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Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CKH HOLDINGS 11,940,493 $ 650,159,8441
CLP HOLDINGS 20,230,191 $ 1,459,608,2812
HK & CHINA GAS 428,642,274 $ 4,912,240,4603
WHARF HOLDINGS 34,389,854 $ 698,114,0364
HSBC HOLDINGS 112,049,061 $ 4,610,818,8605
POWER ASSETS 22,360,884 $ 907,851,8906
PCCW 62,909,542 $ 300,707,6118
HANG LUNG GROUP 3,814,395 $ 73,083,80810
HANG SENG BANK 46,098,819 $ 6,200,291,15611
HENDERSON LAND 24,350,470 $ 742,689,33512
HYSAN DEV 16,265,874 $ 466,830,58414
SHK PPT 15,204,444 $ 1,558,455,51016
NEW WORLD DEV 24,003,099 $ 897,715,90317
SWIRE PACIFIC A 10,190,979 $ 450,950,82119
BANK OF E ASIA 37,789,112 $ 642,414,90423
CHEVALIER INT'L 0 $ 025
CHINA MOTOR BUS 0 $ 026
GALAXY ENT 41,422,951 $ 2,394,246,56827
TIAN AN 0 $ 028
DYNAMIC HOLD 0 $ 029
CROSS-HAR(HOLD) 0 $ 032
KOWLOON DEV 0 $ 034
FE CONSORT INTL 2,421,751 $ 6,490,29335
GREAT EAGLE H 1,140,280 $ 23,261,71241
C.P. POKPHAND 0 $ 043
HK&S HOTELS 1,823,768 $ 13,039,94145
HK FERRY (HOLD) 0 $ 050
HARBOUR CENTRE 0 $ 051
FAIRWOOD HOLD 212,392 $ 3,818,80852
GUOCO GROUP 0 $ 053
TRANSPORT INT'L 0 $ 062
MTR CORPORATION 71,665,576 $ 3,156,868,62366
SHANGRI-LA ASIA 35,825,884 $ 255,438,55369
MIRAMAR HOTEL 0 $ 071
Y.T. REALTY 0 $ 075
CH OVS G OCEANS 12,957,967 $ 54,941,78081
SINO LAND 51,958,661 $ 543,487,59483
SUN HUNG KAI CO 0 $ 086
TAI CHEUNG HOLD 137,000 $ 638,42088
LVGEM CHINA 4,344,000 $ 10,164,96095
HANG LUNG PPT 58,247,035 $ 1,156,786,115101
Page 1
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
ASSO INT HOTELS 0 $ 0105
SICHUAN EXPRESS 1,478,000 $ 2,689,960107
CHOW SANG SANG 1,356,155 $ 11,513,756116
POLY PROPERTY 7,853,459 $ 17,827,352119
COSMOPOL INT'L 2,096,000 $ 3,039,200120
YUEXIU PROPERTY 17,294,509 $ 26,633,544123
CHINESE EST H 0 $ 0127
KUNLUN ENERGY 41,440,807 $ 264,392,349135
HENGTEN NET 2,104,149,665 $ 599,682,655136
FIRST PACIFIC 14,889,003 $ 40,646,978142
CHINA MER PORT 18,626,391 $ 179,744,673144
KINGBOARD HLDG 5,855,253 $ 175,950,353148
WANT WANT CHINA 364,464,389 $ 2,026,422,003151
SHENZHEN INT'L 14,614,612 $ 184,144,111152
MELBOURNE ENT 0 $ 0158
EMPEROR INT'L 0 $ 0163
CHINA EB LTD 13,718,341 $ 141,298,912165
TSINGTAO BREW 13,070,700 $ 999,908,550168
SILVER GRANT 1,486,000 $ 1,396,840171
K. WAH INT'L 3,449,852 $ 12,936,945173
GEELY AUTO 86,064,057 $ 1,983,776,514175
JIANGSU EXPRESS 13,516,785 $ 117,731,197177
SA SA INT'L 62,454,727 $ 74,945,672178
JOHNSON ELEC H 423,285 $ 8,486,864179
CONCORD NE 6,440,000 $ 3,059,000182
ZENSUN ENT 0 $ 0185
DONGYUE GROUP 23,981,692 $ 117,030,657189
LIU CHONG HING 0 $ 0194
MELCO INT'L DEV 35,361,535 $ 538,202,563200
JOY CITY PPT 3,884,000 $ 1,883,740207
HUTCHTEL HK 9,336,000 $ 10,923,120215
U-PRESID CHINA 30,885,867 $ 238,747,752220
POKFULAM 0 $ 0225
MINMETALS LAND 0 $ 0230
ALI HEALTH 86,816,357 $ 2,322,337,550241
SHUN TAK HOLD 56,291,351 $ 132,847,588242
TST PROPERTIES 0 $ 0247
CITYCHAMP 7,430,000 $ 12,556,700256
EB ENVIRONMENT 108,597,338 $ 469,140,500257
GBA HOLDINGS 0 $ 0261
CITIC 43,234,884 $ 238,656,560267
Page 2
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
KINGDEE INT'L 153,084,410 $ 4,125,624,850268
GUANGDONG INV 32,227,999 $ 410,584,707270
SHUI ON LAND 59,554,900 $ 64,319,292272
BYD ELECTRONIC 91,988,722 $ 3,946,316,174285
AIDIGONG 6,162,000 $ 3,450,720286
WH GROUP 135,794,187 $ 889,451,925288
WING ON CO 0 $ 0289
CHINA RES BEER 40,560,525 $ 2,695,246,886291
CATHAY PAC AIR 37,281,271 $ 275,881,405293
SINOFERT 6,140,000 $ 4,666,400297
CMGE 27,144,000 $ 81,703,440302
VTECH HOLDINGS 1,898,632 $ 112,778,741303
CHINA TRAVEL HK 69,158,764 $ 76,074,640308
SMARTONE TELE 3,654,796 $ 15,277,047315
OOIL 0 $ 0316
COMEC 7,680,700 $ 55,915,496317
TINGYI 144,240,446 $ 1,924,167,550322
MAANSHAN IRON 10,103,666 $ 22,733,249323
CHINA STAR ENT 570,000 $ 843,600326
PAX GLOBAL 4,519,403 $ 33,217,612327
HUABAO INTL 26,731,107 $ 312,219,330336
GREENLAND HK 4,669,000 $ 10,645,320337
SHANGHAI PECHEM 99,036,911 $ 167,372,380338
