,510,130
  397.   01876   BUD APAC                 6,405,200     160,349,550
  398.   01877   JUNSHI BIO                 565,200      30,414,600
  399.   01881   REGAL REIT                   5,000           7,300
  400.   01882   HAITIAN INT'L              144,000       2,872,290



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