Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
1-PAGE LTD ORDINARY
1PG
1,395,078
151,442,681
0.92
3P LEARNING LTD ORDINARY
3PL
239,537
139,234,170
0.17
A.P. EAGERS LIMITED ORDINARY
APE
397
191,309,301
0.00
ABACUS PROPERTY GRP. UNITS/ORD STAPLED
ABP
3,425,557
579,794,770
0.59
ACCENT GROUP LTD ORDINARY
AX1
630,538
542,291,224
0.12
ACN 004410833 LTD ORDINARY
ARI
67,621
2,937,293,755
0.00
ACRUX LIMITED ORDINARY
ACR
671,473
166,521,711
0.40
ADAIRS LIMITED ORDINARY
ADH
334,350
165,874,785
0.20
ADELAIDE BRIGHTON ORDINARY
ABC
10,053,882
650,610,606
1.55
AFTERPAY TOUCH ORDINARY
APT
7,091,658
226,879,118
3.13
AGL ENERGY LIMITED. ORDINARY
AGL
4,725,687
655,825,043
0.72
AINSWORTH GAME TECH. ORDINARY
AGI
9,688,154
332,512,925
2.91
AIRXPANDERS, INC. CDI 1:3
AXP
3,379,945
557,552,670
0.61
ALACER GOLD CORP. CDI 1:1
AQG
149,860
94,940,182
0.16
ALE PROPERTY GROUP STAPLED SECURITIES
LEP
624,450
195,769,080
0.32
ALKANE RESOURCES LTD ORDINARY
ALK
318,107
506,096,222
0.06
ALS LTD ORDINARY
ALQ
4,012,344
490,445,771
0.82
ALTIUM LIMITED ORDINARY
ALU
170,007
130,382,478
0.13
ALTURA MINING LTD ORDINARY
AJM
30,524,392
1,819,866,474
1.68
ALUMINA LIMITED ORDINARY
AWC
39,408,097
2,879,843,498
1.37
AMA GROUP LIMITED ORDINARY
AMA
9,807,839
527,682,865
1.86
17/09/2018 8:59:07 AM
1
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
AMAYSIM AUS LTD ORDINARY
AYS
5,980,771
210,792,810
2.84
AMCOR LIMITED ORDINARY
AMC
41,605,925
1,158,141,276
3.59
AMP LIMITED ORDINARY
AMP
147,072,038
2,918,469,137
5.04
ANSELL LIMITED ORDINARY
ANN
3,832,745
142,280,089
2.69
ANTIPA MINERALS LTD ORDINARY
AZY
3,375,000
1,805,506,628
0.19
ANZ BANKING GRP LTD ORDINARY
ANZ
23,470,537
2,873,618,118
0.82
APA GROUP STAPLED SECURITIES
APA
2,070,805
1,179,893,848
0.18
APN OUTDOOR GRP ORDINARY
APO
338,889
167,005,841
0.20
APPEN LIMITED ORDINARY
APX
1,149,532
106,449,181
1.08
ARB CORPORATION. ORDINARY
ARB
906,907
79,343,950
1.14
ARDEA RESOURCES LTD ORDINARY
ARL
19,970
99,939,862
0.02
ARDENT LEISURE GROUP STAPLED SECURITIES
AAD
17,409,893
479,706,016
3.63
ARENA REIT. STAPLED
ARF
240,772
270,264,611
0.09
ARGOSY MINERALS LTD ORDINARY
AGY
40,000
923,496,575
0.00
ARISTOCRAT LEISURE ORDINARY
ALL
857,388
638,544,150
0.13
ARQ GROUP LIMITED ORDINARY
ARQ
1,383,504
118,498,546
1.17
ARTEMIS RESOURCES ORDINARY
ARV
1,885,548
634,693,770
0.30
ASALEO CARE LIMITED ORDINARY
AHY
23,944,738
543,122,491
4.41
ASX LIMITED ORDINARY
ASX
3,008,901
193,595,162
1.55
ATLAS ARTERIA ORDINARY STAPLED
ALX
28,333,804
683,264,739
4.15
AUB GROUP LTD ORDINARY
AUB
275
63,846,476
0.00
17/09/2018 8:59:07 AM
2
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
AUCKLAND INTERNATION ORD FOR.EXEMPT NZX
AIA
631,743