CAFE DE CORAL H 11,561,289 $ 202,091,332341
VITASOY INT'L 63,728,977 $ 2,045,700,162345
ANGANG STEEL 99,978,315 $ 331,928,006347
CHINASOFT INT'L 59,952,249 $ 449,641,868354
JIANGXI COPPER 25,826,955 $ 323,870,016358
SHANGHAI IND H 5,198,518 $ 55,416,202363
WING TAI PPT 0 $ 0369
BJ ENT WATER 234,827,545 $ 723,268,839371
ALLIED GROUP 0 $ 0373
YUNFENG FIN 0 $ 0376
EDVANTAGE GROUP 238,000 $ 1,904,000382
CHINA MED&HCARE 0 $ 0383
CHINA GAS HOLD 86,254,137 $ 2,548,809,748384
SINOPEC CORP 229,856,259 $ 795,302,656386
HKEX 9,837,951 $ 3,876,152,694388
CHINA RAILWAY 79,556,635 $ 276,061,523390
BEIJING ENT 7,461,272 $ 184,666,482392
YUEXIU REIT 0 $ 0405
Page 3
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
SOHO CHINA 55,388,879 $ 132,379,421410
CSFG 0 $ 0412
BANKOFJINZHOU 0 $ 0416
MINTH GROUP 22,311,464 $ 851,182,352425
SUNLIGHT REIT 0 $ 0435
DAH SING 1,014,925 $ 22,379,096440
CIMC-TIANDA 0 $ 0445
SIHUAN PHARM 34,232,605 $ 30,124,692460
UNITEDENERGY GP 34,748,000 $ 52,122,000467
GAPACK 4,657,621 $ 19,934,618468
HKR INT'L 0 $ 0480
RUSAL 19,645,000 $ 75,436,800486
DONGFENG GROUP 42,378,688 $ 338,605,717489
GOME RETAIL 1,693,956,300 $ 1,643,137,611493
KASEN 9,934,649 $ 7,252,294496
CHINA FOODS 3,526,689 $ 9,063,591506
TVB 4,025,520 $ 32,606,712511
CHINAGRANDPHARM 8,346,480 $ 59,677,332512
COSCO SHIP INTL 1,190,439 $ 2,952,289517
XIABUXIABU 26,887,692 $ 524,847,748520
ASM PACIFIC 11,446,905 $ 1,137,250,012522
GUANGSHEN RAIL 35,634,366 $ 51,313,487525
GEMDALE PPT 64,766,864 $ 75,777,231535
FUFENG GROUP 8,030,092 $ 22,564,559546
DIGITAL DOMAIN 158,508,856 $ 10,937,111547
SHENZHENEXPRESS 24,610,096 $ 180,884,206548
YUE YUEN IND 13,772,154 $ 223,384,338551
CHINACOMSERVICE 52,761,578 $ 197,855,918552
SH IND URBAN 9,770,443 $ 7,425,537563
TRAD CHI MED 77,659,987 $ 273,363,154570
ZHEJIANGEXPRESS 17,135,062 $ 108,978,994576
JNCEC 21,377,243 $ 54,725,742579
SUN.KING TECH 372,000 $ 628,680580
CHINA ORIENTAL 27,098,888 $ 58,804,587581
CONCH VENTURE 43,154,833 $ 1,588,097,854586
BEIJING N STAR 4,106,000 $ 6,076,880588
LUK FOOK HOLD 1,399,083 $ 26,722,485590
SINOTRANS 39,871,608 $ 110,843,070598
SHENZHEN INVEST 54,473,491 $ 138,907,402604
FULLSHARE 250,609,335 $ 41,851,759607
OSHIDORI 3,274,800 $ 1,964,880622
Page 4
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
SANY INT'L 14,915,787 $ 78,755,355631
KERRY LOG NET 1,081,500 $ 17,952,900636
SHOUGANG RES 8,363,963 $ 16,058,809639
FOSUN INTL 82,937,883 $ 947,150,624656
C TRANSMISSION 18,314,700 $ 134,613,045658
NWS HOLDINGS 21,810,935 $ 156,166,295659
ASIA FINANCIAL 0 $ 0662
HAITONG INT'L 93,793,923 $ 169,767,001665
CHINA EAST EDU 37,438,773 $ 612,498,326667
TECHTRONIC IND 15,246,050 $ 1,637,425,770669
CHINA EAST AIR 103,607,341 $ 368,842,134670
KERRY PPT 3,937,248 $ 78,115,000683
BJ ENERGY INTL 7,835,300 $ 2,115,531686
CHINA OVERSEAS 35,653,941 $ 638,205,544688
SHANSHUI CEMENT 0 $ 0691
BEIJING AIRPORT 78,944,174 $ 534,452,058694
TRAVELSKY TECH 26,086,758 $ 485,213,699696
SHOUCHENG 19,971,256 $ 44,935,326697
TONGDA GROUP 46,604,333 $ 25,166,340698
CAR INC 17,914,213 $ 67,536,583699
TENCENT 32,334,188 $ 18,753,829,040700
EVERG VEHICLE 46,203,085 $ 1,342,199,619708
GIORDANO INT'L 3,379,232 $ 4,190,248709
BOE VARITRONIX 175,000 $ 481,250710
CHINA OCEANWIDE 0 $ 0715
DIT GROUP 0 $ 0726
CHINA TELECOM 285,413,874 $ 647,889,494728
TRULY INT'L 6,256,000 $ 5,692,960732
BAY AREA DEV 0 $ 0737
ASIA CEMENT CH 11,679,578 $ 83,158,595743
SKYWORTH GROUP 29,689,025 $ 63,237,623751
AIR CHINA 122,646,582 $ 772,673,467753
HOPSON DEV HOLD 21,964,908 $ 424,801,321754
CHINA UNICOM 107,080,348 $ 488,286,387762
ZTE 63,140,141 $ 1,222,393,130763
CHINA LIT 77,068,524 $ 4,458,414,113772
CKLIFE SCIENCES 20,073,975 $ 18,668,797775
NETDRAGON 8,260,607 $ 141,752,016777
FORTUNE REIT 0 $ 0778
TONGCHENG-ELONG 39,593,316 $ 586,772,943780
CHINA TOWER 1,834,692,123 $ 2,201,630,548788
Page 5
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
IGG 61,842,832 $ 502,163,796799
VALUE PARTNERS 30,550,016 $ 126,782,566806
