aggregated reportable short positions of specified shares as of … · 2020. 4. 26. · 363...
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CKH HOLDINGS 4,364,809 $ 341,546,3041
CLP HOLDINGS 11,200,581 $ 978,930,7792
HK & CHINA GAS 132,876,203 $ 2,519,332,8093
WHARF HOLDINGS 29,860,000 $ 677,822,0004
HSBC HOLDINGS 42,196,933 $ 2,766,008,9585
POWER ASSETS 24,138,213 $ 1,349,326,1076
PCCW 64,603,835 $ 296,531,6038
HANG LUNG GROUP 23,194,430 $ 492,881,63810
HANG SENG BANK 7,361,078 $ 1,475,160,03111
HENDERSON LAND 10,646,680 $ 513,169,97612
HYSAN DEV 2,873,784 $ 121,129,99614
SHK PPT 10,717,429 $ 1,436,135,48616
NEW WORLD DEV 40,997,062 $ 505,083,80417
SWIRE PACIFIC A 14,948,948 $ 1,413,423,03319
WHEELOCK 4,636,410 $ 252,452,52520
BANK OF E ASIA 15,123,719 $ 365,994,00023
CHEVALIER INT'L 0 $ 025
CHINA MOTOR BUS 0 $ 026
GALAXY ENT 72,135,689 $ 3,595,964,09727
TIAN AN 0 $ 028
CROSS-HAR(HOLD) 0 $ 032
KOWLOON DEV 0 $ 034
FE CONSORT INTL 8,291,635 $ 29,103,63935
GREAT EAGLE H 160,768 $ 5,675,11041
C.P. POKPHAND 0 $ 043
HK&S HOTELS 2,582,684 $ 29,287,63745
HK FERRY (HOLD) 0 $ 050
HARBOUR CENTRE 0 $ 051
FAIRWOOD HOLD 93,500 $ 2,459,05052
GUOCO GROUP 0 $ 053
ALLIED PPT (HK) 0 $ 056
TRANSPORT INT'L 0 $ 062
GET NICE 0 $ 064
MTR CORPORATION 28,036,287 $ 1,345,741,77666
SHANGRI-LA ASIA 27,332,838 $ 290,274,74069
MIRAMAR HOTEL 0 $ 071
Y.T. REALTY 0 $ 075
REGAL INT'L 0 $ 078
CH OVS G OCEANS 2,171,000 $ 8,076,12081
SINO LAND 19,409,395 $ 253,486,69983
SUN HUNG KAI CO 0 $ 086
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
TAI CHEUNG HOLD 0 $ 088
LVGEM CHINA 1,698,000 $ 4,228,02095
HANG LUNG PPT 30,926,839 $ 544,312,366101
SUMMIT ASCENT 3,322,706 $ 5,449,238102
ASSO INT HOTELS 0 $ 0105
LANDSEA GREEN 0 $ 0106
SICHUAN EXPRESS 2,030,000 $ 5,054,700107
LERTHAI GROUP 0 $ 0112
CHOW SANG SANG 0 $ 0116
POLY PROPERTY 7,032,506 $ 19,972,317119
COSMOPOL INT'L 0 $ 0120
YUEXIU PROPERTY 15,131,479 $ 26,631,403123
CHINESE EST H 1,505,500 $ 11,291,250127
KUNLUN ENERGY 427,389,732 $ 3,162,684,017135
HENGTEN NET 1,747,086,396 $ 331,946,415136
FIRST PACIFIC 28,123,513 $ 85,776,715142
CHINA MER PORT 32,112,834 $ 475,912,200144
IB SETTLEMENT 0 $ 0147
KINGBOARD HLDG 7,007,053 $ 156,257,282148
WANT WANT CHINA 463,042,554 $ 2,810,668,303151
SHENZHEN INT'L 7,868,297 $ 127,151,680152
MELBOURNE ENT 0 $ 0158
AVIC IHL 1,962,000 $ 8,534,700161
EMPEROR INT'L 0 $ 0163
CHINA EB LTD 6,355,525 $ 80,333,836165
TSINGTAO BREW 21,848,348 $ 1,089,140,148168
SILVER GRANT 21,898,000 $ 36,569,660171
K. WAH INT'L 1,551,688 $ 7,230,866173
GEELY AUTO 282,367,103 $ 3,687,714,365175
JIANGSU EXPRESS 13,252,545 $ 139,151,723177
SA SA INT'L 93,669,278 $ 215,439,339178
JOHNSON ELEC H 1,432,869 $ 21,980,210179
CONCORD NE 12,610,494 $ 4,413,673182
DONGYUE GROUP 22,806,474 $ 114,716,564189
LAI SUN INT'L 0 $ 0191
LIU CHONG HING 98,000 $ 1,281,840194
HONGHUA GROUP 31,143,162 $ 20,243,055196
MELCO INT'L DEV 20,834,810 $ 331,690,175200
EVERCHINA INT'L 0 $ 0202
JOY CITY PPT 0 $ 0207
HUTCHTEL HK 41,811,665 $ 80,696,513215
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
U-PRESID CHINA 33,687,355 $ 283,984,403220
POKFULAM 0 $ 0225
MINMETALS LAND 1,276,000 $ 1,760,880230
ALI HEALTH 116,950,507 $ 935,604,056241
SHUN TAK HOLD 9,613,181 $ 30,569,916242
CN MINSHENG FIN 7,195,496 $ 863,460245
TST PROPERTIES 0 $ 0247
SEA HOLDINGS 0 $ 0251
CITYCHAMP 2,442,000 $ 4,273,500256
CHINA EB INT'L 174,936,456 $ 1,254,294,390257
TOMSON GROUP 1,583,886 $ 4,260,653258
GBA INV HLDGS 0 $ 0261
TIAN TECK LAND 0 $ 0266
CITIC 37,210,538 $ 400,385,389267
KINGDEE INT'L 276,566,135 $ 2,248,482,678268
GUANGDONG INV 5,491,444 $ 79,296,451270
SHUI ON LAND 22,414,384 $ 39,897,604272
MASON GP HOLD 119,688,345 $ 14,123,225273
BYD ELECTRONIC 88,331,204 $ 1,006,975,726285
WH GROUP 93,928,387 $ 707,280,754288
WING ON CO 0 $ 0289
CHINA RES BEER 42,110,370 $ 1,501,234,691291
CATHAY PAC AIR 7,477,472 $ 91,524,257293
SINOFERT 73,010,179 $ 64,979,059297
VTECH HOLDINGS 1,900,066 $ 132,054,587303
CHINA TRAVEL HK 139,524,718 $ 228,820,538308
SMARTONE TELE 1,140,415 $ 8,997,874315
OOIL 0 $ 0316
COMEC 6,291,200 $ 40,578,240317
TEXWINCA HOLD 5,364,956 $ 15,451,073321
