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2025.06.06 16:13
Short Sell Short Sell Turnover (Main Board) up to day close-5
Short Sell Turnover (Main Board) up to day close CODE NAME OF STOCK T/O SHARES T/O AMOUNT ------------------------------------------------------------------- 401. 02359 WUXI APPTEC 1,055,100 74,674,705 402. 02367 GIANT BIOGENE 2,552,800 152,140,740 403. 02378 PRU 3,450 319,943 404. 02380 CHINA POWER 10,573,000 34,541,360 405. 02382 SUNNY OPTICAL 2,790,700 173,061,515 406. 02386 SINOPEC SEG 748,500 4,364,475 407. 02388 BOC HONG KONG 2,281,500 78,033,375 408. 02390 ZHIHU-W 2,000 21,200 409. 02391 TUYA-W 1,000 20,430 410. 02400 XD INC 219,200 8,833,410 411. 02423 BEKE-W 4,492,700 221,984,270 412. 02429 UBOX ONLINE 49,000 114,850 413. 02431 MINIEYE 21,600 609,910 414. 02432 DOBOT 34,600 2,092,090 415. 02443 AUTOSTREETS 178,800 677,346 416. 02453 CONCORD HC GP 9,200 54,008 417. 02460 CR BEVERAGE 376,400 5,078,700 418. 02469 FENBI 337,000 735,530 419. 02473 XXF 345,000 2,236,275 420. 02477 WELLCELL HOLD 144,000 1,017,752 421. 02488 LAUNCH TECH 62,000 767,310 422. 02489 PERSISTENCE RES 75,000 147,350 423. 02498 ROBOSENSE 473,500 15,536,310 424. 02507 CIRRUS 103,000 3,907,235 425. 02517 GUOQUAN 59,600 183,476 426. 02533 BLACK SESAME 424,700 8,063,176 427. 02555 CHABAIDAO 53,000 521,292 428. 02556 MARKETINGFORCE 22,100 911,065 429. 02562 SYNAGISTICS 53,000 781,950 430. 02570 REFIRE 1,480 324,868 431. 02577 INNOSCIENCE 11,900 412,275 432. 02582 GUOFUHEE 100 11,350 433. 02587 HEALTHYWAY INC 26,500 1,374,425 434. 02588 BOC AVIATION 50,800 3,238,840 435. 02600 CHALCO 974,000 4,631,680 436. 02601 CPIC 1,954,800 51,301,750 437. 02602 ONEWO 97,100 1,976,605 438. 02607 SH PHARMA 139,100 1,636,202 439. 02611 GTHT 369,200 4,270,380 440. 02618 JD LOGISTICS 260,600 3,169,302 441. 02628 CHINA LIFE 4,328,000 72,449,660 442. 02638 HKELECTRIC-SS 13,000 74,945 443. 02666 UNI MEDICAL 82,500 443,825 444. 02669 CHINA OVS PPT 265,000 1,394,700 445. 02688 ENN ENERGY 307,500 19,930,210 446. 02689 ND PAPER 909,000 2,847,350 447. 02696 HENLIUS 31,800 1,430,340 448. 02727 SH ELECTRIC 1,154,000 3,212,880 449. 02777 R&F PROPERTIES 1,579,200 1,545,376 450. 02778 CHAMPION REIT 165,000 333,300 451. 02799 CITIC FAMC 10,057,000 10,203,980 452. 02800 TRACKER FUND 167,150,500 4,039,933,850 453. 02809 GX CN CLN EN 50 3,629 454. 02814 SAMSUNG FANG 1,400 56,056 455. 02820 GX CN BIOTECH 15,550 915,643 456. 02822 CSOP A50 ETF 436,200 5,746,346 457. 02823 ISHARES A50 56,700 802,108 458. 02826 GX CN CLOUD 250 14,170 459. 02828 HSCEI ETF 5,023,200 447,223,688 460. 02840 SPDR GOLD TRT 390 950,820 461. 02858 YIXIN 1,480,000 2,817,130 462. 02866 COSCO SHIP DEV 558,000 561,970 463. 02869 GREENTOWN SER 92,000 379,820 464. 02877 SHINEWAY PHARM 187,000 1,398,150 465. 02883 CHINA OILFIELD 292,000 1,871,820 466. 02888 STANCHART 12,150 1,489,275 467. 02899 ZIJIN MINING 13,058,000 239,895,920 468. 03006 A GX AI TECH 200 18,916 469. 03009 BOS HSK ETH 7,400 13,987 470. 03010 ISHARES AXJ 8,900 539,324 471. 03032 HSTECH ETF 14,200 74,422 472. 03033 CSOP HS TECH 267,131,800 1,383,797,234 473. 03037 CSOP HSI ETF 2,000 48,540 474. 03046 CAM ETH 1,200 7,086 475. 03067 ISHARESHSTECH 5,269,100 58,607,338 476. 03069 CAM HSBIOTECH 1,167,300 14,913,696 477. 03070 PING AN HKDIV 1,900 67,982 478. 03086 CAM NASDAQ100 45,000 1,989,000 479. 03096 A CSOP USD MM 118 109,433 480. 03115 ISHARESHSI 7,300 640,618 481. 03147 X CSOPCHINEXT 21,600 169,128 482. 03160 CAM JAPAN HDG 200 4,268 483. 03188 CAM CSI300 46,000 2,019,660 484. 03189 EFUND LIQUOR 13,900 21,066 485. 03191 GX CN SEMICON 39,250 1,610,338 486. 03306 JNBY 83,500 1,338,740 487. 03311 CHINA STATE CON 2,252,000 26,576,880 488. 03316 BINJIANG SER 8,500 217,950 489. 03319 A-LIVING 306,750 849,033 490. 03320 CHINARES PHARMA 2,227,000 11,817,585 491. 03323 CNBM 2,394,000 8,404,460 492. 03328 BANKCOMM 1,983,000 14,036,890 493. 03330 LINGBAO GOLD 1,008,000 12,387,540 494. 03337 ANTON OILFIELD 1,772,000 2,242,260 495. 03339 LONKING 248,000 493,050 496. 03347 TIGERMED 468,800 16,285,785 497. 03360 FE HORIZON 828,000 5,202,510 498. 03380 LOGAN GROUP 255,000 224,360 499. 03383 AGILE GROUP 822,000 333,700 500. 03393 WASION HOLDINGS 78,000 578,460
Data Source:INF