SIICENVIRONMENT 2,190,400 $ 2,321,824807
PROSPERITY REIT 0 $ 0808
XINHUA WINSHARE 1,702,000 $ 8,084,500811
SHIMAO GROUP 15,225,864 $ 376,078,841813
CHINA JINMAO 70,345,176 $ 260,277,151817
HI SUN TECH 0 $ 0818
TIANNENG POWER 129,227,752 $ 2,065,059,477819
LINK REIT 20,283,705 $ 1,397,547,275823
CR ASIA 188,000 $ 881,720831
CENTRAL CHINA 6,621,000 $ 24,232,860832
CHINA RES POWER 31,261,235 $ 248,839,431836
CHINA EDU GROUP 40,739,594 $ 598,057,240839
MICROPORT 58,316,116 $ 2,428,866,231853
CHINA WATER 53,586,242 $ 348,310,573855
VSTECS 5,058,718 $ 31,616,988856
PETROCHINA 400,580,493 $ 969,404,793857
APOLLO FMG 63,860,304 $ 43,425,007860
DC HOLDINGS 31,050,250 $ 205,242,153861
BC TECH GROUP 0 $ 0863
CMS 10,934,489 $ 88,569,361867
XINYI GLASS 41,540,390 $ 830,807,800868
BAIYUNSHAN PH 8,809,378 $ 169,668,620874
SJM HOLDINGS 94,334,617 $ 844,294,822880
ZHONGSHENG HLDG 225,685,918 $ 12,311,166,827881
CNOOC 156,837,796 $ 1,137,074,021883
CIFI HOLD GP 67,416,997 $ 424,727,081884
HUANENG POWER 101,300,063 $ 278,575,173902
COFCO PACKAGING 9,625,666 $ 34,074,858906
CONCH CEMENT 15,360,806 $ 754,983,615914
CHINA LONGYUAN 23,479,601 $ 158,487,307916
HISENSE HA 862,000 $ 9,602,680921
SINOPEC KANTONS 21,832,111 $ 59,819,984934
CCB 448,925,461 $ 2,581,321,401939
CHINA MOBILE 72,391,616 $ 3,297,438,109941
LEE'S PHARM 2,149,502 $ 9,328,839950
CHAOWEI POWER 247,000 $ 736,060951
CHINA SUNTIEN 36,966,352 $ 84,652,946956
LONGFOR GROUP 26,211,731 $ 1,142,831,472960
CHINA TAIPING 57,600,294 $ 823,684,204966
Page 6
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
XINYI SOLAR 187,643,179 $ 3,039,819,500968
L'OCCITANE 0 $ 0973
CHI MER LAND 0 $ 0978
SMIC 263,534,038 $ 5,233,785,995981
DATANG POWER 65,273,033 $ 63,967,572991
LENOVO GROUP 583,663,619 $ 4,091,481,969992
ANHUIEXPRESSWAY 1,782,000 $ 7,894,260995
CITIC BANK 169,067,784 $ 552,851,654998
HUANXI MEDIA 790,000 $ 1,042,8001003
SEAZEN 67,047,093 $ 437,817,5171030
KINGSTON FIN 0 $ 01031
SINOPEC SSC 21,594,000 $ 14,899,8601033
CKI HOLDINGS 12,032,890 $ 482,518,8891038
HENGAN INT'L 44,157,085 $ 2,450,718,2181044
YUEXIUTRANSPORT 9,624,247 $ 45,811,4161052
CHINA SOUTH AIR 145,609,644 $ 701,838,4841055
ALI PICTURES 644,268,389 $ 624,940,3371060
ESSEX BIO-TECH 1,155,874 $ 4,773,7601061
WEIGAO GROUP 94,869,584 $ 1,536,887,2611066
TCL ELECTRONICS 30,714,354 $ 184,900,4111070
HUADIAN POWER 44,616,661 $ 86,556,3221071
DONGFANG ELEC 2,996,232 $ 16,239,5771072
TOWNGAS CHINA 6,781,094 $ 22,920,0981083
CHINA SHENHUA 41,508,339 $ 625,945,7521088
LEYOU TECH H 8,740,000 $ 28,929,4001089
CSPC PHARMA 285,834,649 $ 2,240,943,6481093
ROAD KING INFRA 2,198,417 $ 22,072,1071098
SINOPHARM 60,662,643 $ 1,134,391,4241099
CHINA RES LAND 23,786,837 $ 746,906,6821109
CHONG HING BANK 0 $ 01111
H&H INTL HLDG 8,037,062 $ 248,345,2161112
CK ASSET 10,918,196 $ 441,095,1181113
BRILLIANCE CHI 99,166,818 $ 621,775,9491114
CH MODERN D 323,092,255 $ 555,718,6791117
IDREAMSKY 93,072,708 $ 345,299,7471119
WYNN MACAU 127,573,557 $ 1,717,140,0771128
HARBIN ELECTRIC 6,055,001 $ 14,168,7021133
HKTV 10,417,121 $ 118,338,4951137
COSCO SHIP ENGY 45,590,346 $ 144,521,3971138
CMBC CAPITAL 77,541,514 $ 8,684,6501141
ZOOMLION 41,852,482 $ 359,931,3451157
Page 7
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
HAIER ELEC 103,111,441 $ 3,779,034,3131169
YANZHOU COAL 77,652,657 $ 513,284,0631171
ZHUGUANG HOLD 4,794,000 $ 5,177,5201176
SINO BIOPHARM 521,502,998 $ 4,072,938,4141177
HUAZHU-S 0 $ 01179
CHINA RAIL CONS 62,479,354 $ 276,158,7451186
CHINA RES GAS 19,388,792 $ 788,154,3951193
REALORD GROUP 758,000 $ 3,441,3201196
COSCO SHIP PORT 19,426,706 $ 100,824,6041199
MMG 155,657,298 $ 535,461,1051208
BYD COMPANY 73,220,232 $ 13,545,742,9201211
LIFESTYLE INT'L 10,258,033 $ 62,779,1621212
ZYBANK 0 $ 01216
SINO HOTELS 0 $ 01221
C C LAND 0 $ 01224
NEWTON RES 0 $ 01231
TIMES CHINA 12,580,088 $ 128,065,2961233
CHINA LILANG 5,681,035 $ 29,200,5201234
POWERLONG 7,608,050 $ 41,159,5511238
CHINA TIANRUI 2,903,000 $ 20,669,3601252
CEB GREENTECH 30,750,294 $ 93,788,3971257