TINGYI 73,840,063 $ 924,477,589322
MAANSHAN IRON 268,704,990 $ 902,848,766323
CHINA STAR ENT 6,906,000 $ 5,110,440326
PAX GLOBAL 27,977,125 $ 90,925,656327
ESPRIT HOLDINGS 95,696,717 $ 154,071,714330
YUANHENG GAS 0 $ 0332
HUABAO INTL 5,293,292 $ 18,103,059336
GREENLAND HK 3,660,780 $ 10,506,439337
SHANGHAI PECHEM 160,257,395 $ 556,093,161338
CAFE DE CORAL H 0 $ 0341
NEWOCEAN ENERGY 45,375,582 $ 91,658,676342
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
VITASOY INT'L 3,365,556 $ 133,949,129345
ANGANG STEEL 123,377,847 $ 592,213,666347
CHINASOFT INT'L 186,554,377 $ 682,789,020354
JIANGXI COPPER 39,848,785 $ 382,149,848358
SHANGHAI IND H 956,107 $ 16,158,208363
CHUANG'S INT'L 0 $ 0367
WING TAI PPT 0 $ 0369
BJ ENT WATER 254,532,587 $ 1,041,038,281371
ALLIED GROUP 0 $ 0373
YUNFENG FIN 0 $ 0376
CHINA MED&HCARE 21,050,000 $ 3,346,950383
CHINA GAS HOLD 119,324,734 $ 2,810,097,486384
SINOPEC CORP 287,618,053 $ 1,627,918,180386
HKEX 16,297,841 $ 3,986,451,909388
CHINA RAILWAY 60,950,897 $ 358,391,274390
BEIJING ENT 4,058,605 $ 157,473,874392
COGOBUY 11,183,562 $ 28,741,754400
YUEXIU REIT 0 $ 0405
SOHO CHINA 26,275,620 $ 67,791,100410
CHINA SDHS FIN 6,168,000 $ 2,097,120412
BANKOFJINZHOU 0 $ 0416
HUAYI TENCENT 65,268,194 $ 12,400,957419
MINTH GROUP 80,421,979 $ 1,849,705,517425
SUNLIGHT REIT 0 $ 0435
KUANGCHI 45,096,130 $ 23,449,988439
DAH SING 144,130 $ 5,693,135440
GCL NEWENERGY 113,332,401 $ 30,599,748451
NEW CITY DEV 0 $ 0456
SIHUAN PHARM 100,279,760 $ 177,495,175460
UNITEDENERGY GP 16,576,000 $ 20,885,760467
GAPACK 386,000 $ 1,833,500468
NEW SILKROAD 0 $ 0472
HKR INT'L 0 $ 0480
RUSAL 16,301,000 $ 48,903,000486
LAI SUN DEV 534,806 $ 6,214,446488
DONGFENG GROUP 89,935,680 $ 621,455,549489
GOME RETAIL 1,811,459,212 $ 1,394,823,593493
LI & FUNG 378,794,447 $ 481,068,948494
KASEN 3,215,000 $ 16,782,300496
CSI PROPERTIES 3,000,000 $ 1,215,000497
FRONTIER SER 0 $ 0500
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CHINA FOODS 10,123,000 $ 29,154,240506
DINGYI GP INV 67,547,680 $ 22,966,211508
TVB 6,452,059 $ 92,909,650511
CHINAGRANDPHARM 16,892,000 $ 68,919,360512
COSCO SHIP INTL 484,000 $ 1,282,600517
XIABUXIABU 26,012,998 $ 317,878,836520
ASM PACIFIC 21,635,650 $ 1,692,989,613522
GUANGSHEN RAIL 18,979,151 $ 51,623,291525
LISI GP HOLD 0 $ 0526
GOLDIN FIN HOLD 0 $ 0530
GEMDALE PPT 48,890,000 $ 46,445,500535
AJISEN (CHINA) 11,221,826 $ 43,765,121538
FUFENG GROUP 47,577,025 $ 186,026,168546
DIGITAL DOMAIN 297,385,000 $ 36,280,970547
SHENZHENEXPRESS 3,732,000 $ 34,483,680548
YUE YUEN IND 14,987,434 $ 319,232,344551
CHINACOMSERVICE 23,941,502 $ 141,494,277552
SH IND URBAN 10,559,208 $ 16,789,141563
TRAD CHI MED 75,890,087 $ 310,390,456570
ZHEJIANGEXPRESS 12,358,488 $ 102,699,035576
JNCEC 5,658,000 $ 8,204,100579
CHINA ORIENTAL 30,890,000 $ 136,533,800581
CONCH VENTURE 32,622,605 $ 833,507,558586
BEIJING N STAR 1,526,000 $ 4,501,700588
LUK FOOK HOLD 9,949,923 $ 257,703,006590
INSPUR INT'L 4,510,000 $ 16,687,000596
SINOTRANS 23,697,525 $ 71,092,575598
CHINA OIL & GAS 11,555,856 $ 4,680,122603
SHENZHEN INVEST 68,070,941 $ 196,044,310604
CHINA AGRI 30,378,216 $ 70,781,243606
FULLSHARE 845,260,369 $ 659,303,088607
OSHIDORI 7,366,016 $ 6,408,434622
FULLSUN INT'L 0 $ 0627
SANY INT'L 7,207,000 $ 22,197,560631
KERRY LOG NET 5,195,879 $ 69,936,531636
SHOUGANG RES 22,784,201 $ 40,328,036639
IDG ENERGY INV 0 $ 0650
FOSUN INTL 47,367,482 $ 502,095,309656
C TRANSMISSION 42,177,104 $ 212,994,375658
NWS HOLDINGS 2,808,706 $ 44,658,425659
HAITONG INT'L 216,128,394 $ 533,837,133665
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
TECHTRONIC IND 23,424,828 $ 1,174,755,124669
CHINA EAST AIR 39,892,916 $ 184,305,272670
GENTING HK 1,774,755 $ 1,739,260678
NAN HAI CORP 0 $ 0680
KERRY PPT 11,160,844 $ 359,937,219683
PANDA GREEN 66,434,300 $ 21,923,319686
HKICIM GROUP 0 $ 0687
CHINA OVERSEAS 34,573,666 $ 985,349,481688
SHANSHUI CEMENT 1,995,700 $ 5,108,992691
BEIJING AIRPORT 56,279,528 $ 371,444,885694
TRAVELSKY TECH 18,552,005 $ 333,936,090696
SHOUGANG INT'L 45,392,269 $ 13,390,719697
TONGDA GROUP 252,221,740 $ 163,944,131698
CAR INC 59,506,765 $ 401,670,664699
