Short Sell Turnover (Main Board) up to morning close
CODE NAME OF STOCK T/O SHARES T/O AMOUNT 02820 GX CN BIOTECH 50 3,735
02822 CSOP A50 ETF 10,200 153,040
02823 ISHARES A50 166,500 2,700,293
02824 EFUND GOLD MI 44,200 455,240
02828 HSCEI ETF 7,979,200 662,856,764
02834 ISHARESND100 2,990 1,755,616
02837 GX HS TECH 31,500 165,850
02840 SPDR GOLD TRT 698 2,150,361
02845 GX CN EV BATT 350 30,240
02846 ISHARESCSI300 1,400 49,488
02858 YIXIN 1,125,500 1,139,828
02865 DRINDA 14,400 166,616
02866 COSCO SHIP DEV 36,000 31,405
02869 GREENTOWN SER 106,000 432,270
02877 SHINEWAY PHARM 51,000 425,170
02883 CHINA OILFIELD 388,000 2,852,040
02888 STANCHART 150 35,190
02889 PATEO 160 12,013
02899 ZIJIN MINING 2,600,000 83,150,160
02915 YUNJI 1,000 7,200
02922 REALORD TECH 16,000 45,640
03008 BOS HSK BTC 287,200 1,863,924
03031 FG HS HIGHDIV 98,100 921,265
03032 HSTECH ETF 4,250,400 18,096,882
03033 CSOP HS TECH 156,819,800 655,040,440
03037 CSOP HSI ETF 4,500 112,320
03042 CAM BTC 12,800 131,110
03046 CAM ETH 43,700 276,155
03067 ISHARESHSTECH 508,200 4,569,768
03069 CAM HSBIOTECH 479,000 7,691,529
03070 PING AN HKDIV 17,600 724,222
03109 CSOP STAR 50 7,700 122,624
03110 GX HS HIGHDIV 166,350 4,783,169
03115 ISHARESHSI 2,000 180,190
03119 GX ASIA SEMICON 1,275 233,460
03137 A GX USD MM 9 10,256
03141 CAM ASIA IGB 4,000 57,496
03145 CAM ASIA HIGHDV 43,400 611,600
03149 CSOP PIONR TECH 15,000 111,975
03170 HS GOLD ETF 1,331,150 18,037,929
03174 CSOP HSBIOTECH 33,400 127,006
03175 F SAMSUNG OIL 400 4,728
03179 HGI ETH 500 3,153
03188 CAM CSI300 24,400 1,306,864
03195 HS S&P500 3,600 43,956
03200 HANS CNC 12,900 1,294,720
03288 HAITIAN FLAV 222,300 5,970,984
03296 HUAQIN 38,300 2,666,820
03306 JNBY 14,000 306,140
03308 ZJ INNOLIGHT 5,750 6,652,550
03310 VIEWTRIX TECH 400 10,588
03311 CHINA STATE CON 136,000 1,138,350
03316 BINJIANG SER 24,000 489,930
03317 XUNCE 3,700 383,300
03319 A-LIVING 92,750 148,029
03320 CHINARES PHARMA 138,000 586,233
03323 CNBM 5,402,000 16,559,310
03328 BANKCOMM 1,714,000 14,033,595
03330 LINGBAO GOLD 348,600 7,352,550
03336 JU TENG INTL 4,000 9,080
03337 ANTON OILFIELD 22,000 18,480
03339 LONKING 155,000 480,170
03347 TIGERMED 35,900 1,619,610
03355 FS.COM 800 31,330
03360 FE HORIZON 96,000 604,435
03380 LOGAN GROUP 74,000 93,220
03393 WASION HOLDINGS 96,000 1,232,460
03396 LEGENDHOLDING 514,300 13,222,014
03416 A GX HSCEICC 7,610,700 61,977,481
03417 A GX HSTCC 3,875,800 26,973,523
03418 CAM DIGI GOLD 10 346
03419 A GX HSICC 5,009,200 46,080,643
03431 CSOP HKKRTECH 9,000 92,728
03433 CSOP UST20 39,190 2,441,394
03437 BOS CSOE HIDV 86,800 860,147
03440 GX 0-3M UST 31,150 1,714,922
03455 INVESCO QQQ 2 11,644
03466 HS HIGH DIV 3,802,700 70,634,687
03483 EFUND APAC HD 31,700 582,163
03519 A HSCEICC 17,300 141,082
03533 XA GX GOLD CC 3,175 217,690
03555 AGX HSDIV ENH 334,400 2,638,184
03600 MODERN DENTAL 1,000 7,990
03606 FUYAO GLASS 178,000 9,612,360
03613 TONGRENTANGCM 35,000 190,015
03618 CQRC BANK 31,000 193,885
03633 ZHONGYU ENERGY 14,000 38,560
03677 ZENERGY 2,400 10,275
03690 MEITUAN-W 4,206,300 296,725,970
03692 HANSOH PHARMA 612,000 20,500,280
03696 INSILICO 519,000 28,547,825
03698 HUISHANG BANK 243,000 1,132,695
03709 EEKA FASHION 34,500 150,818
03738 VOBILE GROUP 690,000 2,193,985
03750 CATL 310,600 151,072,260
03759 PHARMARON 25,400 773,604
03788 HANKING GOLD 66,000 195,825
03800 GCL TECH 11,841,000 8,482,825
03808 SINOTRUK 171,000 5,925,060
03858 JIAXIN INTL RES 137,600 6,354,576
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