CHINFMINING 0 $ 01258
MEIDONG AUTO 16,272,800 $ 495,506,7601268
FIRST CAP GP 16,584,001 $ 1,990,0801269
LANGHAM-SS 0 $ 01270
GRAND MING 0 $ 01271
GLORY SUN FIN 93,327,732 $ 32,198,0681282
ABC 328,116,388 $ 905,601,2311288
AIA 68,036,558 $ 6,089,271,9411299
LIFETECH SCI 49,928,778 $ 195,221,5221302
SITC 6,458,000 $ 103,844,6401308
HKBN 11,976,016 $ 141,316,9891310
CHINARES CEMENT 15,404,269 $ 137,868,2081313
NEXTEER 63,635,195 $ 540,899,1581316
MAPLELEAF EDU 120,157,666 $ 255,935,8291317
HUASHENG INTL 15,414,000 $ 12,793,6201323
DYNAGREEN ENV 1,331,000 $ 4,365,6801330
CHINA ZHONGWANG 46,541,785 $ 75,397,6921333
NCI 10,474,175 $ 323,128,2991336
RAZER 121,164,402 $ 273,831,5491337
PICC GROUP 147,559,176 $ 358,568,7981339
Page 8
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
HUA HONG SEMI 40,140,002 $ 1,898,622,0951347
FUDANZHANGJIANG 1,274,000 $ 5,096,0001349
CHINA CINDA 201,468,828 $ 292,129,8011359
XTEP INT'L 57,060,688 $ 175,176,3121368
CC SECURITIES 9,544,000 $ 13,838,8001375
CHINAHONGQIAO 45,640,003 $ 350,971,6231378
CANVEST ENV 8,717,560 $ 30,249,9331381
PACIFICTEXTILES 7,276,495 $ 36,600,7701382
SUNCITY GROUP 48,170,000 $ 33,719,0001383
SHANGHAI FUDAN 5,989,000 $ 80,013,0401385
ICBC 350,802,722 $ 1,613,692,5211398
COWELL 5,707,000 $ 33,385,9501415
SPRING REIT 0 $ 01426
YST DAIRY 160,815,460 $ 127,044,2131431
FU SHOU YUAN 21,752,260 $ 162,054,3371448
GUOLIAN SEC 4,367,500 $ 16,814,8751456
ZHOU HEI YA 100,531,317 $ 766,048,6361458
NISSIN FOODS 10,883,632 $ 71,178,9531475
Q TECH 29,960,146 $ 349,934,5051478
KDL MEDICAL 349,800 $ 16,283,1901501
CMC REIT 0 $ 01503
CHINA RE 41,617,403 $ 33,293,9221508
LIVZON PHARMA 1,806,159 $ 55,178,1571513
CR MEDICAL 22,774,773 $ 134,826,6561515
FRONTAGE 19,882,876 $ 77,940,8741521
RS MACALLINE 1,540,151 $ 7,100,0961528
3SBIO 191,863,917 $ 1,423,630,2641530
GENSCRIPT BIO 48,239,777 $ 616,504,3501548
GRCB 0 $ 01551
HEC PHARM 36,165,525 $ 335,977,7271558
VIRSCEND EDU 4,415,000 $ 10,375,2501565
SUNDART HLDGS 0 $ 01568
MINSHENG EDU 0 $ 01569
BANK OF TIANJIN 0 $ 01578
YIHAI INTL 36,055,434 $ 3,517,207,5871579
YADEA 19,430,132 $ 301,167,0461585
CNLP 27,192,000 $ 105,233,0401589
TIAN LUN GAS 3,738,741 $ 24,189,6541600
CDB LEASING 0 $ 01606
VPOWER GROUP 4,943,000 $ 13,741,5401608
COFCO JOYCOME 180,148,657 $ 466,585,0221610
Page 9
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
MCC 6,578,596 $ 9,670,5361618
REDCO GROUP 20,985,740 $ 60,019,2161622
YUZHOU GROUP 40,383,138 $ 112,668,9551628
KAISA GROUP 64,093,896 $ 247,402,4391638
PSBC 197,032,072 $ 831,475,3441658
ZHAOBANGJI PPT 0 $ 01660
PENTAMASTER 1,060,000 $ 1,780,8001665
TONG REN TANG 11,686,690 $ 57,615,3821666
CHINASOUTHCITY 29,242,805 $ 31,582,2291668
ASCLETIS-B 14,801,000 $ 44,403,0001672
ASIAINFO TECH 9,101,200 $ 101,387,3681675
SUNEVISION 10,385,768 $ 72,388,8031686
AUSNUTRIA 22,026,991 $ 262,121,1931717
HEBEI CONS 14,782,810 $ 77,018,4401727
DUIBA 16,906,800 $ 39,223,7761753
S-ENJOY SERVICE 476,000 $ 8,149,1201755
HOPE EDU 45,010,000 $ 94,070,9001765
CRRC 111,550,571 $ 306,764,0701766
SCHOLAR EDU 1,731,000 $ 24,441,7201769
GANFENGLITHIUM 4,273,989 $ 353,672,5901772
TIANLI EDU 14,359,000 $ 113,148,9201773
GF SEC 52,711,544 $ 562,959,2901776
FANTASIA 34,037,750 $ 45,610,5851777
COLOUR LIFE 24,196,171 $ 83,234,8281778
SD GOLD 23,747,869 $ 433,161,1311787
GUOTAI JUNAN I 99,732,478 $ 100,729,8031788
AK MEDICAL 52,184,503 $ 727,451,9721789
KOOLEARN 76,792,257 $ 2,088,749,3901797
DATANG RENEW 8,564,000 $ 9,934,2401798
CHINA COMM CONS 154,986,422 $ 542,452,4771800
INNOVENT BIO 44,735,905 $ 3,024,147,1781801
HUIFU PAYMENT 4,769,042 $ 13,162,5561806
PRINX CHENGSHAN 0 $ 01809
XIAOMI-W 254,787,442 $ 7,337,878,3301810
CGN NEW ENERGY 34,343,250 $ 41,555,3331811
KWG GROUP 40,036,409 $ 402,766,2751813
CGN POWER 184,736,156 $ 314,051,4651816
MULSANNE GROUP 3,286,500 $ 13,540,3801817
ZHAOJIN MINING 55,541,658 $ 550,973,2471818
ESR 35,208,121 $ 896,046,6791821
CMEC 6,889,826 $ 10,472,5361829
Page 10
