Short Sell Turnover (Main Board) up to morning close-1 X
31/08/2026 12:09
Short Sell Turnover (Main Board) up to morning close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
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    1.   00001   CKH HOLDINGS             1,003,500      70,255,025
    2.   00002   CLP HOLDINGS               382,000      29,919,625
    3.   00003   HK & CHINA GAS           2,684,000      19,292,505
    4.   00004   WHARF HOLDINGS              15,000         286,390
    5.   00005   HSBC HOLDINGS            1,021,600     163,611,280
    6.   00006   POWER ASSETS               207,500      12,369,025
    7.   00008   PCCW                        89,000         473,730
    8.   00010   HANG LUNG GROUP             93,000       1,147,070
    9.   00012   HENDERSON LAND           3,801,000     104,197,720
   10.   00013   HUTCHMED                   344,500       6,795,540
   11.   00014   HYSAN DEV                  311,000       4,912,300
   12.   00016   SHK PPT                  1,369,000     160,334,150
   13.   00017   NEW WORLD DEV              497,000       3,354,790
   14.   00019   SWIRE PACIFIC A             72,500       7,635,900
   15.   00020   SENSETIME-W            151,237,000     214,413,935
   16.   00023   BANK OF E ASIA             465,400       8,594,018
   17.   00027   GALAXY ENT               1,577,000      53,243,140
   18.   00034   KOWLOON DEV                  2,000           9,475
   19.   00038   FIRST TRACTOR               74,000         695,500
   20.   00041   GREAT EAGLE H               91,000       1,346,000
   21.   00045   HK&S HOTELS                  9,000          49,923
   22.   00050   HK FERRY (HOLD)              1,000           4,995
   23.   00066   MTR CORPORATION          1,055,000      33,977,580
   24.   00069   SHANGRI-LA ASIA             50,000         204,220
   25.   00071   MIRAMAR HOTEL                1,000          10,110
   26.   00081   CH OVS G OCEANS          1,735,000       4,680,360
   27.   00083   SINO LAND                1,880,000      19,319,380
   28.   00086   SUN HUNG KAI CO              2,000           8,215
   29.   00087   SWIRE PACIFIC B             30,000         456,725
   30.   00088   TAI CHEUNG HOLD              2,000           6,610
   31.   00100   MINIMAX-W                  356,800     111,099,996
   32.   00101   HANG LUNG PPT            1,201,000       8,434,705
   33.   00107   SICHUAN EXPRESS             82,000         390,800
   34.   00108   SR MEDICAL                  10,000          17,120
   35.   00116   CHOW SANG SANG             162,000       2,334,940
   36.   00119   POLY PROPERTY            5,499,000       7,864,515
   37.   00123   YUEXIU PROPERTY         13,611,000      46,788,165
   38.   00133   CHINA MERCHANTS             14,000         322,200
   39.   00135   KUNLUN ENERGY              432,000       3,317,070
   40.   00136   CHINA RUYI              15,952,000      21,849,520
   41.   00142   FIRST PACIFIC              602,000       3,003,100
   42.   00144   CHINA MER PORT             646,000      10,267,320
   43.   00148   KINGBOARD HLDG             860,000      45,540,275
   44.   00151   WANT WANT CHINA            536,000       1,654,000
   45.   00152   SHENZHEN INT'L           4,108,500      20,615,528
   46.   00165   CHINA EB LTD               568,000       3,497,810
   47.   00168   TSINGTAO BREW              740,000      30,170,560
   48.   00173   K. WAH INT'L                93,000         193,360
   49.   00175   GEELY AUTO               4,608,000      81,481,470
   50.   00177   JIANGSU EXPRESS              6,000          57,740
   51.   00179   JOHNSON ELEC H             319,000       6,120,475
   52.   00182   CONCORD NE                 740,000         235,350
   53.   00189   DONGYUE GROUP            3,100,000      43,490,910
   54.   00200   MELCO INT'L DEV            792,000       2,427,015
   55.   00220   U-PRESID CHINA             793,000       5,898,115
   56.   00241   ALI HEALTH              13,736,000      42,439,970
   57.   00257   EB ENVIRONMENT           1,282,000       6,435,400
   58.   00267   CITIC                    1,887,000      24,480,110
   59.   00268   KINGDEE INT'L            8,182,000      71,134,505
   60.   00270   GUANGDONG INV              716,000       6,169,300
   61.   00272   SHUI ON LAND               292,500         137,603
   62.   00285   BYD ELECTRONIC           9,860,000     245,516,230
   63.   00288   WH GROUP                 8,123,500      61,454,063
   64.   00289   WING ON CO                   1,000          13,200
   65.   00290   GOFINTECH QUANT            185,000         302,900
   66.   00291   CHINA RES BEER           1,236,500      24,062,615
   67.   00293   CATHAY PAC AIR             669,000       9,651,570
   68.   00297   SINOFERT                   844,000       1,142,640
   69.   00300   MIDEA GROUP              2,172,900     217,318,970
   70.   00303   VTECH HOLDINGS              80,700       4,092,860
   71.   00308   CHINA TRAVEL HK            146,000         166,210
   72.   00316   OOIL                       269,500      42,506,050
   73.   00317   COMEC                       44,000         548,820
   74.   00322   TINGYI                     668,000       8,511,340
   75.   00323   MAANSHAN IRON              164,000         284,280
   76.   00325   BLOKS                       13,800       1,019,670
   77.   00326   CHINA STAR ENT             112,000         763,770
   78.   00327   PAX GLOBAL                  36,000         148,005
   79.   00336   HUABAO INTL                213,000         664,160
   80.   00338   SHANGHAI PECHEM            542,000         633,000
   81.   00340   TONGGUAN GOLD            2,376,000       7,880,020
   82.   00341   CAFE DE CORAL H             32,000         168,160
   83.   00345   VITASOY INT'L               14,000          89,830
   84.   00347   ANGANG STEEL               536,000         637,360
   85.   00354   CHINASOFT INT'L            878,000       3,377,740
   86.   00357   MEILAN AIRPORT              16,000          84,665
   87.   00358   JIANGXI COPPER           1,760,000      65,183,880
   88.   00363   SHANGHAI IND H             147,000       2,010,940
   89.   00371   BJ ENT WATER             4,472,000       7,494,580
   90.   00373   ALLIED GROUP                 2,000           4,110
   91.   00376   YUNFENG FIN                400,000         787,210
   92.   00384   CHINA GAS HOLD           1,712,000       9,632,224
   93.   00386   SINOPEC CORP            14,738,000      69,913,990
   94.   00388   HKEX                       262,500     110,558,560
   95.   00390   CHINA RAILWAY            1,775,000       6,064,640
   96.   00392   BEIJING ENT                313,000       9,784,230
   97.   00400   INGDAN                     123,000         505,685
   98.   00405   YUEXIU REIT                220,000         140,800
   99.   00412   SDHG                        92,000          62,865
  100.   00425   MINTH GROUP                205,800       5,316,722



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