Market Insight

2024.07.17 16:13

Short Sell Short Sell Turnover (Main Board) up to day close-2

Short Sell Turnover (Main Board) up to day close CODE NAME OF STOCK T/O SHARES T/O AMOUNT ------------------------------------------------------------------- 101. 00522 ASMPT 330,500 38,425,040 102. 00525 GUANGSHEN RAIL 314,000 714,940 103. 00535 GEMDALE PPT 974,000 234,098 104. 00546 FUFENG GROUP 314,000 1,438,440 105. 00547 DIGITAL DOMAIN 70,000 15,900 106. 00548 SHENZHENEXPRESS 34,000 247,640 107. 00551 YUE YUEN IND 624,000 7,678,720 108. 00552 CHINACOMSERVICE 736,000 3,098,400 109. 00558 LK TECH 272,500 831,150 110. 00564 ZMJ 153,800 1,415,054 111. 00570 TRAD CHI MED 1,172,000 4,095,440 112. 00576 ZHEJIANGEXPRESS 834,000 4,214,660 113. 00579 JNCEC 204,000 388,220 114. 00580 SUN.KING TECH 8,000 8,780 115. 00581 CHINA ORIENTAL 66,000 78,280 116. 00586 CONCH VENTURE 337,000 2,498,935 117. 00590 LUK FOOK HOLD 49,000 769,480 118. 00598 SINOTRANS 514,000 1,800,040 119. 00604 SHENZHEN INVEST 10,000 9,600 120. 00631 SANY INT'L 141,000 673,560 121. 00636 KERRY LOG NET 4,500 31,595 122. 00639 SHOUGANG RES 2,532,000 7,681,980 123. 00650 PRODUCTIVE TECH 1,738,000 429,768 124. 00656 FOSUN INTL 143,500 604,090 125. 00659 NWS HOLDINGS 5,000 35,040 126. 00667 CHINA EAST EDU 316,000 723,820 127. 00669 TECHTRONIC IND 2,105,500 207,751,700 128. 00670 CHINA EAST AIR 350,000 715,960 129. 00683 KERRY PPT 34,000 474,650 130. 00688 CHINA OVERSEAS 3,615,000 49,099,830 131. 00694 BEIJING AIRPORT 1,404,000 3,955,980 132. 00696 TRAVELSKY TECH 331,000 3,247,600 133. 00697 SHOUCHENG 248,000 335,200 134. 00700 TENCENT 4,245,700 1,578,926,280 135. 00709 GIORDANO INT'L 186,000 335,860 136. 00710 BOE VARITRONIX 15,000 70,280 137. 00728 CHINA TELECOM 2,594,000 12,233,160 138. 00751 SKYWORTH GROUP 368,000 1,083,980 139. 00753 AIR CHINA 462,000 1,660,600 140. 00754 HOPSON DEV HOLD 40,000 136,604 141. 00762 CHINA UNICOM 9,626,000 68,132,940 142. 00763 ZTE 232,400 4,270,540 143. 00772 CHINA LIT 500,200 13,198,230 144. 00777 NETDRAGON 41,500 490,080 145. 00778 FORTUNE REIT 42,000 163,570 146. 00780 TONGCHENGTRAVEL 274,400 4,099,240 147. 00788 CHINA TOWER 46,508,000 46,551,760 148. 00799 IGG 126,000 342,590 149. 00806 VALUE PARTNERS 112,000 180,290 150. 00811 XINHUA WINSHARE 156,000 1,431,970 151. 00817 CHINA JINMAO 3,452,000 2,366,640 152. 00819 TIANNENG POWER 132,000 701,020 153. 00823 LINK REIT 1,156,200 37,856,620 154. 00826 TIANGONG INT'L 260,000 477,380 155. 00830 CSC DEVELOPMENT 18,000 38,460 156. 00836 CHINA RES POWER 5,088,000 111,210,000 157. 00839 CHINA EDU GROUP 328,000 1,373,130 158. 00853 MICROPORT 594,800 3,219,093 159. 00855 CHINA WATER 414,000 1,954,460 160. 00856 VSTECS 180,000 760,920 161. 00857 PETROCHINA 66,624,000 500,507,200 162. 00861 DC HOLDINGS 178,000 569,800 163. 00863 OSL GROUP 105,000 616,770 164. 00867 CMS 190,000 1,290,150 165. 00868 XINYI GLASS 1,469,000 12,706,900 166. 00874 BAIYUNSHAN PH 60,000 1,243,500 167. 00880 SJM HOLDINGS 724,000 1,855,470 168. 00881 ZHONGSHENG HLDG 2,182,000 27,761,920 169. 00883 CNOOC 24,985,000 531,671,700 170. 00884 CIFI HOLD GP 720,000 243,570 171. 00902 HUANENG POWER 13,712,000 68,139,380 172. 00909 MING YUAN CLOUD 335,000 725,090 173. 00914 CONCH CEMENT 2,269,500 46,376,055 174. 00916 CHINA LONGYUAN 10,245,000 73,812,540 175. 00921 HISENSE HA 1,839,000 42,608,600 176. 00933 VIVA GOODS 416,000 285,680 177. 00934 SINOPEC KANTONS 374,000 1,533,980 178. 00939 CCB 88,838,000 486,780,970 179. 00941 CHINA MOBILE 3,469,500 262,802,125 180. 00956 CHINA SUNTIEN 522,000 1,799,550 181. 00960 LONGFOR GROUP 1,415,000 15,758,060 182. 00966 CHINA TAIPING 31,600 255,770 183. 00968 XINYI SOLAR 9,500,000 35,391,600 184. 00973 L'OCCITANE 24,250 807,938 185. 00975 MONGOL MINING 207,000 2,116,740 186. 00981 SMIC 5,116,000 90,606,530 187. 00990 THEME INT'L 150,000 72,000 188. 00991 DATANG POWER 3,254,000 5,234,580 189. 00992 LENOVO GROUP 11,272,000 120,221,320 190. 00995 ANHUIEXPRESSWAY 1,168,000 10,441,620 191. 00998 CITIC BANK 2,881,000 13,457,180 192. 01024 KUAISHOU-W 3,003,000 139,685,865 193. 01030 SEAZEN 1,892,000 2,950,420 194. 01038 CKI HOLDINGS 586,000 28,839,750 195. 01044 HENGAN INT'L 161,500 3,921,025 196. 01052 YUEXIUTRANSPORT 126,000 484,480 197. 01055 CHINA SOUTH AIR 878,000 2,535,240 198. 01060 ALI PICTURES 2,230,000 937,600 199. 01066 WEIGAO GROUP 2,365,600 9,422,764 200. 01070 TCL ELECTRONICS 2,128,000 11,254,880

Data Source:INF