Market Insight

2024.04.26 12:10

Short Sell Short Sell Turnover (Main Board) up to morning close-1

Short Sell Turnover (Main Board) up to morning close CODE NAME OF STOCK T/O SHARES T/O AMOUNT ------------------------------------------------------------------- 1. 00001 CKH HOLDINGS 407,000 15,644,850 2. 00002 CLP HOLDINGS 183,500 11,528,375 3. 00003 HK & CHINA GAS 1,181,000 7,080,470 4. 00004 WHARF HOLDINGS 27,000 679,800 5. 00005 HSBC HOLDINGS 1,578,800 102,425,880 6. 00006 POWER ASSETS 137,000 6,232,250 7. 00008 PCCW 85,000 334,050 8. 00010 HANG LUNG GROUP 8,000 73,350 9. 00011 HANG SENG BANK 417,700 42,924,250 10. 00012 HENDERSON LAND 212,000 5,022,700 11. 00013 HUTCHMED 384,500 11,706,975 12. 00014 HYSAN DEV 24,000 284,920 13. 00016 SHK PPT 235,500 17,123,600 14. 00017 NEW WORLD DEV 760,000 6,087,160 15. 00019 SWIRE PACIFIC A 51,500 3,283,175 16. 00020 SENSETIME-W 73,204,000 66,047,240 17. 00023 BANK OF E ASIA 32,200 310,254 18. 00027 GALAXY ENT 1,114,000 39,186,350 19. 00034 KOWLOON DEV 3,000 15,550 20. 00038 FIRST TRACTOR 284,000 2,304,080 21. 00041 GREAT EAGLE H 24,000 282,620 22. 00050 HK FERRY (HOLD) 2,000 8,560 23. 00066 MTR CORPORATION 625,000 15,666,425 24. 00069 SHANGRI-LA ASIA 24,000 134,740 25. 00081 CH OVS G OCEANS 810,000 1,261,720 26. 00083 SINO LAND 56,000 455,660 27. 00086 SUN HUNG KAI CO 2,000 4,710 28. 00095 LVGEM CHINA 226,000 148,060 29. 00101 HANG LUNG PPT 926,000 7,777,020 30. 00107 SICHUAN EXPRESS 98,000 313,800 31. 00116 CHOW SANG SANG 41,000 344,590 32. 00119 POLY PROPERTY 764,000 1,003,340 33. 00123 YUEXIU PROPERTY 986,000 4,057,030 34. 00135 KUNLUN ENERGY 100,000 752,320 35. 00136 CHINA RUYI 648,000 1,173,040 36. 00142 FIRST PACIFIC 24,000 86,400 37. 00144 CHINA MER PORT 188,000 1,935,000 38. 00148 KINGBOARD HLDG 182,500 2,858,620 39. 00151 WANT WANT CHINA 413,000 1,855,750 40. 00152 SHENZHEN INT'L 40,500 247,490 41. 00165 CHINA EB LTD 12,000 49,020 42. 00168 TSINGTAO BREW 114,000 6,332,900 43. 00173 K. WAH INT'L 11,000 19,490 44. 00175 GEELY AUTO 2,182,000 20,409,470 45. 00177 JIANGSU EXPRESS 12,000 94,800 46. 00178 SA SA INT'L 32,000 24,220 47. 00179 JOHNSON ELEC H 5,500 59,300 48. 00182 CONCORD NE 170,000 105,400 49. 00189 DONGYUE GROUP 711,000 4,721,110 50. 00200 MELCO INT'L DEV 457,000 2,426,340 51. 00220 U-PRESID CHINA 75,000 449,630 52. 00241 ALI HEALTH 4,882,000 13,872,020 53. 00242 SHUN TAK HOLD 2,000 1,460 54. 00257 EB ENVIRONMENT 486,000 1,602,500 55. 00267 CITIC 2,383,000 17,879,780 56. 00268 KINGDEE INT'L 1,600,000 12,977,090 57. 00270 GUANGDONG INV 4,170,000 15,415,400 58. 00272 SHUI ON LAND 389,500 271,400 59. 00285 BYD ELECTRONIC 374,500 9,267,625 60. 00288 WH GROUP 1,084,500 6,332,765 61. 00291 CRES BEER-500 247,000 8,826,550 62. 00293 CATHAY PAC AIR 176,000 1,465,580 63. 00297 SINOFERT 12,000 10,200 64. 00302 CMGE 502,000 624,000 65. 00303 VTECH HOLDINGS 7,300 327,385 66. 00308 CHINA TRAVEL HK 18,000 22,140 67. 00314 SIPAI HEALTH 20,200 118,982 68. 00315 SMARTONE TELE 4,000 14,535 69. 00316 OOIL 65,000 7,007,700 70. 00317 COMEC 2,000 21,800 71. 00322 TINGYI 672,000 5,889,880 72. 00323 MAANSHAN IRON 58,000 66,700 73. 00327 PAX GLOBAL 9,000 58,630 74. 00336 HUABAO INTL 37,000 94,080 75. 00338 SHANGHAI PECHEM 150,000 163,580 76. 00341 CAFE DE CORAL H 10,000 80,300 77. 00345 VITASOY INT'L 48,000 271,500 78. 00347 ANGANG STEEL 174,000 226,900 79. 00354 CHINASOFT INT'L 932,000 4,466,420 80. 00357 MEILAN AIRPORT 7,000 52,180 81. 00358 JIANGXI COPPER 343,000 5,551,280 82. 00363 SHANGHAI IND H 13,000 142,260 83. 00371 BJ ENT WATER 2,418,000 4,807,240 84. 00384 CHINA GAS HOLD 129,800 927,118 85. 00386 SINOPEC CORP 11,442,000 55,526,300 86. 00388 HKEX 538,300 133,733,100 87. 00390 CHINA RAILWAY 759,000 3,123,580 88. 00392 BEIJING ENT 143,000 3,603,775 89. 00405 YUEXIU REIT 62,000 54,320 90. 00410 SOHO CHINA 22,000 15,810 91. 00412 SDHG 58,000 395,880 92. 00425 MINTH GROUP 58,000 764,920 93. 00435 SUNLIGHT REIT 40,000 65,490 94. 00440 DAH SING 2,000 42,920 95. 00460 SIHUAN PHARM 179,000 96,780 96. 00467 UNITEDENERGY GP 5,684,000 3,296,720 97. 00480 HKR INT'L 1,600 1,968 98. 00489 DONGFENG GROUP 930,000 2,770,580 99. 00493 GOME RETAIL 72,000 2,016 100. 00506 CHINA FOODS 2,000 5,900

Data Source:INF