TENCENT 79,459,619 $ 28,271,732,440700
ATV HOLDINGS 16,560,000 $ 3,560,400707
EVERG HEALTH 6,233,926 $ 55,668,959708
GIORDANO INT'L 1,798,410 $ 6,636,133709
BOE VARITRONIX 3,076,812 $ 7,015,131710
CHINA OCEANWIDE 0 $ 0715
SINGAMAS CONT 9,307,725 $ 11,169,270716
EMPEROR CAPITAL 10,318,087 $ 3,404,969717
C FIN INT INV 10,273,738 $ 1,304,765721
CHINA TELECOM 68,150,930 $ 263,062,590728
FDG EVEHICLES 169,440,799 $ 6,947,073729
TRULY INT'L 55,067,319 $ 64,428,763732
HOPEWELL INFR 0 $ 0737
ASIA CEMENT CH 2,075,500 $ 19,571,965743
L & M CHEMICAL 0 $ 0746
SKYWORTHDIGITAL 102,354,038 $ 207,778,697751
PICO FAR EAST 400,000 $ 1,040,000752
AIR CHINA 73,564,121 $ 548,052,701753
HOPSON DEV HOLD 0 $ 0754
SHANGHAI ZENDAI 0 $ 0755
CHINA UNICOM 53,760,484 $ 452,663,275762
ZTE 44,120,874 $ 867,416,383763
CHINA LIT 37,239,209 $ 1,262,409,185772
NETDRAGON 1,311,500 $ 28,262,825777
FORTUNE REIT 0 $ 0778
TONGCHENG-ELONG 5,732,400 $ 89,425,440780
CHINA TOWER 572,279,360 $ 1,075,885,197788
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
IGG 51,209,443 $ 474,711,537799
VALUE PARTNERS 40,148,543 $ 204,757,569806
SIICENVIRONMENT 2,230,500 $ 4,014,900807
PROSPERITY REIT 0 $ 0808
XINHUA WINSHARE 452,000 $ 2,630,640811
SHIMAO PROPERTY 34,857,929 $ 754,674,163813
HUADIAN FUXIN 9,928,745 $ 15,687,417816
CHINA JINMAO 259,572,641 $ 1,170,672,611817
HI SUN TECH 3,778,786 $ 4,874,634818
TIANNENG POWER 76,331,887 $ 509,133,686819
LINK REIT 16,136,177 $ 1,530,516,388823
CR ASIA 0 $ 0831
CENTRAL CHINA 3,987,726 $ 14,076,673832
CHINA RES POWER 14,400,030 $ 153,216,319836
CHINA EDU GROUP 48,538,706 $ 596,055,310839
MICROPORT 49,584,688 $ 345,605,275853
CHINA WATER 31,232,248 $ 246,422,437855
VSTECS 1,842,346 $ 7,185,149856
PETROCHINA 164,890,660 $ 751,901,410857
WE SOLUTIONS 40,155,025 $ 19,475,187860
DC HOLDINGS 8,224,512 $ 29,772,733861
CMS 20,884,408 $ 137,419,405867
XINYI GLASS 111,442,235 $ 893,766,725868
BAIYUNSHAN PH 4,208,400 $ 148,135,680874
O-NET TECH GP 3,837,000 $ 15,309,630877
SJM HOLDINGS 117,608,422 $ 1,047,891,040880
ZHONGSHENG HLDG 71,876,609 $ 1,286,591,301881
TIANJIN DEV 2,064,000 $ 5,201,280882
CNOOC 98,758,794 $ 1,321,392,664883
CIFI HOLD GP 105,571,601 $ 502,520,821884
DONGJIANG ENV 1,634,421 $ 12,503,321895
HUANENG POWER 196,362,620 $ 903,268,052902
COFCO PACKAGING 34,184,040 $ 103,235,801906
CONCH CEMENT 46,722,168 $ 2,100,161,452914
CHINA LONGYUAN 43,575,794 $ 217,007,454916
HISENSE HA 3,113,507 $ 32,006,852921
CHINA LNG 4,078,386 $ 3,629,764931
SINOPEC KANTONS 15,835,049 $ 51,147,208934
CCB 962,841,898 $ 6,056,275,538939
CHINA MOBILE 34,166,237 $ 2,478,760,494941
LEE'S PHARM 2,976,000 $ 17,736,960950
Page 7
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CHAOWEI POWER 8,639,757 $ 27,992,813951
CHINA SUNTIEN 5,491,094 $ 11,476,386956
HN RENEWABLES 81,000,956 $ 157,141,855958
LONGFOR GROUP 19,887,904 $ 538,962,198960
CHINA TAIPING 48,141,098 $ 946,453,987966
XINYI SOLAR 182,659,304 $ 754,382,926968
L'OCCITANE 3,732,250 $ 53,072,595973
CHIHO ENV 4,076,000 $ 4,076,000976
CHI MER LAND 0 $ 0978
SMIC 416,209,702 $ 3,342,163,907981
GROUND INTL DEV 9,660,000 $ 2,299,080989
DATANG POWER 34,063,843 $ 63,358,748991
LENOVO GROUP 491,777,724 $ 3,098,199,661992
ANHUIEXPRESSWAY 739,301 $ 3,681,719995
CARNIVAL GROUP 494,670,601 $ 21,765,506996
CITIC BANK 130,820,473 $ 609,623,404998
I.T 550,000 $ 2,101,000999
HUANXI MEDIA 642,445 $ 1,034,3361003
C SMARTERENERGY 0 $ 01004
FUTURE LAND 87,620,777 $ 751,786,2671030
KINGSTON FIN 2,942,000 $ 4,883,7201031
SINOPEC SSC 32,440,289 $ 30,818,2751033
CKI HOLDINGS 14,957,277 $ 952,030,6811038
HENGAN INT'L 54,444,407 $ 3,427,275,4211044
APT SATELLITE 0 $ 01045
G-RESOURCES 24,630,972 $ 1,551,7511051
YUEXIUTRANSPORT 17,070,675 $ 108,057,3731052
CHINA SOUTH AIR 141,669,382 $ 765,014,6631055
ALI PICTURES 857,977,481 $ 1,355,604,4201060
ESSEX BIO-TECH 0 $ 01061
WEIGAO GROUP 27,165,203 $ 194,774,5061066
TCL ELECTRONICS 6,978,369 $ 26,099,1001070
HUADIAN POWER 49,816,221 $ 148,950,5011071
DONGFANG ELEC 8,812,869 $ 49,880,8391072
IMPERIAL PAC 284,750,000 $ 49,831,2501076
TOWNGAS CHINA 3,772,715 $ 22,070,3831083
GOODBABY INTL 43,738,366 $ 88,788,8831086