1,202,572,583
0.05
AURIZON HOLDINGS LTD ORDINARY
AZJ
17,867,707
1,990,128,332
0.90
AUSCANN GRP HLGS LTD ORDINARY
AC8
515,740
176,382,702
0.29
AUSDRILL LIMITED ORDINARY
ASL
20,909,799
479,795,170
4.36
AUSNET SERVICES LTD ORDINARY
AST
54,176,992
3,614,346,765
1.50
AUST CAREERS NETWORK ORDINARY
ACO
210,730
83,748,775
0.25
AUST FINANCE GRP ORDINARY
AFG
2,651,274
214,812,671
1.23
AUST VINTAGE LTD ORDINARY
AVG
321,667
277,838,771
0.12
AUSTAL LIMITED ORDINARY
ASB
2,406,089
351,201,078
0.69
AUSTRALIAN AGRICULT. ORDINARY
AAC
45,624,573
602,766,747
7.57
AUSTRALIAN MINES LTD ORDINARY
AUZ
19,865
2,694,615,588
0.00
AUSTRALIAN PHARM. ORDINARY
API
19,583,723
492,428,532
3.98
AUSTRALIS OIL & GAS ORDINARY
ATS
290,256
894,799,814
0.03
AUTOMOTIVE HOLDINGS. ORDINARY
AHG
12,304,385
331,623,014
3.71
AUTOSPORTS GRP LTD. ORDINARY
ASG
752,613
201,000,000
0.37
AVENTUS RETAIL FUND UNIT
AVN
1,799,729
494,471,472
0.36
AVEO GROUP STAPLED SECURITIES
AOG
6,291,324
580,837,672
1.08
AVZ MINERALS LTD ORDINARY
AVZ
8,521
1,888,461,449
0.00
BABY BUNTING GRP LTD ORDINARY
BBN
139,539
125,980,596
0.11
BANK OF QUEENSLAND. ORDINARY
BOQ
19,255,815
397,311,850
4.85
BAPCOR LIMITED ORDINARY
BAP
9,750,802
280,244,752
3.48
17/09/2018 8:59:07 AM
3
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
BASE RES LIMITED ORDINARY
BSE
397,692
1,127,575,014
0.04
BATTERY MINERALS LTD ORDINARY
BAT
56,107
1,113,671,549
0.01
BCI MINERALS LTD ORDINARY
BCI
49,809
397,608,910
0.01
BEACH ENERGY LIMITED ORDINARY
BPT
52,989,732
2,277,030,477
2.33
BEACON LIGHTING GRP ORDINARY
BLX
6,373
217,162,678
0.00
BEADELL RESOURCE LTD ORDINARY
BDR
27,488,378
1,673,584,196
1.64
BEGA CHEESE LTD ORDINARY
BGA
10,956,921
185,054,790
5.92
BELLAMY'S AUSTRALIA ORDINARY
BAL
5,084,662
113,316,104
4.49
BENDIGO AND ADELAIDE ORDINARY
BEN
28,365,635
484,795,495
5.85
BERKELEY ENERGIA LTD ORDINARY
BKY
956,781
258,415,420
0.37
BETASHARES ASX RES ETF UNITS
QRE
5,231
10,716,287
0.05
BHP BILLITON LIMITED ORDINARY
BHP
64,624,887
3,211,691,105
2.01
BIG UN LTD ORDINARY
BIG
300,000
175,162,364
0.17
BIGTINCAN HLDGS LTD ORDINARY
BTH
174,176
180,533,659
0.10
BINGO INDUSTRIES LTD ORDINARY
BIN
40,556,444
553,604,086
7.33
BLACKHAM RESOURCES ORDINARY
BLK
511,346
1,265,518,664
0.04
BLACKMORES LIMITED ORDINARY
BKL
804,219
17,243,674
4.66
BLUE ENERGY LIMITED ORDINARY
BUL
209,207
1,175,811,066
0.02
BLUE SKY LIMITED ORDINARY
BLA
4,284,764
77,527,973
5.53
BLUESCOPE STEEL LTD ORDINARY
BSL
3,213,069
548,931,894
0.59
BOART LONGYEAR ORDINARY
BLY
13,222,160
26,289,795,231
0.05
17/09/2018 8:59:07 AM
4
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
BORAL LIMITED. ORDINARY
BLD
7,516,559
1,172,331,924
0.64
BOTANIX PHARMA LTD ORDINARY
