Short Sell Turnover (Main Board) up to morning close-4 X
31/12/2025 12:13
Short Sell Turnover (Main Board) up to morning close

          CODE   NAME OF STOCK           T/O SHARES      T/O AMOUNT
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  301.   01579   YIHAI INTL                 328,000       4,103,690
  302.   01585   YADEA                    1,418,000      16,038,540
  303.   01606   CDB LEASING                194,000         331,540
  304.   01610   COFCO JOYCOME              846,000       1,330,020
  305.   01611   SINOHOPE TECH               42,000         106,185
  306.   01618   MCC                        718,000       1,308,700
  307.   01635   DZUG                        27,000          91,020
  308.   01651   TSUGAMI CHINA               80,000       2,692,560
  309.   01658   PSBC                     8,001,000      42,691,620
  310.   01666   TONG REN TANG               73,000         321,150
  311.   01672   ASCLETIS-B                 137,000       1,547,870
  312.   01675   ASIAINFO TECH              196,000       1,475,244
  313.   01681   CONSUN PHARMA               97,000       1,512,440
  314.   01686   SUNEVISION                 140,000         643,490
  315.   01691   JS GLOBAL LIFE           1,714,000       3,331,310
  316.   01698   TME-SW                     117,200       8,098,575
  317.   01709   DL HOLDINGS GP             501,000       1,168,070
  318.   01729   TIME INTERCON            1,174,000      20,012,680
  319.   01735   CENTRAL NEW EGY             33,000         269,410
  320.   01766   CRRC                       143,000         854,960
  321.   01772   GANFENGLITHIUM             622,000      33,095,820
  322.   01773   TIANLI INT HLDG          1,081,000       2,545,410
  323.   01776   GF SEC                   1,173,400      20,680,706
  324.   01783   ENVISION GREEN              68,000         214,770
  325.   01787   SD GOLD                    447,750      15,675,300
  326.   01788   GUOTAI JUNAN I           8,020,000      20,710,020
  327.   01789   AK MEDICAL                 112,000         639,100
  328.   01797   EAST BUY                   613,000      11,032,415
  329.   01798   DATANG RENEW             1,924,000       3,947,030
  330.   01799   XINTE ENERGY                50,400         372,708
  331.   01800   CHINA COMM CONS             36,000         184,570
  332.   01801   INNOVENT BIO             3,072,000     235,822,400
  333.   01810   XIAOMI-W                11,109,600     436,994,052
  334.   01811   CGN NEW ENERGY             446,000       1,112,600
  335.   01816   CGN POWER                8,660,000      25,399,400
  336.   01818   ZHAOJIN MINING             271,000       8,456,460
  337.   01828   FWD                            700          26,584
  338.   01833   PA GOODDOCTOR            1,706,500      24,113,377
  339.   01836   STELLA HOLDINGS            257,500       3,840,680
  340.   01848   CALC                         7,500          34,510
  341.   01858   CHUNLI MEDICAL              96,250       1,432,690
  342.   01866   CHINA XLX FERT             313,000       2,788,210
  343.   01872   GUAN CHAO HLDGS             75,000         490,750
  344.   01873   VIVA BIOTECH               423,500         749,630
  345.   01876   BUD APAC                 1,116,000       8,502,988
  346.   01877   JUNSHI BIO                  45,600         973,424
  347.   01880   CTG DUTY-FREE               21,500       1,693,265
  348.   01882   HAITIAN INT'L              126,000       2,783,980
  349.   01883   CITIC TELECOM              173,000         427,530
  350.   01888   KB LAMINATES               794,500      10,543,630
  351.   01896   MAOYAN ENT                  26,600         182,460
  352.   01898   CHINA COAL               1,017,000      10,107,250
  353.   01899   XINGDA INT'L                 1,000           1,300
  354.   01905   HAITONG UT                  30,000          23,400
  355.   01907   CHINA RISUN GP              44,000          99,460
  356.   01908   C&D INTL GROUP           1,803,000      27,750,930
  357.   01910   SAMSONITE                  105,900       2,111,154
  358.   01911   CR HOLDINGS                 30,400         126,983
  359.   01913   PRADA                      143,300       6,448,952
  360.   01918   SUNAC                   10,038,000      13,111,300
  361.   01919   COSCO SHIP HOLD            771,000      10,655,915
  362.   01921   DALIPAL HLDG                 4,000          29,380
  363.   01928   SANDS CHINA LTD          1,452,400      28,404,616
  364.   01929   CHOW TAI FOOK            2,031,000      25,047,322
  365.   01951   JXR                        712,000       1,700,190
  366.   01952   EVEREST MED                181,000       6,741,800
  367.   01958   BAIC MOTOR               1,770,000       3,446,910
  368.   01963   BCQ                         17,000         134,435
  369.   01969   CHINA CHUNLAI               14,000          50,290
  370.   01972   SWIREPROPERTIES            131,200       2,749,568
  371.   01988   MINSHENG BANK            1,084,000       4,250,630
  372.   01995   ES SERVICES                424,000         722,860
  373.   01997   WHARF REIC                 785,000      19,283,640
  374.   01999   MAN WAH HLDGS              303,600       1,385,172
  375.   02001   NEW HIGHER EDU             305,000         290,320
  376.   02005   SSY GROUP                1,528,000       4,322,340
  377.   02007   COUNTRY GARDEN          14,883,000       6,213,785
  378.   02009   BBMG                       880,000         645,420
  379.   02013   WEIMOB INC               2,764,000       5,088,640
  380.   02015   LI AUTO-W                2,582,900     167,944,640
  381.   02016   CZBANK                     386,000         969,790
  382.   02018   AAC TECH                   180,000       7,123,630
  383.   02020   ANTA SPORTS                825,000      66,230,610
  384.   02038   FIH                        133,000       2,513,730
  385.   02039   CIMC                       258,800       2,428,675
  386.   02050   SANHUA                   2,807,700     110,807,660
  387.   02057   ZTO EXPRESS-W              256,100      41,775,060
  388.   02076   BOSS ZHIPIN-W                2,400         191,545
  389.   02096   SIMCERE PHARMA             331,000       3,949,760
  390.   02097   MIXUE GROUP                 14,600       6,054,480
  391.   02099   CHINAGOLDINTL               69,800      10,960,960
  392.   02105   LAEKNA-B                   215,000       2,904,990
  393.   02121   AINNOVATION                 59,600         335,034
  394.   02128   CHINA LESSO                161,000         749,710
  395.   02142   HBM HOLDINGS-B             660,000       7,953,980
  396.   02145   CHICMAX                    360,400      25,912,790
  397.   02155   MORIMATSU INTL             403,000       3,717,860
  398.   02156   C&D PROPERTY             1,355,000       3,646,000
  399.   02157   LEPU BIO-B                  74,000         370,130
  400.   02158   YIDU TECH                  264,800       1,403,677



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