CHINA SHENHUA 30,958,313 $ 510,192,9981088
LEYOU TECH H 16,830,000 $ 39,213,9001089
CSPC PHARMA 138,778,576 $ 1,948,451,2071093
ROAD KING INFRA 738,000 $ 12,855,9601098
Page 8
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
SINOPHARM 31,702,905 $ 951,087,1501099
CHINA RES LAND 40,698,219 $ 1,320,657,2071109
CHONG HING BANK 0 $ 01111
H&H INTL HLDG 15,112,313 $ 650,585,0751112
CK ASSET 3,787,028 $ 229,115,1941113
BRILLIANCE CHI 356,981,583 $ 2,609,535,3721114
TIBET WATER 18,906,000 $ 40,647,9001115
CH MODERN D 5,272,894 $ 5,641,9971117
IDREAMSKY 0 $ 01119
QINGLING MOTORS 578,000 $ 1,260,0401122
WYNN MACAU 96,017,220 $ 1,684,142,0391128
WATER INDUSTRY 4,240,000 $ 4,028,0001129
AGRITRADE RES 98,815,284 $ 109,684,9651131
HARBIN ELECTRIC 30,231,351 $ 116,995,3281133
HKTV 2,224,000 $ 7,517,1201137
COSCO SHIP ENGY 48,515,272 $ 205,704,7531138
OP FINANCIAL 11,392,000 $ 28,024,3201140
CMBC CAPITAL 252,239,319 $ 61,546,3941141
ZOOMLION 33,203,654 $ 147,424,2241157
HAIER ELEC 30,398,153 $ 609,482,9681169
YANZHOU COAL 68,835,433 $ 521,084,2281171
ZHUGUANG HOLD 6,988,000 $ 8,385,6001176
SINO BIOPHARM 334,403,150 $ 2,635,096,8221177
CHINA RAIL CONS 114,997,369 $ 1,092,475,0061186
CHINA RES GAS 43,963,126 $ 1,578,276,2231193
REALORD GROUP 0 $ 01196
COSCO SHIP PORT 19,703,806 $ 144,034,8221199
CITIC RESOURCES 9,424,645 $ 6,220,2661205
MMG 177,224,181 $ 478,505,2891208
BYD COMPANY 144,106,608 $ 6,816,242,5581211
LIFESTYLE INT'L 2,664,890 $ 31,125,9151212
ZYBANK 0 $ 01216
SINO HOTELS 0 $ 01221
SYMPHONY HOLD 1,850,000 $ 1,831,5001223
C C LAND 1,257,000 $ 2,262,6001224
YASHILI INT'L 7,157,924 $ 7,086,3451230
TIMES CHINA 8,788,328 $ 116,357,4631233
CHINA LILANG 275,000 $ 2,043,2501234
POWERLONG 3,364,000 $ 11,874,9201238
WANG ON PPT 0 $ 01243
BE CLEAN ENERGY 57,847,382 $ 6,363,2121250
Page 9
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CHINA TIANRUI 0 $ 01252
CEB GREENTECH 12,868,815 $ 67,561,2791257
CHINFMINING 0 $ 01258
XIWANG STEEL 1,364,000 $ 1,882,3201266
MEIDONG AUTO 0 $ 01268
LANGHAM-SS 1,600,000 $ 4,944,0001270
CHINA GOLDJOY 90,568,199 $ 28,076,1421282
ABC 360,843,197 $ 1,205,216,2781288
GRAND BAOXIN 50,910,673 $ 125,749,3621293
AIA 76,948,598 $ 5,928,889,4761299
LIFETECH SCI 34,784,550 $ 53,916,0531302
SITC 1,195,155 $ 9,776,3681308
HKBN 3,065,621 $ 38,626,8251310
CHINARES CEMENT 93,705,461 $ 642,819,4621313
NEXTEER 45,912,183 $ 494,015,0891316
MAPLELEAF EDU 78,684,283 $ 245,494,9631317
DYNAGREEN ENV 5,126,900 $ 19,584,7581330
CHINA ZHONGWANG 79,265,322 $ 298,037,6111333
NCI 19,377,802 $ 709,227,5531336
RAZER 124,031,147 $ 208,372,3271337
PICC GROUP 144,762,905 $ 424,155,3121339
HUA HONG SEMI 54,767,143 $ 824,793,1741347
FUDANZHANGJIANG 0 $ 01349
CHINA CINDA 296,537,269 $ 563,420,8111359
MEGAEXPO HLDG 53,348,078 $ 157,376,8301360
361 DEGREES 39,563,508 $ 58,553,9921361
CTEG 53,074,868 $ 18,045,4551363
XTEP INT'L 25,701,382 $ 115,142,1911368
CC SECURITIES 16,537,058 $ 30,262,8161375
CHINAHONGQIAO 78,483,562 $ 430,874,7551378
CANVEST ENV 10,439,978 $ 37,479,5211381
PACIFICTEXTILES 4,703,769 $ 32,173,7801382
SUNCITY GROUP 11,460,000 $ 23,951,4001383
SHANGHAI FUDAN 2,336,000 $ 24,107,5201385
RENHE COMM 82,753,545 $ 19,860,8511387
ICBC 510,816,282 $ 2,819,705,8771398
SPRING REIT 0 $ 01426
CHINA SHENGMU 38,493,694 $ 13,280,3241432
FU SHOU YUAN 17,119,706 $ 114,017,2421448
ZHOU HEI YA 58,346,303 $ 229,300,9711458
Q TECH 14,181,721 $ 88,635,7561478
Page 10
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CHINA RE 50,659,022 $ 70,922,6311508
LIVZON PHARMA 1,603,492 $ 41,530,4431513
CR MEDICAL 19,593,476 $ 109,527,5311515
NC HEALTHCARE 0 $ 01518
RS MACALLINE 2,137,426 $ 15,667,3331528
3SBIO 90,837,375 $ 1,273,539,9981530
GENSCRIPT BIO 62,353,506 $ 1,138,575,0201548
GRCB 0 $ 01551
HEC PHARM 5,878,400 $ 223,085,2801558
SUNDART HLDGS 0 $ 01568
MINSHENG EDU 0 $ 01569
SOUTHERN ENERGY 152,000 $ 2,596,1601573
BANK OF TIANJIN 0 $ 01578
YIHAI INTL 22,956,888 $ 803,491,0801579
YADEA 12,248,000 $ 29,885,1201585
TIAN LUN GAS 1,299,500 $ 9,668,2801600
CDB LEASING 0 $ 01606
VPOWER GROUP 0 $ 01608
COFCO MEAT 45,264,691 $ 141,678,4831610