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
PA GOODDOCTOR 87,604,401 $ 8,011,422,4711833
STELLA HOLDINGS 3,497,000 $ 30,983,4201836
CIMC VEHICLES 512,000 $ 3,706,8801839
CALC 2,201,033 $ 14,790,9421848
CHUNLI MEDICAL 2,215,216 $ 48,845,5131858
BRIGHT CULTURE 1,231,000 $ 1,107,9001859
MOBVISTA 1,445,498 $ 5,608,5321860
VIVA BIOTECH 54,001,066 $ 441,188,7091873
BUD APAC 147,736,382 $ 3,811,598,6561876
JUNSHI BIO 11,299,386 $ 553,669,9141877
REGAL REIT 0 $ 01881
HAITIAN INT'L 5,396,066 $ 134,901,6501882
CITIC TELECOM 10,996,367 $ 26,611,2081883
KB LAMINATES 31,052,240 $ 369,521,6561888
CHINA KEPEI 3,484,000 $ 18,081,9601890
MAOYAN ENT 10,557,688 $ 125,425,3331896
CHINA COAL 15,736,624 $ 37,925,2641898
XINGDA INT'L 0 $ 01899
CHINA RISUN GP 829,000 $ 2,155,4001907
C&D INTL GROUP 2,259,741 $ 33,941,3101908
SAMSONITE 97,132,504 $ 1,317,116,7541910
CR HOLDINGS 167,500 $ 2,435,4501911
PRADA 14,874,288 $ 670,830,3891913
JIANGXI BANK 0 $ 01916
SUNAC 41,952,627 $ 1,183,064,0811918
COSCO SHIP HOLD 100,598,564 $ 813,842,3831919
SANDS CHINA LTD 62,144,770 $ 2,147,101,8041928
CHOW TAI FOOK 5,106,600 $ 51,678,7921929
JXR 59,311,119 $ 886,108,1181951
BAIC MOTOR 22,645,690 $ 62,955,0181958
BCQ 2,385,490 $ 11,044,8191963
CHINA SCE GROUP 16,129,000 $ 51,935,3801966
IMAX CHINA 2,500,300 $ 33,303,9961970
SWIREPROPERTIES 39,139,766 $ 900,214,6181972
MINSHENG BANK 694,510,752 $ 3,062,792,4161988
FOSUN TOURISM 254,200 $ 2,074,2721992
EVERSUNSHINE LS 41,536,000 $ 664,576,0001995
RSUN PPT 1,843,000 $ 4,920,8101996
WHARF REIC 99,458,839 $ 4,008,191,2121997
MAN WAH HLDGS 12,122,721 $ 197,357,8981999
NEW HIGHER EDU 23,139,000 $ 106,439,4002001
Page 11
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
SSY GROUP 93,857,746 $ 428,929,8992005
JINJIANGCAPITAL 12,772,000 $ 15,454,1202006
COUNTRY GARDEN 390,482,992 $ 3,928,258,9002007
BBMG 30,022,005 $ 46,834,3282009
WEIMOB INC 232,643,801 $ 2,880,130,2562013
CZBANK 0 $ 02016
AAC TECH 92,859,898 $ 3,974,403,6342018
DEXIN CHINA 2,936,281 $ 8,515,2152019
ANTA SPORTS 46,809,785 $ 4,919,708,4042020
FIH 150,821,162 $ 126,689,7762038
CIMC 6,425,151 $ 75,045,7642039
E-HOUSE ENT 5,028,901 $ 36,358,9542048
ZTO EXPRESS-SW 0 $ 02057
SHENGJINGBANK 0 $ 02066
ZALL SMARTCOM 10,450,000 $ 7,419,5002098
CHINAGOLDINTL 81,800 $ 997,9602099
BAIOO 0 $ 02100
SINIC HOLDINGS 0 $ 02103
CHINA LESSO 20,510,402 $ 244,483,9922128
BANK OF GANSU 782,000 $ 1,040,0602139
BROAD HOMES 516,300 $ 9,933,6122163
KAISA PROSPER 1,894,846 $ 36,608,4252168
LUYE PHARMA 138,299,601 $ 520,006,5002186
FOSUN PHARMA 41,293,002 $ 1,649,655,4302196
CHINA SANJIANG 4,190,200 $ 10,265,9902198
CHINA VANKE 35,609,601 $ 938,312,9862202
GOLDWIND 120,832,673 $ 1,621,574,4722208
JY GRANDMARK 0 $ 02231
WESTCHINACEMENT 76,861,295 $ 89,159,1022233
GAC GROUP 140,314,444 $ 1,191,269,6302238
WUXI BIO 27,143,144 $ 2,373,667,9432269
MGM CHINA 73,666,998 $ 839,803,7772282
BILLION IND 0 $ 02299
SHENZHOU INTL 6,087,252 $ 860,737,4332313
LEE & MAN PAPER 15,395,790 $ 94,992,0242314
PING AN 768,923,958 $ 71,625,266,6882318
MENGNIU DAIRY 47,165,444 $ 2,037,547,1812319
HK CHAOSHANG GP 0 $ 02322
PICC P&C 151,078,559 $ 889,852,7132328
GUORUI PPT 2,559,000 $ 2,098,3802329
LI NING 28,626,791 $ 1,325,420,4232331
Page 12
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
GREATWALL MOTOR 288,012,721 $ 5,310,954,5752333
WEICHAI POWER 63,696,445 $ 989,842,7552338
COMBA 149,269,516 $ 344,812,5822342
PACIFIC BASIN 172,323,685 $ 251,592,5802343
DAHSING BANKING 1,495,999 $ 11,938,0722356
AVICHINA 78,244,955 $ 352,102,2982357
WUXI APPTEC 31,127,301 $ 4,332,920,2992359
JINCHUAN INTL 49,464,000 $ 40,065,8402362
PRU 0 $ 02378
CHINA POWER 116,326,176 $ 182,632,0962380
SUNNY OPTICAL 31,830,525 $ 4,946,463,5852382
TOM GROUP 0 $ 02383
SINOPEC SEG 20,973,350 $ 70,680,1902386
BOC HONG KONG 57,895,333 $ 1,369,224,6252388
XD INC 6,179,006 $ 237,273,8302400
VENUS MEDTECH-B 10,836,000 $ 909,140,4002500
HUA MEDICINE-B 2,166,476 $ 11,460,6582552
BOC AVIATION 20,371,885 $ 1,323,153,9312588
