Short Sell Turnover (Main Board) up to day close
CODE NAME OF STOCK T/O SHARES T/O AMOUNT 1. 00001 CKH HOLDINGS 1,195,500 80,777,225 2. 00002 CLP HOLDINGS 1,130,000 86,236,950 3. 00003 HK & CHINA GAS 4,969,000 35,103,660 4. 00004 WHARF HOLDINGS 201,000 3,869,110 5. 00005 HSBC HOLDINGS 2,299,600 361,004,920 6. 00006 POWER ASSETS 684,000 40,480,325 7. 00008 PCCW 462,000 2,411,270 8. 00010 HANG LUNG GROUP 100,000 1,201,530 9. 00012 HENDERSON LAND 3,069,000 79,986,780 00013 HUTCHMED 68,000 1,489,890
00014 HYSAN DEV 119,000 1,838,740
00016 SHK PPT 1,177,500 125,504,850
00017 NEW WORLD DEV 1,069,000 6,361,445
00019 SWIRE PACIFIC A 170,500 17,364,300
00020 SENSETIME-W 105,213,000 130,779,055
00023 BANK OF E ASIA 1,024,000 19,377,550
00027 GALAXY ENT 3,068,000 96,838,900
00034 KOWLOON DEV 1,000 4,550
00038 FIRST TRACTOR 90,000 780,840
00041 GREAT EAGLE H 25,000 357,500
00045 HK&S HOTELS 11,000 60,433
00062 TRANSPORT INT'L 2,000 17,166
00066 MTR CORPORATION 1,527,500 49,567,530
00068 MANYCORE TECH 169,500 1,322,900
00069 SHANGRI-LA ASIA 140,000 518,650
00071 MIRAMAR HOTEL 1,000 9,875
00081 CH OVS G OCEANS 366,000 1,001,600
00083 SINO LAND 3,126,000 31,082,600
00086 SUN HUNG KAI CO 9,000 35,955
00087 SWIRE PACIFIC B 42,500 630,575
00100 MINIMAX-W 332,220 90,968,388
00101 HANG LUNG PPT 1,436,000 9,249,490
00107 SICHUAN EXPRESS 272,000 1,324,070
00108 SR MEDICAL 88,000 175,700
00116 CHOW SANG SANG 33,000 417,260
00119 POLY PROPERTY 1,496,000 1,868,045
00123 YUEXIU PROPERTY 113,000 358,720
00133 CHINA MERCHANTS 58,000 1,475,920
00135 KUNLUN ENERGY 2,680,000 20,253,460
00136 CHINA RUYI 8,712,000 13,143,800
00142 FIRST PACIFIC 1,064,000 5,037,800
00144 CHINA MER PORT 620,000 10,402,100
00148 KINGBOARD HLDG 3,290,500 187,859,950
00151 WANT WANT CHINA 3,358,000 9,215,210
00152 SHENZHEN INT'L 1,284,000 6,632,060
00165 CHINA EB LTD 628,000 3,822,670
00168 TSINGTAO BR-500 201,500 7,874,800
00175 GEELY AUTO 6,515,000 101,055,080
00177 JIANGSU EXPRESS 920,000 9,771,060
00178 SA SA INT'L 852,000 987,140
00179 JOHNSON ELEC H 305,000 5,444,090
00182 CONCORD NE 1,070,000 331,500
00189 DONGYUE GROUP 1,085,000 12,230,620
00200 MELCO INT'L DEV 865,000 2,449,140
00215 HUTCHTEL HK 6,000 6,750
00220 U-PRESID CHINA 730,000 4,996,690
00241 ALI HEALTH 22,288,000 61,993,680
00257 EB ENVIRONMENT 598,000 2,731,435
00267 CITIC 2,614,000 33,699,100
00268 KINGDEE INT'L 1,934,000 14,193,570
00270 GUANGDONG INV 676,000 5,887,850
00285 BYD ELECTRONIC 1,419,500 31,930,620
00288 WH GROUP 9,305,500 60,514,093
00290 GOFINTECH QUANT 333,000 545,323
00291 CHINA RES BEER 529,500 9,747,060
00293 CATHAY PAC AIR 145,000 2,080,930
00297 SINOFERT 2,110,000 2,508,690
00300 MIDEA GROUP 922,000 87,770,550
00303 VTECH HOLDINGS 196,700 10,078,245
00308 CHINA TRAVEL HK 378,000 427,540
00315 SMARTONE TELE 16,500 80,565
00316 OOIL 100,000 14,392,500
00317 COMEC 4,000 59,060
00322 TINGYI 1,432,000 16,246,940
00323 MAANSHAN IRON 298,000 484,800
00325 BLOKS 14,700 900,660
00326 CHINA STAR ENT 12,000 76,730
00327 PAX GLOBAL 98,000 363,060
00336 HUABAO INTL 4,004,000 13,981,015
00338 SHANGHAI PECHEM 688,000 751,190
00340 TONGGUAN GOLD 1,466,000 3,748,830
00341 CAFE DE CORAL H 28,000 148,210
00345 VITASOY INT'L 16,000 105,340
00347 ANGANG STEEL 1,582,000 1,728,200
00354 CHINASOFT INT'L 1,018,000 3,816,360
00358 JIANGXI COPPER 632,000 20,670,920
00363 SHANGHAI IND H 81,000 1,030,400
00371 BJ ENT WATER 2,010,000 3,114,250
00373 ALLIED GROUP 14,000 27,680
00376 YUNFENG FIN 306,000 619,400
00384 CHINA GAS HOLD 6,242,400 33,452,353
00386 SINOPEC CORP 19,240,000 85,199,330
00388 HKEX 593,800 230,395,920
00390 CHINA RAILWAY 1,918,000 6,034,915
00392 BEIJING ENT 151,500 4,486,440
00400 INGDAN 191,000 913,455
00405 YUEXIU REIT 730,000 432,220
00412 SDHG 127,000 70,620
00425 MINTH GROUP 226,700 5,157,352
00435 SUNLIGHT REIT 241,000 493,560
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