NANFANG COMM 580,000 $ 2,488,2001617
MCC 15,683,290 $ 31,052,9141618
REDCO GROUP 27,844,277 $ 86,595,7011622
YUZHOU PPT 27,771,171 $ 103,586,4681628
CMRU 719,730 $ 2,756,5661636
KAISA GROUP 111,894,433 $ 368,132,6851638
PSBC 934,164,960 $ 4,157,034,0721658
ZHAOBANGJI PPT 1,248,000 $ 10,246,0801660
TONG REN TANG 14,366,810 $ 143,380,7641666
CHINASOUTHCITY 22,611,858 $ 25,099,1621668
ASCLETIS-B 0 $ 01672
HUAZHANG TECH 0 $ 01673
ASIAINFO TECH 0 $ 01675
MACAU LEGEND 4,187,000 $ 5,191,8801680
CONSUN PHARMA 2,753,000 $ 13,847,5901681
SUNEVISION 4,612,992 $ 30,814,7871686
SAMPLE TECH 0 $ 01708
AUSNUTRIA 6,073,000 $ 88,908,7201717
HEBEI CONS 98,000 $ 550,7601727
ZHENGTONGAUTO 148,052,855 $ 516,704,4641728
BABYTREE GROUP 0 $ 01761
HOPE EDU 24,246,000 $ 26,670,6001765
Page 11
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CRRC 90,431,469 $ 615,838,3041766
GANFENGLITHIUM 3,378,844 $ 39,262,1671772
TIANLI EDU 863,000 $ 2,519,9601773
GF SEC 56,810,496 $ 539,699,7121776
FANTASIA 5,817,000 $ 7,038,5701777
COLOUR LIFE 7,511,609 $ 37,858,5091778
SD GOLD 405,250 $ 7,229,6601787
GUOTAI JUNAN I 303,495,155 $ 421,858,2651788
AK MEDICAL 7,013,118 $ 26,088,7991789
DATANG RENEW 739,000 $ 583,8101798
XINTE ENERGY 0 $ 01799
CHINA COMM CONS 83,643,791 $ 602,235,2951800
INNOVENT BIO-B 1,556,500 $ 40,079,8751801
BJ SPORTS & ENT 9,533,982 $ 20,879,4211803
HUIFU PAYMENT 2,143,600 $ 9,174,6081806
XIAOMI-W 773,629,838 $ 7,860,079,1541810
CGN NEW ENERGY 1,784,000 $ 1,926,7201811
CHENMING PAPER 4,830,815 $ 17,874,0161812
KWG GROUP 57,870,707 $ 472,224,9691813
CGN POWER 407,331,424 $ 839,102,7331816
ZHAOJIN MINING 75,085,121 $ 520,339,8891818
DCH HOLDINGS 1,519,000 $ 4,116,4901828
CMEC 6,391,706 $ 22,498,8051829
PA GOODDOCTOR 31,985,060 $ 1,105,083,8231833
STELLA HOLDINGS 0 $ 01836
CALC 2,912,000 $ 24,460,8001848
MOBVISTA 0 $ 01860
JINGRUI HLDGS 3,504,000 $ 7,603,6801862
JUNSHI BIO-B 0 $ 01877
REGAL REIT 0 $ 01881
HAITIAN INT'L 11,792,481 $ 194,575,9371882
CITIC TELECOM 5,182,259 $ 15,754,0671883
KB LAMINATES 25,263,467 $ 181,644,3281888
CHINA COAL 23,465,987 $ 72,979,2201898
XINGDA INT'L 8,944,634 $ 21,377,6751899
C&D INTL GROUP 838,000 $ 7,969,3801908
SAMSONITE 51,823,401 $ 908,982,4541910
CR HOLDINGS 131,300 $ 2,221,5961911
PRADA 22,940,684 $ 551,723,4501913
JIANGXI BANK 2,546,000 $ 15,734,2801916
SUNAC 82,171,038 $ 2,818,466,6031918
Page 12
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
COSCO SHIP HOLD 104,420,347 $ 313,261,0411919
SANDS CHINA LTD 68,908,098 $ 2,677,079,6071928
CHOW TAI FOOK 8,940,060 $ 65,977,6431929
BAIC MOTOR 78,224,394 $ 358,267,7251958
BCQ 2,810,809 $ 13,182,6941963
CHINA SCE GROUP 35,726,694 $ 127,901,5651966
IMAX CHINA 3,369,922 $ 65,511,2841970
SWIREPROPERTIES 8,985,384 $ 285,735,2111972
TIANGE 9,683,269 $ 20,625,3631980
MINSHENG BANK 213,964,353 $ 1,213,177,8821988
FOSUN TOURISM 0 $ 01992
RSUN PPT 0 $ 01996
WHARF REIC 11,185,285 $ 642,035,3591997
MAN WAH HLDGS 75,750,900 $ 273,460,7491999
NEW HIGHER EDU 44,836,561 $ 143,028,6302001
VCREDIT 745,000 $ 5,438,5002003
SSY GROUP 46,713,285 $ 307,373,4152005
JINJIANG HOTELS 13,580,000 $ 25,394,6002006
COUNTRY GARDEN 535,052,751 $ 6,056,797,1412007
PHOENIX TV 4,413,947 $ 3,222,1812008
BBMG 176,389,689 $ 428,626,9442009
OZNER WATER 41,072,000 $ 57,090,0802014
CZBANK 0 $ 02016
AAC TECH 79,462,632 $ 3,420,866,3082018
ANTA SPORTS 12,220,959 $ 623,268,9092020
FIH 225,594,495 $ 216,570,7152038
CIMC 1,638,934 $ 14,439,0092039
E-HOUSE ENT 2,096,700 $ 21,218,6042048
51 CREDIT CARD 1,880,125 $ 8,742,5812051
SHENGJINGBANK 0 $ 02066
ZALL SMARTCOM 2,821,000 $ 8,152,6902098
CHINAGOLDINTL 181,200 $ 1,650,7322099
CHINA LESSO 4,254,000 $ 22,503,6602128
LIFESTYLE CHI 9,124,339 $ 23,905,7682136
BANK OF GANSU 0 $ 02139
LUYE PHARMA 144,603,634 $ 941,369,6572186
FOSUN PHARMA 43,539,592 $ 1,047,127,1882196
CHINA SANJIANG 2,082,200 $ 4,018,6462198
REGINA MIRACLE 10,151,817 $ 66,900,4742199
CHINA VANKE 33,088,965 $ 944,689,9512202
GOLDWIND 42,286,820 $ 348,866,2652208
Page 13
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CRYSTAL INTL 5,565,814 $ 18,478,5022232
WESTCHINACEMENT 33,976,250 $ 35,335,3002233
GAC GROUP 243,650,566 $ 1,844,434,7852238
