Short Sell Turnover (Main Board) up to morning close-2 X
02/05/2025 12:10
Short Sell Turnover (Main Board) up to morning close           CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT -------------------------------------------------------------------   101.   00551   YUE YUEN IND               142,500       1,559,480   102.   00552   CHINACOMSERVICE            308,000       1,260,240   103.   00558   LK TECH                     60,000         167,825   104.   00564   ZMJ                         20,000         253,844   105.   00570   TRAD CHI MED               186,000         372,220   106.   00576   ZHEJIANGEXPRESS            220,000       1,396,320   107.   00579   JNCEC                      218,000         513,680   108.   00580   SUN.KING TECH               28,000          31,700   109.   00581   CHINA ORIENTAL              34,000          41,820   110.   00586   CONCH VENTURE               69,000         547,340   111.   00590   LUK FOOK HOLD               30,000         512,780   112.   00596   INSPUR DIGI ENT            146,000       1,169,440   113.   00598   SINOTRANS                  181,000         609,910   114.   00604   SHENZHEN INVEST              2,000           1,580   115.   00631   SANY INT'L                  38,000         215,560   116.   00636   KLN                          1,000           6,255   117.   00639   SHOUGANG RES               184,000         452,880   118.   00656   FOSUN INTL                 537,000       2,212,995   119.   00659   CTF SERVICES                13,000          95,140   120.   00667   CHINA EAST EDU             286,000       1,668,585   121.   00669   TECHTRONIC IND             705,000      56,605,000   122.   00670   CHINA EAST AIR              72,000         168,720   123.   00683   KERRY PPT                   13,500         250,030   124.   00688   CHINA OVERSEAS             502,000       6,961,330   125.   00694   BEIJING AIRPORT            432,000       1,207,340   126.   00696   TRAVELSKY TECH              81,000         866,720   127.   00697   SHOUCHENG                1,982,000       3,142,140   128.   00700   TENCENT                    665,400     323,158,600   129.   00709   GIORDANO INT'L              28,000          41,720   130.   00710   BOE VARITRONIX             300,000       1,619,520   131.   00728   CHINA TELECOM              102,000         548,400   132.   00751   SKYWORTH GROUP              78,000         231,760   133.   00752   PICO FAR EAST                4,000           7,740   134.   00753   AIR CHINA                  330,000       1,556,720   135.   00754   HOPSON DEV HOLD              3,000           8,823   136.   00762   CHINA UNICOM               200,000       1,779,640   137.   00763   ZTE                        289,600       6,660,950   138.   00772   CHINA LIT                  248,600       6,758,830   139.   00777   NETDRAGON                   11,500         114,780   140.   00778   FORTUNE REIT                77,000         330,760   141.   00780   TONGCHENGTRAVEL            893,200      18,701,980   142.   00788   CHINA TOWER                294,500       3,304,690   143.   00799   IGG                          9,000          33,470   144.   00806   VALUE PARTNERS              57,000          79,130   145.   00808   PROSPERITY REIT             33,000          39,340   146.   00811   XINHUA WINSHARE             10,000         111,640   147.   00813   SHIMAO GROUP                78,000          64,695   148.   00817   CHINA JINMAO             2,218,000       2,529,720   149.   00819   TIANNENG POWER               4,000          25,440   150.   00823   LINK REIT                  299,900      10,968,325   151.   00826   TIANGONG INT'L             298,000         630,160   152.   00836   CHINA RES POWER            372,000       7,028,680   153.   00839   CHINA EDU GROUP          1,106,000       2,543,010   154.   00853   MICROPORT                  333,200       2,317,327   155.   00855   CHINA WATER                 56,000         326,400   156.   00856   VSTECS                     708,000       4,378,540   157.   00857   PETROCHINA               5,286,000      31,238,700   158.   00861   DC HOLDINGS                 60,000         149,710   159.   00863   OSL GROUP                   88,500         987,860   160.   00867   CMS                        127,000       1,049,410   161.   00868   XINYI GLASS              1,498,000      10,960,780   162.   00874   BAIYUNSHAN PH               12,000         200,840   163.   00880   SJM HOLDINGS               757,000       1,640,860   164.   00881   ZHONGSHENG HLDG            343,500       4,041,640   165.   00883   CNOOC                      867,000      14,458,000   166.   00902   HUANENG POWER            1,060,000       5,203,960   167.   00909   MING YUAN CLOUD            176,000         524,160   168.   00914   CONCH CEMENT               439,500       9,695,250   169.   00916   CHINA LONGYUAN           2,971,000      18,019,910   170.   00917   QUNABOX GROUP                7,400         799,140   171.   00921   HISENSE HA                 104,000       2,485,250   172.   00933   VIVA GOODS                  32,000          11,360   173.   00934   SINOPEC KANTONS            122,000         525,140   174.   00939   CCB                     13,766,000      87,282,030   175.   00941   CHINA MOBILE               197,500      16,096,975   176.   00956   CHINA SUNTIEN              359,000       1,542,870   177.   00960   LONGFOR GROUP              921,000       9,760,530   178.   00966   CHINA TAIPING               79,800         875,324   179.   00968   XINYI SOLAR              8,540,000      22,310,180   180.   00975   MONGOL MINING              225,000       1,396,890   181.   00981   SMIC                     1,122,000      53,071,925   182.   00990   THEME INT'L                330,000         130,900   183.   00991   DATANG POWER               672,000       1,247,180   184.   00992   LENOVO GROUP             9,958,000      91,656,740   185.   00995   ANHUIEXPRESSWAY              8,000          92,320   186.   00998   CITIC BANK               1,227,000       7,517,230   187.   01024   KUAISHOU-W               3,052,500     161,548,305   188.   01030   SEAZEN                   1,030,000       2,015,780   189.   01033   SINOPEC SSC                254,000         149,860   190.   01038   CKI HOLDINGS               158,500       8,254,275   191.   01044   HENGAN INT'L               345,500       7,283,925   192.   01052   YUEXIUTRANSPORT              4,000          13,860   193.   01055   CHINA SOUTH AIR            324,000       1,047,700   194.   01060   ALI PICTURES             1,660,000         846,600   195.   01066   WEIGAO GROUP               265,200       1,500,532   196.   01070   TCL ELECTRONICS            414,000       4,099,300   197.   01071   HUADIAN POWER               68,000         301,220   198.   01072   DONGFANG ELEC               94,000         993,140   199.   01083   TG SMART ENERGY             27,000          93,420   200.   01088   CHINA SHENHUA              646,000      18,889,650



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.