CHALCO 111,959,623 $ 323,563,3102600
CPIC 45,553,374 $ 1,366,601,2202601
LANGUANGJUSTBON 324,700 $ 10,357,9302606
SH PHARMA 11,946,592 $ 151,960,6502607
SUNSHINE 100 0 $ 02608
GTJA 5,429,962 $ 58,209,1932611
CSTONE PHARMA-B 9,991,500 $ 91,921,8002616
CHINA LIFE 97,401,805 $ 1,655,830,6852628
HKELECTRIC-SS 75,372,160 $ 584,134,2402638
UNI MEDICAL 13,594,146 $ 81,157,0522666
CHINA OVS PPT 60,137,895 $ 267,613,6332669
TEXHONG TEXTILE 1,247,000 $ 8,467,1302678
ENN ENERGY 15,686,121 $ 1,730,179,1462688
ND PAPER 79,685,823 $ 862,200,6052689
HENLIUS-B 551,555 $ 23,716,8652696
SH ELECTRIC 27,708,561 $ 62,344,2622727
JIAYUAN INTL 3,965,746 $ 12,055,8682768
ZHONGLIANG HLDG 7,099,000 $ 35,424,0102772
R&F PROPERTIES 91,608,914 $ 907,844,3382777
CHAMPION REIT 15,244,783 $ 68,601,5242778
CHINA HUARONG 196,919,747 $ 173,289,3772799
TRACKER FUND 49,707,838 $ 1,322,228,4912800
ISHARES CHINA 0 $ 02801
Page 13
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
ISHARES EM ASIA 0 $ 02802
PP BEDROCK 0 $ 02803
PREMIA VIET 0 $ 02804
VANGUARDASXJP 0 $ 02805
GX CN CONSUME 0 $ 02806
GX CN ROBO&AI 0 $ 02807
GX CN CLN EN 0 $ 02809
PREMIAEMASEAN 0 $ 02810
HT CSI300 ETF 0 $ 02811
SAMSUNGCDGN 0 $ 02812
CAM CTPB BOND 0 $ 02813
ABF HK IDX ETF 0 $ 02819
GX CN BIOTECH 0 $ 02820
ABF PAIF 0 $ 02821
CSOP A50 ETF 64,848,124 $ 1,226,926,5062822
ISHARES A50 79,741,753 $ 1,526,257,1522823
LIPPO HK&M PROP 0 $ 02824
WISECSIHK100ETF 0 $ 02825
GX CN CLOUD 0 $ 02826
WISE CSI300 ETF 0 $ 02827
HSCEI ETF 3,810,811 $ 404,898,6692828
BOSERA FA50 0 $ 02832
HS HSI ETF 0 $ 02833
ISHARESND100 0 $ 02834
ISHARES INDIA 0 $ 02836
HS FCI50 ETF 0 $ 02838
SPDR GOLD TRUST 0 $ 02840
AMUNDI A50 0 $ 02843
GX CN ELE VEH 0 $ 02845
ISHARESCSI300 0 $ 02846
TRMSCIKOREA 0 $ 02848
YIXIN 18,956,196 $ 61,607,6372858
COSCO SHIP DEV 40,147,420 $ 49,782,8012866
BJ CAPITAL LAND 13,402,200 $ 17,690,9042868
GREENTOWN SER 64,516,694 $ 581,940,5802869
SHINEWAY PHARM 3,841,577 $ 21,243,9212877
CHINA OILFIELD 42,781,954 $ 273,376,6862883
STANCHART 2,359,668 $ 116,095,6662888
ZIJIN MINING 89,021,168 $ 729,973,5782899
CSOPCSI500ETF 0 $ 03005
TRFXIC50 0 $ 03007
Page 14
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
ISHARES AXJ 0 $ 03010
A ICBCCICCUSD 0 $ 03011
AMUNDI HK35 0 $ 03012
X TRNIFTY50 0 $ 03015
TRMSCIPHIL 0 $ 03016
X TRMSCIWORLD 0 $ 03019
X TRMSCIUSA 0 $ 03020
ISHARESMSCIEM 0 $ 03022
PA AI&ROBOTICS 0 $ 03023
WISE SSE50ETF 0 $ 03024
X TRMSCIRUSSIA 0 $ 03027
HT CH A ESG 0 $ 03031
HSTECH ETF 0 $ 03032
CSOP HS TECH 0 $ 03033
TRMSCITAIWAN 0 $ 03036
GX MSCI CHINA 0 $ 03040
TRMSCIPACEXJ 0 $ 03043
F SSIFIRONORE 0 $ 03047
TRMSCIBRAZIL 0 $ 03048
X TRCSI300 0 $ 03049
CSOP HKD MM 0 $ 03053
TRMSCICHINA 0 $ 03055
TRMSCISG 0 $ 03065
ISHARESHSTECH 0 $ 03067
PING AN HKDIV 0 $ 03070
A CICC HKD 0 $ 03071
NIKKOAM INET 0 $ 03072
SPDR GREATCHINA 0 $ 03073
ISHARESMSCITW 0 $ 03074
PREMIA UST 0 $ 03077
CICC CGB 0 $ 03079
PING AN CGB 0 $ 03080
VALUEGOLD ETF 0 $ 03081
TRMSCIMALAY 0 $ 03082
VANGUARDAXJHY 0 $ 03085
BMO NASDAQ100 0 $ 03086
X TRFTSEVIET 0 $ 03087
CAM HS TECH 0 $ 03088
A NIKKOAMGAME 0 $ 03091
TRMSCITHAI 0 $ 03092
CICCSELECT100 0 $ 03093
Page 15
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
VALUE A SHARE 0 $ 03095
CSOP USD MM 0 $ 03096
F GX OIL 0 $ 03097
X TRMSCIINDO 0 $ 03099
EFUND CSI300 0 $ 03100
VANGUARDDVEUR 0 $ 03101
GX HS HIGH DIV 0 $ 03110
ISHARESHSI 0 $ 03115
HGI MSCI CN A 0 $ 03118
BMO AP REAL EST 0 $ 03121
CSOP RMB MM 0 $ 03122
VANGUARDJAPAN 0 $ 03126
GX CSI300 0 $ 03127
HS AINDTOPETF 0 $ 03128
HS CSI300 0 $ 03130
VANGUARDSP500 0 $ 03140
BMO ASIA IGB 0 $ 03141
BMO HK BANKS 0 $ 03143
BMO ASIA HIGHDV 0 $ 03145
CSOP CHINEXT 0 $ 03147
CSOP MSCI 0 $ 03149
CAM SCSMALLCAP 0 $ 03157
BMO JAPAN HDG 0 $ 03160
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
PP CN NEWECON 0 $ 03173
F SAMSUNG OIL 0 $ 03175
PREMIAASIATEC 0 $ 03181
WISE NEW ECON50 0 $ 03182
CICCKRANECNET 0 $ 03186
SAMSUNG REITS 0 $ 03187
CAM CSI300 41,934,220 $ 2,533,665,5723188
GX CN SEMICON 0 $ 03191
CSOP CSI 5G 0 $ 03193
CAM MSCI AINC 0 $ 03197