HAICHANG HLDG 2,759,000 $ 3,972,9602255
YOUYUAN HLDGS 3,662,919 $ 8,791,0062268
WUXI BIO 22,127,942 $ 1,668,446,8272269
HC GROUP 30,332,441 $ 98,277,1092280
MGM CHINA 104,929,112 $ 1,361,979,8742282
TK GROUP HLDG 0 $ 02283
COSMO LADY 6,029,184 $ 13,625,9562298
BILLION IND 0 $ 02299
HENGXING GOLD 0 $ 02303
SHENZHOU INTL 5,814,087 $ 590,711,2392313
LEE & MAN PAPER 26,994,170 $ 144,688,7512314
PING AN 1,227,058,066 $ 106,692,698,8392318
MENGNIU DAIRY 54,928,549 $ 1,656,095,7522319
NOBLE CENTURY 0 $ 02322
PICC P&C 105,446,645 $ 828,810,6302328
GUORUI PPT 11,037,268 $ 17,549,2562329
LI NING 41,802,592 $ 540,925,5402331
GREATWALL MOTOR 602,899,371 $ 3,502,845,3462333
WEICHAI POWER 115,131,561 $ 1,347,039,2642338
COMBA 114,090,989 $ 173,418,3032342
PACIFIC BASIN 289,042,362 $ 422,001,8492343
DAHSING BANKING 1,606,682 $ 23,682,4932356
AVICHINA 122,785,382 $ 547,622,8042357
WUXI APPTEC 8,418,846 $ 724,020,7562359
JINCHUAN INTL 65,496,000 $ 41,917,4402362
PRU 0 $ 02378
CHINA POWER 100,890,212 $ 192,700,3052380
SUNNY OPTICAL 56,284,038 $ 4,288,843,6962382
TOM GROUP 0 $ 02383
SINOPEC SEG 12,927,081 $ 89,972,4842386
BOC HONG KONG 35,589,159 $ 1,154,868,2102388
YESTAR HEALTH 0 $ 02393
FORDOO 0 $ 02399
HUA MEDICINE-B 1,831,500 $ 12,637,3502552
BOC AVIATION 13,902,540 $ 898,799,2112588
CHALCO 189,617,290 $ 538,513,1042600
CPIC 142,082,549 $ 4,099,081,5392601
SH PHARMA 15,498,888 $ 241,162,6972607
Page 14
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
SUNSHINE 100 4,734,000 $ 7,290,3602608
GTJA 11,053,393 $ 160,495,2662611
CHINA LIFE 87,133,245 $ 1,629,391,6822628
HKELECTRIC-SS 127,731,937 $ 970,762,7212638
CAMSING INTL 20,822,587 $ 148,881,4972662
UNI MEDICAL 44,077,142 $ 256,088,1952666
CHINA OVS PPT 28,534,272 $ 102,723,3792669
TEXHONG TEXTILE 855,500 $ 7,870,6002678
AAG ENERGY 0 $ 02686
ENN ENERGY 21,046,975 $ 1,460,660,0652688
ND PAPER 110,245,024 $ 763,998,0162689
WEIQIAO TEXTILE 234,500 $ 668,3252698
SH ELECTRIC 91,882,413 $ 252,676,6362727
JIAYUAN INTL 90,176,149 $ 312,911,2372768
R&F PROPERTIES 103,054,720 $ 1,479,865,7792777
CHAMPION REIT 11,822,396 $ 80,510,5172778
CH XINHUA EDU 1,203,000 $ 3,199,9802779
CHINA HUARONG 453,976,548 $ 621,947,8712799
TRACKER FUND 36,890,100 $ 1,040,300,8202800
ISHARES CHINA 0 $ 02801
ISHARES EM ASIA 0 $ 02802
PREMIA BEDROCK 0 $ 02803
VANGUARDASXJP 0 $ 02805
EFUND CG BOND 0 $ 02808
PREMIAEMASEAN 0 $ 02810
HT CSI300 ETF 0 $ 02811
SAMSUNGCDRAGON 0 $ 02812
CAM CTPB BOND 0 $ 02813
ABF HK IDX ETF 0 $ 02819
ABF PAIF 0 $ 02821
CSOP A50 ETF 105,616,555 $ 1,468,070,1152822
ISHARES A50 102,384,798 $ 1,417,005,6042823
LIPPO HK&M PROP 0 $ 02824
WISECSIHK100ETF 0 $ 02825
WISE CSI300 ETF 0 $ 02827
HSCEI ETF 3,531,450 $ 382,102,8902828
BOSERA FA50 0 $ 02832
HS HSI ETF 0 $ 02833
ISHARESND100 0 $ 02834
ISHARES INDIA 0 $ 02836
HS FCI50 ETF 0 $ 02838
Page 15
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
SPDR GOLD TRUST 0 $ 02840
AMUNDI A50 0 $ 02843
ISHARESCSI300 0 $ 02846
ISHARESFS100 0 $ 02847
TRMSCIKOREA 0 $ 02848
YIXIN 40,397,323 $ 70,291,3422858
COSCO SHIP DEV 73,757,855 $ 74,495,4342866
BJ CAPITAL LAND 41,971,234 $ 109,125,2082868
GREENTOWN SER 32,435,994 $ 193,642,8842869
SHINEWAY PHARM 4,401,803 $ 31,692,9822877
DALIAN PORT 6,510,288 $ 6,445,1852880
CHINA OILFIELD 91,784,735 $ 669,110,7182883
STANCHART 1,801,902 $ 123,520,3822888
ZIJIN MINING 95,817,681 $ 268,289,5072899
TRFXIC50 0 $ 03007
C-SHS CSI 300 0 $ 03008
ISHARES AXJ 0 $ 03010
AMUNDI HK35 0 $ 03012
X TRNIFTY50 0 $ 03015
TRMSCIPHIL 0 $ 03016
X TRMSCIWORLD 0 $ 03019
X TRMSCIUSA 0 $ 03020
PA AI&ROBOTICS 0 $ 03023
WISE SSE50ETF 0 $ 03024
X TRMSCIRUSSIA 0 $ 03027
TRMSCITAIWAN 0 $ 03036
MR MSCI CN ETF 0 $ 03040
VALUE KOREA ETF 0 $ 03041
TRMSCIPACEXJ 0 $ 03043
VALUE CHINA ETF 0 $ 03046
TRMSCIBRAZIL 0 $ 03048
X TRCSI300 0 $ 03049
CSOP HKD MM 0 $ 03053
TRMSCICHINA 0 $ 03055
VALUE TW ETF 0 $ 03060
TRMSCISG 0 $ 03065
PING AN HKDIV 0 $ 03070
SPDR GREATCHINA 0 $ 03073
ISHARESMSCITW 0 $ 03074
CICC CGB 0 $ 03079
PING AN CGB 0 $ 03080
Page 16
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
VALUEGOLD ETF 0 $ 03081
TRMSCIMALAY 0 $ 03082
VALUE JAPAN ETF 0 $ 03084