BOT
1,243,286
757,424,658
0.16
BRAINCHIP LTD ORDINARY
BRN
495,680
984,080,489
0.05
BRAMBLES LIMITED ORDINARY
BXB
7,268,251
1,593,053,047
0.46
BRAVURA SOLUTION LTD ORDINARY
BVS
1,310,740
214,246,090
0.61
BREAKER RES NL ORDINARY
BRB
228,588
146,151,594
0.16
BREVILLE GROUP LTD ORDINARY
BRG
493,568
130,095,322
0.38
BRICKWORKS LIMITED ORDINARY
BKW
637,372
149,408,331
0.43
BUBS AUST LTD ORDINARY
BUB
814,389
393,546,807
0.21
BUDDY PLATFORM LTD ORDINARY
BUD
1,541,980
487,958,789
0.32
BURU ENERGY ORDINARY
BRU
4,680,706
432,074,241
1.08
BWP TRUST ORDINARY UNITS
BWP
13,840,991
642,383,803
2.15
BWX LIMITED ORDINARY
BWX
9,070,820
123,896,270
7.32
CABCHARGE AUSTRALIA ORDINARY
CAB
6,929,976
120,430,683
5.75
CALTEX AUSTRALIA ORDINARY
CTX
2,288,334
260,810,519
0.88
CANN GROUP LTD ORDINARY
CAN
50,044
106,876,630
0.05
CAPITOL HEALTH ORDINARY
CAJ
102,290
805,964,199
0.01
CARDINAL RESO LTD ORDINARY
CDV
1,043,957
378,198,580
0.28
CARDNO LIMITED ORDINARY
CDD
1,282,131
462,646,239
0.28
CARNARVON PETROLEUM ORDINARY
CVN
3,743,230
1,189,888,259
0.31
CARSALES.COM LTD. ORDINARY
CAR
4,109,130
242,982,207
1.69
17/09/2018 8:59:07 AM
5
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
CASH CONVERTERS ORDINARY
CCV
675,141
616,437,946
0.11
CATAPULT GRP INT LTD ORDINARY
CAT
2,843,506
190,895,116
1.49
CEDAR WOODS PROP. ORDINARY
CWP
948,342
79,516,567
1.19
CELSIUS RESOURCE LTD ORDINARY
CLA
1,399,995
716,669,394
0.20
CENTURIA I REIT ORDINARY UNITS
CIP
1,849,704
248,357,166
0.74
CENTURIA METRO REIT ORDINARY UNITS
CMA
100,394
242,792,166
0.04
CHALLENGER LIMITED ORDINARY
CGF
23,242,738
610,855,731
3.80
CHAMPION IRON LTD ORDINARY
CIA
115,970
419,119,747
0.03
CHANGE FINANCIAL LTD ORDINARY
CCA
291,039
85,635,819
0.34
CHARTER HALL GROUP STAPLED US PROHIBIT.
CHC
4,192,004
465,777,131
0.90
CHARTER HALL RETAIL UNITS
CQR
18,558,905
402,733,504
4.61
CHORUS LIMITED ORD FOR.EXEMPT NZX
CNU
399,759
429,641,197
0.09
CHTR H LWR DEFERRED SETTLEMENT
CLWDC
3,857
232,300,142
0.00
CHTR H LWR STAPLED
CLW
692,248
232,300,142
0.30
CIMIC GROUP LTD ORDINARY
CIM
723,527
324,254,097
0.22
CIRRUS NET HOLD LTD ORDINARY
CNW
711,850
817,157,506
0.09
CLASS LIMITED ORDINARY
CL1
2,985,314
117,662,056
2.54
CLEAN TEQ HLDGS LTD ORDINARY
CLQ
37,165,214
745,416,748
4.99
CLEANAWAY WASTE LTD ORDINARY
CWY
8,504,687
2,037,052,414
0.42
COBALT BLUE LTD ORDINARY
COB
18,600
95,666,350
0.02
COCA-COLA AMATIL ORDINARY
CCL
21,458,197
723,999,699
2.96
17/09/2018 8:59:07 AM
6
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
COCHLEAR LIMITED ORDINARY
COH
392,100
57,684,616
0.68
COLLECTION HOUSE ORDINARY
CLH
6,272,901
137,152,058
4.57
COLLINS FOODS LTD ORDINARY
CKF
355,482
116,511,655
0.31
