Short Sell Turnover (Main Board) up to day close-3 X
16/05/2024 16:13
Short Sell Turnover (Main Board) up to day close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
-------------------------------------------------------------------
  201.   01038   CKI HOLDINGS               366,000      17,360,275
  202.   01044   HENGAN INT'L               440,500      12,682,425
  203.   01052   YUEXIUTRANSPORT            166,000         697,340
  204.   01055   CHINA SOUTH AIR          1,402,000       4,349,280
  205.   01060   ALI PICTURES             3,390,000       1,601,600
  206.   01066   WEIGAO GROUP               646,000       3,463,332
  207.   01070   TCL ELECTRONICS            834,000       5,037,340
  208.   01071   HUADIAN POWER            2,580,000      11,803,680
  209.   01072   DONGFANG ELEC              919,800      10,963,160
  210.   01083   TG SMART ENERGY            106,000         337,920
  211.   01088   CHINA SHENHUA            3,404,000     122,205,625
  212.   01093   CSPC PHARMA              8,456,000      56,548,980
  213.   01099   SINOPHARM                  995,600      22,194,240
  214.   01108   TRIUMPH NEW EN               4,000          20,560
  215.   01109   CHINA RES LAND           3,768,000     120,570,175
  216.   01112   H&H INTL HLDG               83,000         908,120
  217.   01113   CK ASSET                 2,102,500      74,351,550
  218.   01114   BRILLIANCE CHI           1,392,000       8,959,600
  219.   01117   CH MODERN D              2,144,000       1,567,560
  220.   01119   IDREAMSKY                2,229,200       6,826,984
  221.   01121   GOLDENSOLAR                 52,000         271,600
  222.   01128   WYNN MACAU               1,815,600      14,933,516
  223.   01133   HARBIN ELECTRIC             20,000          54,940
  224.   01138   COSCO SHIP ENGY          2,454,000      25,968,560
  225.   01157   ZOOMLION                   901,600       5,702,962
  226.   01164   CGN MINING               4,855,000      12,748,850
  227.   01171   YANKUANG ENERGY          5,110,000      95,094,960
  228.   01177   SINO BIOPHARM            6,384,000      19,747,520
  229.   01179   HWORLD-S                   519,600      16,573,040
  230.   01186   CHINA RAIL CONS            433,500       2,489,495
  231.   01193   CHINA RES GAS              630,900      17,278,010
  232.   01196   REALORD GROUP               46,000         245,660
  233.   01199   COSCO SHIP PORT          4,022,000      20,770,300
  234.   01208   MMG                      5,512,000      22,069,840
  235.   01209   CHINA RES MIXC           1,867,600      59,170,010
  236.   01211   BYD COMPANY              1,280,000     280,954,300
  237.   01244   3D MEDICINES               100,000         707,205
  238.   01250   SDHS NEW ENERGY             40,000          75,360
  239.   01258   CHINFMINING              2,960,000      24,444,990
  240.   01268   MEIDONG AUTO             2,118,000       5,913,000
  241.   01277   KINETIC DEV                322,000         366,540
  242.   01288   ABC                     41,833,000     158,538,630
  243.   01299   AIA                      1,156,000      73,011,090
  244.   01302   LIFETECH SCI             2,448,000       4,620,640
  245.   01308   SITC                     1,962,000      37,958,280
  246.   01310   HKBN                     2,618,000       7,142,315
  247.   01313   CR BLDG MAT TEC          3,452,000       5,288,160
  248.   01316   NEXTEER                  1,077,000       4,773,430
  249.   01336   NCI                      1,849,700      32,260,822
  250.   01339   PICC GROUP               3,253,000       9,203,610
  251.   01341   HAO TIAN INTL              400,000         348,240
  252.   01347   HUA HONG SEMI            1,138,000      20,476,320
  253.   01357   MEITU                    2,666,500       8,918,190
  254.   01359   CHINA CINDA             23,741,000      18,411,400
  255.   01361   361 DEGREES                 79,000         366,070
  256.   01368   XTEP INT'L               4,016,500      23,766,965
  257.   01378   CHINAHONGQIAO           10,402,000     124,983,520
  258.   01381   CANVEST ENV                 66,000         269,980
  259.   01382   PACIFICTEXTILES             97,000         156,040
  260.   01385   SHANGHAI FUDAN             400,000       4,767,180
  261.   01398   ICBC                   160,741,000     749,300,550
  262.   01405   DPC DASH                    13,700         809,925
  263.   01415   COWELL                     222,000       4,350,120
  264.   01426   SPRING REIT                  1,000           1,990
  265.   01448   FU SHOU YUAN               992,000       5,451,840
  266.   01456   GUOLIAN SEC                242,000         978,995
  267.   01458   ZHOU HEI YA                767,500       1,507,775
  268.   01475   NISSIN FOODS               275,000       1,447,210
  269.   01477   OCUMENSION-B                53,500         377,330
  270.   01478   Q TECH                     368,000       1,444,600
  271.   01508   CHINA RE                   293,000         176,400
  272.   01513   LIVZON PHARMA               24,700         719,065
  273.   01515   CR MEDICAL                 205,500         898,560
  274.   01516   SUNAC SERVICES             749,000       1,601,360
  275.   01519   J&T EXPRESS-W              939,600       7,767,646
  276.   01528   RS MACALLINE               239,000         406,600
  277.   01530   3SBIO                      115,500         746,975
  278.   01548   GENSCRIPT BIO            2,098,000      26,515,200
  279.   01558   HEC CJ PHARM               133,600       1,545,960
  280.   01579   YIHAI INTL                 290,000       5,156,140
  281.   01585   YADEA                    2,628,000      39,078,400
  282.   01606   CDB LEASING                704,000       1,584,540
  283.   01610   COFCO JOYCOME            2,082,000       4,096,430
  284.   01618   MCC                        641,000       1,115,750
  285.   01658   PSBC                    29,980,000     136,173,670
  286.   01666   TONG REN TANG               81,000         466,360
  287.   01675   ASIAINFO TECH               14,800         110,868
  288.   01681   CONSUN PHARMA               38,000         264,920
  289.   01686   SUNEVISION                  44,000         127,730
  290.   01691   JS GLOBAL LIFE             656,000         981,740
  291.   01709   DL HOLDINGS GP               2,000           8,360
  292.   01733   E-COMMODITIES              202,000         344,300
  293.   01735   CENTRAL NEW EGY              1,000           5,410
  294.   01765   XJ INTL HLDGS               78,000          21,450
  295.   01766   CRRC                     1,399,000       6,835,370
  296.   01772   GANFENGLITHIUM           1,221,200      30,726,120
  297.   01773   TIANLI INT HLDG            255,000       1,417,660
  298.   01776   GF SEC                   1,393,800      11,564,840
  299.   01787   SD GOLD                    706,750      13,468,965
  300.   01788   GUOTAI JUNAN I              32,000          20,360



Infocast Limited and its information providers endeavour to ensure the accuracy and reliability of the information provided, but do not guarantee its accuracy and reliability and accept no liability (whether in tort or contract or otherwise) for any loss or damage arising from any inaccuracies or omissions.