VANGUARDAXJHY 0 $ 03085
BMO NASDAQ100 0 $ 03086
X TRFTSEVIET 0 $ 03087
TRMSCITHAI 0 $ 03092
CICCSELECT100 0 $ 03093
VALUE A SHARE 0 $ 03095
CSOP USD MM 0 $ 03096
F MR OIL ETF 0 $ 03097
X TRMSCIINDO 0 $ 03099
EFUND CSI100 0 $ 03100
VANGUARDDVEUR 0 $ 03101
MR HS HDIVY ETF 0 $ 03110
ISHARESHSI 0 $ 03115
XIE GOLD MINERS 0 $ 03116
HGI MSCI CN A 0 $ 03118
EFUND CES 120 0 $ 03120
BMO AP REAL EST 0 $ 03121
CSOP CNSTBOND 0 $ 03122
VANGUARDJAPAN 0 $ 03126
MR CSI300 ETF 0 $ 03127
HS AINDTOPETF 0 $ 03128
CSOP 300SMART 0 $ 03129
F CSOP OIL ETF 0 $ 03135
HGI MSCIA50 0 $ 03136
CSOP CES A80 0 $ 03137
VANGUARDSP500 0 $ 03140
BMO ASIA IGB 0 $ 03141
BMO HK BANKS 0 $ 03143
BMO ASIA HIGHDV 0 $ 03145
ISHARESDAX 0 $ 03146
CSOP CHINEXT 0 $ 03147
CSOP MSCI 0 $ 03149
HGI CSI500 0 $ 03150
ISHARESES50 0 $ 03155
GFI MSCI A I 0 $ 03156
CAM SCSMALLCAP 0 $ 03157
BMO JAPAN HDG 0 $ 03160
XIE CHIMER ETF 0 $ 03161
Page 17
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
PA MULTI-FACTOR 0 $ 03163
BMO EU QLTY HDG 0 $ 03165
PA QLTY FACTOR 0 $ 03166
ICBCCSOPCHINA 0 $ 03167
VANGUARDCHINA 0 $ 03169
ISHARESKS200 0 $ 03170
COMSTAGE DAX 0 $ 03171
PREMIA NEW ECON 0 $ 03173
F SAMSUNG OIL 0 $ 03175
COMSTAGE DIVDAX 0 $ 03177
CAM CES A80 0 $ 03180
PREMIAASIATEC 0 $ 03181
WISE NEW ECON50 0 $ 03182
CICCKRANECNET 0 $ 03186
CAM CSI300 59,852,308 $ 2,510,804,3213188
CAM MSCI AINC 0 $ 03197
PING AN 5HANDL 0 $ 03198
CSOP 5YCGBOND 0 $ 03199
RONSHINECHINA 8,210,000 $ 79,801,2003301
JNBY 1,807,000 $ 28,406,0403306
GOLDEN EAGLE 551,000 $ 4,986,5503308
C-MER EYE 4,161,000 $ 19,057,3803309
CHINA STATE CON 195,878,975 $ 1,463,215,9433311
A-LIVING 6,134,040 $ 70,296,0983319
CHINARES PHARMA 12,048,500 $ 124,099,5503320
CNBM 123,237,342 $ 772,698,1343323
BANKCOMM 86,214,493 $ 523,321,9733328
VINDA INT'L 242,000 $ 3,315,4003331
EVERGRANDE 294,705,449 $ 6,350,902,4263333
JU TENG INTL 2,850,000 $ 6,042,0003336
ANTON OILFIELD 42,020,945 $ 41,180,5263337
LONKING 34,047,351 $ 78,308,9073339
FE HORIZON 30,124,256 $ 237,077,8953360
QHD PORT 0 $ 03369
SINO-OCEAN GP 94,792,622 $ 307,128,0953377
LOGAN PPT 53,491,798 $ 602,317,6453380
TIANJINPORT DEV 6,198,000 $ 5,144,3403382
AGILE GROUP 82,313,412 $ 824,780,3883383
WASION HOLDINGS 2,320,671 $ 8,702,5163393
LEGENDHOLDING 6,696,827 $ 124,293,1093396
FUYAO GLASS 14,444,859 $ 348,121,1023606
Page 18
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
TONGRENTANGCM 1,779,000 $ 26,542,6803613
CQRC BANK 54,704,679 $ 221,006,9033618
ZHONGYU GAS 11,679,997 $ 83,395,1793633
YIDA CHINA 0 $ 03639
YANCOAL AUS 0 $ 03668
YONGDA AUTO 27,674,710 $ 182,376,3393669
GREAT HARVEST 1,555,000 $ 2,488,0003683
MEITUAN-W 117,302,000 $ 7,255,128,7003690
HUISHANG BANK 0 $ 03698
INKE 22,799,000 $ 42,406,1403700
KORADIOR 0 $ 03709
DALI FOODS 105,520,982 $ 569,813,3033799
GCL-POLY ENERGY 928,275,940 $ 464,137,9703800
SINOTRUK 197,884,155 $ 2,932,643,1773808
POU SHENG INT'L 23,485,600 $ 39,925,5203813
CHINA DONGXIANG 37,036,976 $ 38,148,0853818
HARMONY AUTO 35,050,800 $ 88,328,0163836
BQD 0 $ 03866
CHINA AOYUAN 34,989,691 $ 311,758,1473883
KINGSOFT 80,157,532 $ 1,447,645,0283888
CRRC TIMES ELEC 17,808,198 $ 734,588,1683898
CIMC ENRIC 6,318,008 $ 41,067,0523899
GREENTOWN CHINA 37,075,883 $ 199,839,0093900
CICC 131,172,859 $ 2,006,944,7433908
NAGACORP 12,145,132 $ 108,941,8343918
UNITED LAB 131,405,113 $ 579,496,5483933
DFZQ 4,102,000 $ 21,248,3603958
CM BANK 179,953,711 $ 6,685,280,3643968
CHINA CRSC 33,155,759 $ 182,025,1173969
CHINA BLUECHEM 24,186,074 $ 65,302,4003983
BANK OF CHINA 248,274,750 $ 866,478,8783988
MIDEA REAL EST 0 $ 03990
CMOC 636,690,793 $ 1,623,561,5223993
CH ENERGY ENG 0 $ 03996
BOSIDENG 37,236,505 $ 76,707,2003998
AMGEN-T 0 $ 04332
CISCO-T 0 $ 04333
INTEL-T 0 $ 04335
APPL MATERIAL-T 0 $ 04336
STARBUCKS-T 0 $ 04337
MICROSOFT-T 0 $ 04338
Page 19
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CITIC SEC 239,296,726 $ 3,603,808,6946030
ZA ONLINE 37,757,906 $ 877,871,3156060
CSC 19,283,000 $ 113,769,7006066
WISDOM EDU INTL 5,364,000 $ 22,743,3606068
FIT HON TENG 2,329,000 $ 7,918,6006088
CG SERVICES 36,505,085 $ 538,815,0556098
CMSC 1,693,200 $ 16,457,9046099
