Short Sell Turnover (Main Board) up to day close-5 X
11/06/2024 16:13
Short Sell Turnover (Main Board) up to day close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
-------------------------------------------------------------------
  401.   02357   AVICHINA                 1,063,000       3,866,850
  402.   02359   WUXI APPTEC              1,084,700      35,429,995
  403.   02362   JINCHUAN INTL            2,659,000       2,217,510
  404.   02367   GIANT BIOGENE              175,400       8,720,220
  405.   02378   PRU                          6,750         485,043
  406.   02380   CHINA POWER              5,256,000      19,478,640
  407.   02382   SUNNY OPTICAL            1,671,600      77,519,260
  408.   02386   SINOPEC SEG                240,500       1,219,980
  409.   02388   BOC HONG KONG            2,326,500      57,314,600
  410.   02390   ZHIHU-W                      5,600          48,637
  411.   02400   XD INC                     336,800       6,222,316
  412.   02407   GAUSH MEDITECH               1,500          20,762
  413.   02411   PAGODA GP                  190,500         547,910
  414.   02423   BEKE-W                      78,400       3,263,650
  415.   02429   UBOX ONLINE                  7,000          93,280
  416.   02469   FENBI                    7,599,000      32,946,720
  417.   02487   CUTIA-B                      9,600          63,360
  418.   02518   AUTOHOME-S                     100           5,255
  419.   02588   BOC AVIATION                14,200         807,705
  420.   02600   CHALCO                   4,046,000      21,877,460
  421.   02601   CPIC                     3,228,800      66,364,814
  422.   02602   ONEWO                      139,200       3,455,130
  423.   02607   SH PHARMA                1,068,100      12,664,352
  424.   02611   GTJA                       527,000       4,108,596
  425.   02618   JD LOGISTICS               753,300       6,273,298
  426.   02628   CHINA LIFE               6,621,000      72,869,680
  427.   02638   HKELECTRIC-SS               67,000         328,010
  428.   02666   UNI MEDICAL                852,000       3,887,375
  429.   02669   CHINA OVS PPT              810,000       4,347,100
  430.   02688   ENN ENERGY                 363,100      24,660,005
  431.   02689   ND PAPER                 1,706,000       5,887,910
  432.   02727   SH ELECTRIC                116,000         176,040
  433.   02777   R&F PROPERTIES             539,200         507,440
  434.   02778   CHAMPION REIT              448,000         734,760
  435.   02799   CITIC FAMC               1,093,000         409,875
  436.   02800   TRACKER FUND           106,046,000   1,958,043,530
  437.   02801   ISHARES CHINA               29,400         558,134
  438.   02806   GX CN CONSUME                3,350         136,759
  439.   02809   GX CN CLN EN                 2,450         187,272
  440.   02812   SAMSUNGCDGN                    200           2,048
  441.   02814   SAMSUNG FANG                 8,000         244,640
  442.   02820   GX CN BIOTECH                   50           2,196
  443.   02822   CSOP A50 ETF               750,200       8,860,990
  444.   02823   ISHARES A50                319,100       4,017,223
  445.   02828   HSCEI ETF                9,043,800     592,168,680
  446.   02829   ISHARESCGB                  24,000       1,365,600
  447.   02845   GX CN EV BATT                6,200         433,296
  448.   02846   ISHARESCSI300               15,400         385,116
  449.   02866   COSCO SHIP DEV           5,249,000       5,656,850
  450.   02869   GREENTOWN SER              654,000       2,476,700
  451.   02877   SHINEWAY PHARM              29,000         233,290
  452.   02883   CHINA OILFIELD             494,000       3,709,360
  453.   02888   STANCHART                   25,200       1,879,393
  454.   02899   ZIJIN MINING            23,340,000     389,419,960
  455.   03003   CSOP MSCI A 50              61,400         290,394
  456.   03008   BOS HSK BTC                111,640       5,910,084
  457.   03011   A ICBCCICCUSD                  150       1,326,675
  458.   03032   HSTECH ETF               2,519,600       9,287,354
  459.   03033   CSOP HS TECH            95,413,000     348,802,051
  460.   03037   CSOP HSI ETF                16,000         295,185
  461.   03042   CAM BTC                    463,000       3,955,544
  462.   03053   A CSOP HKD MM                  194         216,845
  463.   03060   F CICC CARBON                   10             587
  464.   03066   FA CSOP BTC                 86,900       2,266,642
  465.   03067   ISHARESHSTECH              175,500       1,365,505
  466.   03068   FA CSOP ETH                 12,900         250,521
  467.   03069   CAM HSBIOTECH               50,200         394,429
  468.   03070   PING AN HKDIV                7,900         237,062
  469.   03072   NIKKOAM INET                   900         122,895
  470.   03081   VALUEGOLD ETF               13,200         721,974
  471.   03097   F GX OIL                     2,500          13,388
  472.   03110   GX HS HIGH DIV             822,400      18,211,754
  473.   03111   EFUNDMSCIA50               262,500         533,873
  474.   03115   ISHARESHSI                  24,800       1,635,458
  475.   03119   GX ASIA SEMICON                350          20,930
  476.   03136   HSI ESG ETF                 82,300         764,776
  477.   03147   X CSOPCHINEXT                6,200          40,940
  478.   03156   BOS 20 UST                      20          15,448
  479.   03165   CAM EU QLTY HDG                400           7,500
  480.   03173   PP CN NEWECON               34,000         216,580
  481.   03175   F SAMSUNG OIL               25,600         179,724
  482.   03188   CAM CSI300                 330,800      12,949,412
  483.   03189   EFUND LIQUOR               370,900         662,939
  484.   03190   FB SSH HIGH DIV              5,200          59,934
  485.   03191   GX CN SEMICON                8,250         270,836
  486.   03199   ICBCCSOP CGPB                1,500         169,500
  487.   03306   JNBY                        29,000         433,800
  488.   03309   C-MER EYE                   30,000          86,680
  489.   03311   CHINA STATE CON            812,000       8,568,040
  490.   03316   BINJIANG SER                 6,500         118,170
  491.   03319   A-LIVING                   517,250       1,598,815
  492.   03320   CHINARES PHARMA          1,032,000       5,926,435
  493.   03323   CNBM                     3,506,000      10,462,660
  494.   03328   BANKCOMM                 6,734,000      39,708,260
  495.   03339   LONKING                    466,000         734,220
  496.   03347   TIGERMED                   193,400       6,109,655
  497.   03360   FE HORIZON               1,942,000       9,924,240
  498.   03380   LOGAN GROUP                 64,000          41,600
  499.   03383   AGILE GROUP                764,000         430,800
  500.   03393   WASION HOLDINGS            132,000         874,240



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.