PING AN 5HANDL 0 $ 03198
CSOP CTPBBOND 0 $ 03199
Page 16
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
RONSHINECHINA 21,681,264 $ 114,260,2613301
JNBY 1,089,000 $ 9,256,5003306
GOLDEN EAGLE 1,155,000 $ 8,327,5503308
C-MER EYE 10,006,000 $ 58,635,1603309
CHINA STATE CON 52,768,158 $ 248,010,3433311
A-LIVING 52,235,280 $ 1,752,493,6443319
CHINARES PHARMA 46,111,326 $ 183,061,9643320
CNBM 52,258,264 $ 503,769,6653323
BANKCOMM 135,930,127 $ 561,391,4253328
VINDA INT'L 34,947,985 $ 751,381,6783331
EVERGRANDE 244,201,216 $ 3,731,394,5803333
JU TENG INTL 2,365,424 $ 5,558,7463336
LONKING 46,424,891 $ 109,562,7433339
TIGERMED 7,585,677 $ 1,236,465,3513347
FE HORIZON 165,924,507 $ 1,353,943,9773360
SINO-OCEAN GP 51,231,663 $ 78,896,7613377
LOGAN GROUP 19,159,344 $ 225,697,0723380
AGILE GROUP 57,088,711 $ 578,879,5303383
LEGENDHOLDING 11,778,478 $ 126,971,9933396
XINJI SHAXI 1,026,000 $ 1,898,1003603
FUYAO GLASS 11,435,777 $ 423,695,5383606
TONGRENTANGCM 6,233,059 $ 51,048,7533613
CQRC BANK 17,760,962 $ 55,591,8113618
ZHONGYU GAS 772,000 $ 5,295,9203633
YIDA CHINA 0 $ 03639
AOYUAN HEALTHY 27,892,849 $ 141,137,8163662
YANCOAL AUS 0 $ 03668
YONGDA AUTO 29,782,425 $ 381,215,0403669
MEITUAN-W 31,306,673 $ 8,715,777,7633690
HANSOH PHARMA 44,560,406 $ 1,581,894,4133692
EEKA FASHION 1,995,500 $ 28,455,8303709
BJ ENT URBAN 8,256,000 $ 19,319,0403718
PHARMARON 4,040,948 $ 478,852,3383759
DALI FOODS 62,042,804 $ 287,878,6113799
GCL-POLY ENERGY 1,219,465,677 $ 1,853,587,8293800
SINOTRUK 36,963,263 $ 694,170,0793808
POU SHENG INT'L 4,294,000 $ 7,686,2603813
CHINA DONGXIANG 99,313,236 $ 80,443,7213818
HARMONY AUTO 27,685,861 $ 103,268,2623836
BQD 0 $ 03866
XINYI ENERGY 32,411,352 $ 136,775,9053868
Page 17
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CSSC SHIPPING 0 $ 03877
CHINA AOYUAN 16,876,198 $ 125,558,9133883
KINGSOFT 97,196,889 $ 4,048,250,4273888
CRRC TIMES ELEC 15,945,699 $ 461,627,9863898
CIMC ENRIC 22,280,500 $ 102,044,6903899
GREENTOWN CHINA 62,753,473 $ 744,256,1903900
CICC 151,428,693 $ 2,801,430,8213908
NAGACORP 14,748,000 $ 140,253,4803918
UNITED LAB 4,020,915 $ 23,683,1893933
DFZQ 3,868,400 $ 21,546,9883958
CM BANK 78,584,019 $ 3,709,165,6973968
CHINA CRSC 44,381,656 $ 119,386,6553969
CHINA BLUECHEM 17,503,907 $ 21,879,8843983
BANK OF CHINA 955,430,294 $ 2,474,564,4613988
MIDEA REAL EST 4,212,199 $ 73,039,5313990
CMOC 248,054,249 $ 1,093,919,2383993
CH ENERGY ENG 0 $ 03996
BOSIDENG 273,638,621 $ 954,998,7873998
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
CITIC SEC 253,723,709 $ 4,343,749,8986030
POLY PPT SER 11,949,544 $ 705,023,0966049
CTIHK 9,138,803 $ 140,006,4626055
ZA ONLINE 63,528,329 $ 2,423,605,7516060
CSC 65,609,917 $ 661,347,9636066
WISDOM EDU INTL 17,926,000 $ 69,911,4006068
SHENGYE CAPITAL 10,287,559 $ 54,009,6856069
HYGEIA HEALTH 2,742,000 $ 133,261,2006078
FIT HON TENG 73,742,161 $ 193,204,4626088
CG SERVICES 130,042,796 $ 6,138,019,9716098
CMSC 4,107,508 $ 45,264,7386099
TONGDAO LIEPIN 1,168,200 $ 22,616,3526100
TOPSPORTS 56,586,180 $ 636,028,6636110
JIUTAI RCB 0 $ 06122
HARBIN BANK 0 $ 06138
ZHENRO PPT 42,618,517 $ 196,897,5496158
BEIGENE 920,115 $ 150,898,8606160
Page 18
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CHINA VAST 379,000 $ 1,137,0006166
YUHUA EDU 167,255,365 $ 1,085,487,3196169
EB SECURITIES 15,554,604 $ 104,682,4856178
CANSINOBIO-B 11,467,003 $ 1,992,965,1216185
CHINA FEIHE 53,750,076 $ 921,276,3036186
BANKOFZHENGZHOU 0 $ 06196
QINGDAO PORT 3,211,019 $ 15,284,4506198
BANK OF GUIZHOU 0 $ 06199
SWHY 10,131,457 $ 21,276,0606806
SUNART RETAIL 213,122,960 $ 1,732,689,6656808
CEB BANK 30,852,726 $ 91,015,5426818
FRIENDTIMES 588,000 $ 1,176,0006820
HKT-SS 17,233,494 $ 175,436,9696823
HAOHAI BIOTEC 831,204 $ 38,650,9866826
HAITONG SEC 219,561,446 $ 1,508,387,1346837
ASCENTAGE-B 1,423,638 $ 48,546,0566855
HAIDILAO 65,143,722 $ 3,722,963,7126862
FLAT GLASS 41,647,615 $ 1,020,366,5686865
TENFU 0 $ 06868
YOFC 6,566,171 $ 68,419,5026869
DIFFER GROUP 21,084,000 $ 15,602,1606878