TALENT LIEPIN 5,535,000 $ 117,618,7506100
JIUTAI RCB 0 $ 06122
HARBIN BANK 0 $ 06138
JINMAO HOTEL-SS 0 $ 06139
ZHENRO PPT 4,351,000 $ 21,798,5106158
BEIGENE-B 0 $ 06160
CHINA VAST 0 $ 06166
CHINA U-TON 0 $ 06168
YUHUA EDU 201,331,016 $ 662,379,0436169
EB SECURITIES 4,292,000 $ 28,198,4406178
BANKOFJIUJIANG 0 $ 06190
BANKOFZHENGZHOU 0 $ 06196
QINGDAO PORT 4,620,021 $ 25,410,1166198
SUNART RETAIL 112,998,588 $ 795,510,0606808
CEB BANK 70,884,620 $ 252,349,2476818
HKT-SS 13,595,339 $ 162,056,4416823
HAOHAI BIOTEC 444,800 $ 20,927,8406826
BG BLUE SKY 146,988,581 $ 32,925,4426828
HAITONG SEC 109,304,793 $ 945,486,4596837
FINGERTANGO 0 $ 06860
HAIDILAO 10,231,000 $ 278,794,7506862
TENFU 0 $ 06868
YOFC 22,747,000 $ 387,153,9406869
DIFFER GROUP 0 $ 06878
CGS 203,777,694 $ 921,075,1776881
HTSC 82,825,051 $ 1,055,191,1506886
DYNAM JAPAN 0 $ 06889
FL2 CSOP HSI 0 $ 07200
FL2SAMSUNGHSI 0 $ 07205
XL2 XIE CHIMER 0 $ 07210
FL2CAMDXNHSI 0 $ 07221
FL2SAMSUNGHSCEI 0 $ 07228
FL2 MR HSCEI 0 $ 07230
FL2 MR HSI 0 $ 07231
Page 20
-
Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
FL2EFUND YT HSI 0 $ 07242
FL2CAMDXNNDQ100 0 $ 07261
FL2CAMDXNHSCEI 0 $ 07267
FL2 CSOP HSCEI 0 $ 07288
FI CSOP HSI 0 $ 07300
FI EFUND YT HSI 0 $ 07302
FISAMSUNGHSI 0 $ 07312
FICAMDXNHSI 0 $ 07321
XI MR S&P500 0 $ 07322
FISAMSUNGHSCEI 0 $ 07328
FICAMDXNNDQ100 0 $ 07331
FI MR HSI 0 $ 07336
FICAMDXNHSCEI 0 $ 07341
FI MR HSCEI 0 $ 07362
FI CSOP HSCEI 0 $ 07388
VIVA CHINA 4,686,976 $ 2,273,1838032
CHINAOCEAN FISH 1,440,000 $ 640,8008047
MADISON HLDG 4,228,000 $ 1,923,7408057
CHINA YOUZAN 189,015,212 $ 102,068,2148083
HONBRIDGE 14,096,624 $ 11,559,2328137
CHONGSING HLDGS 54,971,900 $ 1,814,0738207
AGTECH HOLDINGS 0 $ 08279
ZHENG LI HLDG 4,400,000 $ 6,600,0008283
SINGASIA HLDG 490,000 $ 2,391,2008293
SHENGYE CAPITAL 2,120,474 $ 14,461,6338469
ISHARES AXJ-U 0 $ 09010
ISHARESMSCITW-U 0 $ 09074
VALUEGOLD ETF-U 0 $ 09081
VANGUARDAXJHY-U 0 $ 09085
BMO NASDAQ100-U 0 $ 09086
CSOP USD MM-U 0 $ 09096
VANGUARDDVEUR-U 0 $ 09101
ISHARESHSI-U 0 $ 09115
VANGUARDJAPAN-U 0 $ 09126
VANGUARDSP500-U 0 $ 09140
BMO ASIA IGB-U 0 $ 09141
ISHARESDAX-U 0 $ 09146
ISHARESES50-U 0 $ 09155
ICBCCSOPCHINA-U 0 $ 09167
VANGUARDCHINA-U 0 $ 09169
ISHARESKS200-U 0 $ 09170
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
PREMIAASIATEC-U 0 $ 09181
CICCKRANECNET-U 0 $ 09186
CSOP 5YCGBOND-U 0 $ 09199
VANGUARDASXJP-U 0 $ 09805
PREMIAEMASEAN-U 0 $ 09810
ISHARESND100-U 0 $ 09834
ISHARES INDIA-U 0 $ 09836
ISHARESCSI300-U 0 $ 09846
ISHARESFS100-U 0 $ 09847
HOPEWELL INFR-R 0 $ 080737
VANGUARDASXJP-R 0 $ 082805
EFUND CG BOND-R 0 $ 082808
HT CSI300 ETF-R 0 $ 082811
CAM CTPB BOND-R 0 $ 082813
CSOP A50 ETF-R 7,920,660 $ 109,859,55482822
ISHARES A50-R 0 $ 082823
HSCEI ETF-R 0 $ 082828
BOSERA FA50-R 0 $ 082832
HS HSI ETF-R 0 $ 082833
ISHARESND100-R 0 $ 082834
ISHARES INDIA-R 0 $ 082836
AMUNDI A50-R 0 $ 082843
ISHARESCSI300-R 0 $ 082846
ISHARESFS100-R 0 $ 082847
C-SHS CSI 300-R 0 $ 083008
ISHARES AXJ-R 0 $ 083010
AMUNDI HK35-R 0 $ 083012
CSOP HKD MM-R 0 $ 083053
ISHARESMSCITW-R 0 $ 083074
CICC CGB-R 0 $ 083079
VALUEGOLD ETF-R 0 $ 083081
VANGUARDAXJHY-R 0 $ 083085
CICCSELECT100-R 0 $ 083093
VALUE A SHARE-R 0 $ 083095
EFUND CSI100-R 0 $ 083100
VANGUARDDVEUR-R 0 $ 083101
ISHARESHSI-R 0 $ 083115
HGI MSCI CN A-R 0 $ 083118
EFUND CES 120-R 0 $ 083120
CSOP CNSTBOND-R 0 $ 083122
VANGUARDJAPAN-R 0 $ 083126
Page 22
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Aggregated Reportable Short Positions of Specified Shares as of 17/05/2019
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
MR CSI300 ETF-R 0 $ 083127
HS AINDTOPETF-R 0 $ 083128
CSOP 300SMART-R 0 $ 083129
HGI MSCIA50-R 0 $ 083136
CSOP CES A80-R 0 $ 083137
VANGUARDSP500-R 0 $ 083140
ISHARESDAX-R 0 $ 083146
CSOP CHINEXT-R 0 $ 083147
CSOP MSCI-R 0 $ 083149
HGI CSI500-R 0 $ 083150
ISHARESES50-R 0 $ 083155
GFI MSCI A I-R 0 $ 083156
ICBCCSOPCHINA-R 0 $ 083167
HS RMB GOLD ETF 0 $ 083168
VANGUARDCHINA-R 0 $ 083169
ISHARESKS200-R 0 $ 083170
CAM CES A80-R 0 $ 083180
CICCKRANECNET-R 0 $ 083186
CAM CSI300-R 408,400 $ 17,038,44883188
CAM MSCI AINC-R 0 $ 083197
CSOP 5YCGBOND-R 0 $ 083199
HUI XIAN REIT 0 $ 087001
Page 23