Short Sell Turnover (Main Board) up to morning close-6 X
02/08/2024 12:10
Short Sell Turnover (Main Board) up to morning close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
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  501.   06821   ASYMCHEM                     4,900         234,875
  502.   06823   HKT-SS                     439,000       4,380,770
  503.   06830   HUAZHONG IN-V              132,000         306,520
  504.   06837   HAITONG SEC                350,400       1,242,192
  505.   06855   ASCENTAGE-B                 31,900         864,875
  506.   06862   HAIDILAO                   691,000       8,330,780
  507.   06865   FLAT GLASS                 326,000       3,586,200
  508.   06869   YOFC                        71,000         559,680
  509.   06881   CGS                        503,500       2,004,985
  510.   06886   HTSC                        82,400         703,906
  511.   06963   SUNSHINE INS                15,500          44,515
  512.   06969   SMOORE INTL                318,000       2,783,380
  513.   06979   ZJLD                        96,200         664,398
  514.   06990   SKB BIO-B                   12,300       1,950,150
  515.   06993   BLUE MOON GROUP             16,000          31,620
  516.   07200   FL2 CSOP HSI            41,539,800     121,465,891
  517.   07226   XL2CSOPHSTECH          100,176,900     278,410,129
  518.   07233   XL2CSOPCSI300               41,000         125,509
  519.   07234   XL2 BOS CHINEXT             76,100         202,823
  520.   07261   FL2CAMNDQ100                31,000         869,412
  521.   07266   FL2CSOPNASDAQ              125,900       2,686,474
  522.   07288   FL2 CSOP HSCEI           3,164,600       5,590,847
  523.   07299   FL2CSOPGOLD                 25,000         262,569
  524.   07500   FI2 CSOP HSI             6,601,400      37,496,000
  525.   07522   FI2CAMNDQ100               269,100         262,642
  526.   07552   XI2CSOPHSTECH           11,601,000      78,241,196
  527.   07568   FI2CSOPNASDAQ            3,877,300      24,808,994
  528.   09096   A CSOP USD MM-U                  1             114 USD
  529.   09115   ISHARESHSI-U                 1,300          10,396 USD
  530.   09618   JD-SW                      460,250      45,190,573
  531.   09626   BILIBILI-W                 596,740      72,167,002
  532.   09633   NONGFU SPRING              855,600      25,480,580
  533.   09658   SUPER HI                    70,000         856,600
  534.   09669   BEISEN HOLDING              10,200          38,120
  535.   09688   ZAI LAB                    115,900       1,709,312
  536.   09690   TUHU-W                      56,200         929,184
  537.   09696   TIANQI LITHIUM             252,200       5,346,250
  538.   09698   GDS-SW                      70,100         755,804
  539.   09699   SF INTRA-CITY                  800           7,700
  540.   09826   GX CN CLOUD-U                  100             489 USD
  541.   09845   GX CN EV BATT-U              9,000          73,110 USD
  542.   09863   LEAPMOTOR                  164,500       3,896,510
  543.   09866   NIO-SW                     521,150      16,602,049
  544.   09868   XPENG-W                  2,157,800      64,614,620
  545.   09869   HELENS                      89,500         180,605
  546.   09877   JENSCARE-B                   1,400           5,248
  547.   09878   HUITONGDA NET                6,000         135,415
  548.   09880   UBTECH ROBOTICS                450          46,215
  549.   09886   DINGDANG HEALTH              6,500           6,960
  550.   09888   BIDU-SW                    524,700      43,749,513
  551.   09890   ZX INC                      28,000         297,780
  552.   09896   MNSO                       248,600       7,654,960
  553.   09898   WB-SW                        2,220         132,232
  554.   09899   CLOUD MUSIC                  3,400         317,273
  555.   09901   NEW ORIENTAL-S             331,200      15,642,440
  556.   09922   JIUMAOJIU                  581,000       1,591,180
  557.   09923   YEAHKA                      20,800         225,504
  558.   09926   AKESO                      132,000       5,664,000
  559.   09955   CLOUDR                     518,600         940,441
  560.   09956   ANE                         23,500         173,530
  561.   09959   LINKLOGIS-W                126,000         210,575
  562.   09961   TRIP.COM-S                 187,050      59,129,040
  563.   09966   ALPHAMAB-B                 378,000         899,080
  564.   09969   INNOCARE                    44,000         203,060
  565.   09979   GREENTOWN MGMT              72,000         312,850
  566.   09985   WL DELICIOUS                34,600         221,184
  567.   09987   YUM CHINA                    9,700       2,265,770
  568.   09988   BABA-SW                  3,091,700     234,822,475
  569.   09992   POP MART                   183,400       7,280,990
  570.   09993   RADIANCE HLDGS               8,000          18,460
  571.   09995   REMEGEN                     74,000       1,091,190
  572.   09996   PEIJIA-B                   356,000         823,300
  573.   09997   KANGJI MEDICAL               1,000           5,720
  574.   09999   NTES-S                      70,700       9,977,760
  575.   80011   HANGSENG BANK-R              7,000         589,655 CNY
  576.   80016   SHK PPT-R                    9,000         559,375 CNY
  577.   80020   SENSETIME-WR               100,000         108,000 CNY
  578.   80175   GEELY AUTO-R                18,000         129,800 CNY
  579.   80291   CHINARES BEER-R              6,000         132,750 CNY
  580.   80388   HKEX-R                       2,500         525,420 CNY
  581.   80700   TENCENT-R                      900         300,120 CNY
  582.   80883   CNOOC-R                    117,000       2,196,540 CNY
  583.   80941   CHINA MOBILE-R               4,500         306,700 CNY
  584.   80992   LENOVO GROUP-R               4,000          35,660 CNY
  585.   81211   BYD COMPANY-R                3,000         608,400 CNY
  586.   81299   AIA-R                        6,000         288,600 CNY
  587.   81810   XIAOMI-WR                   80,400       1,204,076 CNY
  588.   82318   PING AN-R                   20,000         619,850 CNY
  589.   82388   BOC HONG KONG-R             27,500         565,075 CNY
  590.   82800   TRACKER FUND-R           1,067,000      17,339,750 CNY
  591.   82822   CSOP A50 ETF-R               8,200          88,126 CNY
  592.   82823   ISHARES A50-R               39,100         443,785 CNY
  593.   82828   HSCEI ETF-R                  1,000          56,920 CNY
  594.   83010   ISHARES AXJ-R                1,900          94,468 CNY
  595.   83188   CAM CSI300-R                33,400       1,168,700 CNY
  596.   83690   MEITUAN-WR                   3,700         362,970 CNY
  597.   86618   JD HEALTH-R                  7,250         138,185 CNY
  598.   87001   HUI XIAN REIT              400,000         244,000 CNY
  599.   89618   JD-SWR                         100           9,080 CNY
  600.   89888   BIDU-SWR                    11,350         892,443 CNY



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