COMMONWEALTH BANK. CN 3M PER Q RD T-24
CBAPG
350
13,650,000
0.00
COMMONWEALTH BANK. ORDINARY
CBA
24,629,848
1,759,842,930
1.40
COMPUTERSHARE LTD ORDINARY
CPU
11,447,924
542,955,868
2.11
CONCENTRATED LEADERS ORDINARY
CLF
3
59,401,545
0.00
CONTACT ENERGY LTD ORD FOR. EXEMPT NZX
CEN
6,952
183,477,639
0.00
COOPER ENERGY LTD ORDINARY
COE
72,716,688
1,601,078,757
4.54
CORP TRAVEL LIMITED ORDINARY
CTD
4,268,066
108,258,040
3.94
COSTA GROUP HOLDINGS ORDINARY
CGC
6,642,616
319,870,002
2.08
COVATA LTD ORDINARY
CVT
594,313
673,021,165
0.09
CREDIT CORP GROUP ORDINARY
CCP
2,294,095
47,709,025
4.81
CROMWELL PROP STAPLED SECURITIES
CMW
53,230,374
1,988,868,329
2.68
CROWN RESORTS LTD ORDINARY
CWN
7,474,139
687,421,194
1.09
CSG LIMITED ORDINARY
CSV
2,410,599
408,908,095
0.59
CSL LIMITED ORDINARY
CSL
420,387
452,679,660
0.09
CSR LIMITED ORDINARY
CSR
44,216,642
504,308,227
8.77
CUDECO LIMITED ORDINARY
CDU
181,148
394,278,197
0.05
CYBG PLC CDI 1:1FOREXEMPT LSE
CYB
20,550,366
773,486,518
2.66
DACIAN GOLD LTD ORDINARY
DCN
7,530,502
223,964,210
3.36
17/09/2018 8:59:07 AM
7
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
DANAKALI LIMITED ORDINARY
DNK
414
264,197,463
0.00
DECMIL GROUP LIMITED ORDINARY
DCG
258,193
200,757,279
0.13
DEXUS STAPLED UNITS
DXS
9,381,308
1,017,196,877
0.92
DICKER DATA LIMITED ORDINARY
DDR
35,770
160,644,767
0.02
DOMAIN HOLDINGS AUS ORDINARY
DHG
17,373,901
580,494,798
2.99
DOMINO PIZZA ENTERPR ORDINARY
DMP
11,843,760
85,468,640
13.86
DONACO INTERNATIONAL ORDINARY
DNA
427,953
823,592,773
0.05
DOWNER EDI LIMITED ORDINARY
DOW
11,042,692
594,702,512
1.86
DROPSUITE LTD ORDINARY
DSE
10,265
227,055,453
0.00
DULUXGROUP LIMITED ORDINARY
DLX
2,275,406
389,250,252
0.58
EASTERN GOLDFIELDS ORDINARY
EGS
18,657
761,784,738
0.00
EBOS GROUP LTD ORDINARY
EBO
36,859
152,539,304
0.02
ECLIPX GROUP LTD ORDINARY
ECX
15,195,199
319,636,693
4.75
EDEN INV LTD ORDINARY
EDE
4,833,052
1,451,186,016
0.33
ELDERS LIMITED ORDINARY
ELD
1,257,391
115,818,637
1.09
EMECO HOLDINGS ORDINARY
EHL
4,481,681
3,178,858,997
0.14
EML PAYMENTS LTD ORDINARY
EML
4,938,084
248,374,468
1.99
ENERGY RESOURCES ORDINARY 'A'
ERA
1,705,903
517,725,062
0.33
ENERGY WORLD CORPOR. ORDINARY
EWC
38,917,400
1,795,631,672
2.17
ERM POWER LIMITED ORDINARY
EPW
220,103
255,421,056
0.09
ESERVGLOBAL LIMITED ORDINARY
ESV
2
906,850,662
0.00
17/09/2018 8:59:07 AM
8
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
ESTIA HEALTH LTD ORDINARY
EHE
2,741,403
260,602,749
1.05
EUREKA GROUP LTD ORDINARY
EGH
330
230,037,638
0.00
EVOLUTION MINING LTD ORDINARY
EVN
8,964,464
1,696,963,179
0.53
EXPERIENCE CO LTD ORDINARY
EXP
212,760
549,055,083
0.04
FAIRFAX MEDIA LTD ORDINARY
FXJ
14,923,213
2,299,475,546