CGS 183,833,826 $ 840,120,5856881
HTSC 67,264,604 $ 789,686,4516886
DYNAM JAPAN 276,600 $ 2,196,2046889
RENRUI HR 1,923,900 $ 48,386,0856919
ZHENRO SERVICES 2,536,000 $ 10,067,9206958
SMOORE INTL 63,895,444 $ 3,440,769,6596969
FL2 CSOP HSI 0 $ 07200
FL2SAMSUNGHSI 0 $ 07205
FL2CAMDXNHSI 0 $ 07221
XL2CSOPHSTECH 0 $ 07226
FL2SAMSUNGHSCEI 0 $ 07228
FL2 GX HSCEI 0 $ 07230
FL2 GX HSI 0 $ 07231
XL2CSOPCSI300 0 $ 07233
FL2CAMDXNNDQ100 0 $ 07261
FL2CSOPNASDAQ 0 $ 07266
XL2CAMDXNCSI300 0 $ 07272
FL2 CSOP HSCEI 0 $ 07288
FL2CSOPGOLD 0 $ 07299
FI CSOP HSI 0 $ 07300
Page 19
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
FISAMSUNGHSI 0 $ 07312
FICAMDXNHSI 0 $ 07321
XI GX S&P500 0 $ 07322
FISAMSUNGHSCEI 0 $ 07328
FICAMDXNNDQ100 0 $ 07331
XICSOPCSI300 0 $ 07333
FI GX HSI 0 $ 07336
FI GX HSCEI 0 $ 07362
XICAMDXNCSI300 0 $ 07373
FI2 CSOP HSI 0 $ 07500
FI2CAMDXNNDQ100 0 $ 07522
XI2CSOPHSTECH 0 $ 07552
FI2CSOPNASDAQ 0 $ 07568
FI2 CSOP HSCEI 0 $ 07588
CHINA YOUZAN 122,447,712 $ 268,160,4898083
ISHARES AXJ-U 0 $ 09010
A ICBCCICCUSD-U 0 $ 09011
ISHARESMSCIEM-U 0 $ 09022
HT CH A ESG-U 0 $ 09031
F SSIFIRONORE-U 0 $ 09047
ISHARESHSTECH-U 0 $ 09067
NIKKOAM INET-U 0 $ 09072
ISHARESMSCITW-U 0 $ 09074
PREMIA UST-U 0 $ 09077
PREMIA UST A-U 0 $ 09078
VALUEGOLD ETF-U 0 $ 09081
VANGUARDAXJHY-U 0 $ 09085
BMO NASDAQ100-U 0 $ 09086
CAM HS TECH-U 0 $ 09088
A NIKKOAMGAME-U 0 $ 09091
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
ICBCCSOPCHINA-U 0 $ 09167
VANGUARDCHINA-U 0 $ 09169
ISHARESKS200-U 0 $ 09170
PP CN NEWECON-U 0 $ 09173
PREMIAASIATEC-U 0 $ 09181
Page 20
Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CICCKRANECNET-U 0 $ 09186
SAMSUNG REITS-U 0 $ 09187
GX CN SEMICON-U 0 $ 09191
JD-SW 11,577,489 $ 3,709,427,4769618
NONGFU SPRING 8,333,200 $ 398,326,9609633
ZAI LAB-SB 0 $ 09688
GDS-SW 0 $ 09698
PP BEDROCK-U 0 $ 09803
PREMIA VIET-U 0 $ 09804
VANGUARDASXJP-U 0 $ 09805
GX CN CONSUME-U 0 $ 09806
GX CN ROBO&AI-U 0 $ 09807
GX CN CLN EN-U 0 $ 09809
PREMIAEMASEAN-U 0 $ 09810
SAMSUNGCDGN-U 0 $ 09812
GX CN BIOTECH-U 0 $ 09820
GX CN CLOUD-U 0 $ 09826
ISHARESND100-U 0 $ 09834
ISHARES INDIA-U 0 $ 09836
GX CN ELE VEH-U 0 $ 09845
ISHARESCSI300-U 0 $ 09846
POWERLONG CM 6,422,080 $ 151,561,0889909
JIUMAOJIU 29,021,792 $ 645,734,8729922
YEAHKA 6,686,000 $ 243,036,1009923
AKESO-B 8,293,375 $ 276,169,3889926
TIMES NEIGHBOR 14,605,199 $ 107,640,3179928
KINTOR PHARMA-B 231,500 $ 2,727,0709939
ALPHAMAB-B 11,553,869 $ 174,694,4999966
HUIJING HLDGS 3,840,000 $ 7,910,4009968
INNOCARE-B 2,194,631 $ 28,442,4189969
CC NEW LIFE 392,000 $ 2,453,9209983
YUM CHINA-S 764,465 $ 348,290,2549987
BABA-SW 34,976,976 $ 8,940,115,0669988
HEPALINK 1,461,000 $ 17,707,3209989
PEIJIA-B 3,655,000 $ 89,182,0009996
KANGJI MEDICAL 1,908,500 $ 31,070,3809997
NTES-S 14,144,009 $ 2,007,034,8779999
BAY AREA DEV-R 0 $ 080737
VANGUARDASXJP-R 0 $ 082805
HT CSI300 ETF-R 0 $ 082811
CAM CTPB BOND-R 0 $ 082813
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Aggregated Reportable Short Positions of Specified Shares as of 18/12/2020
Stock Code Stock NameAggregated Reportable
Short Positions (Shares)
Aggregated Reportable
Short Positions (HK$)
CSOP A50 ETF-R 371,400 $ 6,941,46682822
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
CSOPCSI500ETF-R 0 $ 083005
ISHARES AXJ-R 0 $ 083010
AMUNDI HK35-R 0 $ 083012
HT CH A ESG-R 0 $ 083031
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 CSI300-R 0 $ 083100
VANGUARDDVEUR-R 0 $ 083101
ISHARESHSI-R 0 $ 083115
HGI MSCI CN A-R 0 $ 083118
CSOP RMB MM-R 0 $ 083122
VANGUARDJAPAN-R 0 $ 083126
GX CSI300-R 0 $ 083127
HS AINDTOPETF-R 0 $ 083128
HS CSI300-R 0 $ 083130
VANGUARDSP500-R 0 $ 083140
CSOP CHINEXT-R 0 $ 083147
CSOP MSCI-R 0 $ 083149
ICBCCSOPCHINA-R 0 $ 083167
HS RMB GOLD ETF 0 $ 083168
VANGUARDCHINA-R 0 $ 083169
ISHARESKS200-R 0 $ 083170
CICCKRANECNET-R 0 $ 083186
CAM CSI300-R 0 $ 083188
CAM MSCI AINC-R 0 $ 083197
CSOP CTPBBOND-R 0 $ 083199
HUI XIAN REIT 0 $ 087001
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