0.65
FAR LTD ORDINARY
FAR
126,592,659
5,461,532,458
2.32
FASTBRICK ROBOTICS ORDINARY
FBR
9,380,472
1,061,197,577
0.88
FISHER & PAYKEL H. ORD FOR. EXEMPT NZX
FPH
4,347,796
572,526,644
0.76
FLETCHER BUILDING ORD FOR. EXEMPT NZX
FBU
13,498,499
853,347,141
1.58
FLEXIGROUP LIMITED ORDINARY
FXL
3,441,729
374,277,178
0.92
FLIGHT CENTRE TRAVEL ORDINARY
FLT
6,328,790
101,077,196
6.26
FLUENCE CORPORATION ORDINARY
FLC
583,122
436,868,166
0.13
FOLKESTONE EDU TRUST UNITS
FET
4,879,344
256,416,514
1.90
FONTERRA SHARE FUND UNIT FOR EXEMPT NZX
FSF
393,152
106,598,983
0.37
FORTESCUE METALS GRP ORDINARY
FMG
57,558,940
3,113,798,151
1.85
FREEDOM FOOD LTD ORDINARY
FNP
2,395,595
243,983,810
0.98
G.U.D. HOLDINGS ORDINARY
GUD
216,380
86,485,972
0.25
G8 EDUCATION LIMITED ORDINARY
GEM
46,054,372
453,474,679
10.16
GALAXY RESOURCES ORDINARY
GXY
65,923,681
407,524,024
16.18
GALILEE ENERGY LTD ORDINARY
GLL
3,077
204,012,690
0.00
GASCOYNE RES LTD ORDINARY
GCY
311,519
498,668,695
0.06
17/09/2018 8:59:07 AM
9
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
GATEWAY LIFESTYLE STAPLED
GTY
3,175,694
303,726,580
1.05
GBST HOLDINGS.. ORDINARY
GBT
503
67,912,508
0.00
GDI PROPERTY GRP STAPLED SECURITIES
GDI
1,160,806
539,612,880
0.22
GENWORTH MORTGAGE ORDINARY
GMA
31,994,722
437,464,832
7.31
GETSWIFT LIMITED ORDINARY
GSW
1,909,331
100,588,056
1.90
GLOBAL GEOSCIENCE ORDINARY
GSC
7,727,579
1,469,497,083
0.53
GOLD ROAD RES LTD ORDINARY
GOR
33,415,155
877,498,274
3.81
GOODMAN GROUP STAPLED
GMG
6,665,429
1,813,881,995
0.37
GPT GROUP STAPLED SEC.
GPT
9,616,071
1,804,890,426
0.53
GRAINCORP LIMITED A CLASS ORDINARY
GNC
13,882,143
228,855,628
6.07
GREENCROSS LIMITED ORDINARY
GXL
13,389,142
120,140,130
11.14
GREENLAND MINERALS ORDINARY
GGG
802,659
1,107,040,693
0.07
GROWTHPOINT PROPERTY ORD/UNIT STAPLED SEC
GOZ
11,785,679
688,431,191
1.71
GTN LIMITED ORDINARY
GTN
1,299,462
224,720,643
0.58
GWA GROUP LTD ORDINARY
GWA
6,104,795
263,947,630
2.31
HANSEN TECHNOLOGIES ORDINARY
HSN
1,898,973
196,748,230
0.97
HARVEY NORMAN ORDINARY
HVN
122,566,999
1,114,188,911
11.00
HARVEY NORMAN RIGHTS 08-OCT-18
HVNRA
1,816,963
65,540,524
2.77
HAVILAH RESOURCES ORDINARY
HAV
10,589
218,249,052
0.00
HEALTHSCOPE LIMITED. ORDINARY
HSO
24,373,752
1,739,703,286
1.40
HELLOWORLD TRAVL LTD ORDINARY
HLO
20,000
124,508,076
0.02
17/09/2018 8:59:07 AM
10
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
HIGHFIELD RES LTD ORDINARY
HFR
5,054,446
329,475,003
1.53
HOMELOANS LIMITED ORDINARY
HOM
544
399,347,732
0.00
HORIZON OIL LIMITED ORDINARY
HZN
600,842
1,301,981,265
0.05
HOTEL PROPERTY STAPLED
HPI
223,714
146,105,439
0.15
HT&E LIMITED ORDINARY
HT1
18,182,672
308,912,092
5.89
HUB24 LTD ORDINARY
HUB
633,961
61,948,666
1.02
HUON AQUACULTURE GRP ORDINARY
HUO
586,943
87,337,207
0.67
ICAR ASIA LTD ORDINARY
ICQ
13,837
382,603,867
0.00
IDP EDUCATION LTD ORDINARY
IEL
2,886,372
254,444,968
1.13
ILUKA RESOURCES ORDINARY
ILU
2,322,342
422,042,226
0.55
IMDEX LIMITED ORDINARY
IMD
141,976
369,654,426
0.04
IMF BENTHAM LTD ORDINARY
IMF
7,120,030
177,428,748
4.01
IMMUTEP LTD ORDINARY
IMM
3,943,900
3,026,082,669
0.13
IMPEDIMED LIMITED ORDINARY
IPD
20,222,859
378,908,655
5.34
IMUGENE LIMITED ORDINARY
IMU
2
3,599,845,520
0.00
INCITEC PIVOT ORDINARY
IPL
15,753,748
1,635,008,039
0.96
INDEPENDENCE GROUP ORDINARY
IGO
55,193,081
590,473,025
9.35
INDIORE LTD ORDINARY
IOR
3
225,879,182
0.00
INDUSTRIA REIT STAPLED
IDR
1,539
162,839,743
0.00
INFIGEN ENERGY STAPLED SECURITIES
IFN
25,103,922
956,561,869
2.62
INFOMEDIA LTD ORDINARY
IFM
1,843
311,209,103
0.00
17/09/2018 8:59:07 AM
11
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
INGENIA GROUP STAPLED SECURITIES
INA
677,122
208,091,633
0.33
INGHAMS GROUP ORDINARY
ING
47,913,791
380,243,196
12.60
INSURANCE AUSTRALIA ORDINARY
IAG
5,794,854
2,367,524,344
0.24
INTEGRATED RESEARCH ORDINARY
IRI
503,294
171,770,753
0.29
INVESTA OFFICE FUND STAPLED SECURITIES
IOF
2,007,719
598,418,985
0.34
INVOCARE LIMITED ORDINARY
IVC
9,496,859
110,030,298
8.63
IOOF HOLDINGS LTD ORDINARY
IFL
32,664,952
351,076,027
9.30
IPH LIMITED ORDINARY
IPH
4,451,097
197,341,566
2.26
IRESS LIMITED ORDINARY
IRE
4,206,902
173,141,082
2.43
ISELECT LTD ORDINARY
ISU
8,358,838
218,542,829
3.82
ISENTIA GROUP LTD ORDINARY
ISD
4,265,841
200,000,001
2.13
ISHARES MID-CAP ETF DEFERRED SETTLEMENT
IJHDA
1,900
563,684
0.34
ISHARES MSCI SK ETF CDI 1:1
IKO
31,733
455,672
6.96
ISIGNTHIS LTD ORDINARY
ISX
250,000
1,004,975,492
0.02
IVEGROUP ORDINARY
IGL
115,179
148,103,655
0.08
JAMES HARDIE INDUST CHESS DEPOSITARY INT
JHX
4,908,433
441,524,118
1.11
JANUS HENDERSON CDI 1:1
JHG
1,607,664
71,933,399
2.23
JAPARA HEALTHCARE LT ORDINARY
JHC
10,135,006
265,887,509
3.81
JB HI-FI LIMITED ORDINARY
JBH
22,315,941
114,883,372
19.42
KAROON GAS AUSTRALIA ORDINARY
KAR
15,373,156
245,721,153
6.26
KIDMAN RESOURCES LTD ORDINARY
KDR
17,704,807
398,560,792
4.44
17/09/2018 8:59:07 AM
12
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
KIN MIN NL ORDINARY
KIN
131,994
324,730,577
0.04
KINGSGATE CONSOLID. ORDINARY
KCN
189,970
226,225,940
0.08
KLEOS CDI 1:1
KSS
399,964
71,072,500
0.56
KNEOMEDIA LIMITED ORDINARY
KNM
868,801
638,987,847
0.14
KOGAN.COM LTD ORDINARY
KGN
843,578
93,708,139
0.90
LENDLEASE GROUP UNIT/ORD STAPLED
LLC
4,777,819
574,260,939
0.83
LINK ADMIN HLDG ORDINARY
LNK
10,110,054
529,542,847
1.91
LIQUEFIED NATURAL ORDINARY
LNG
23,620,770
570,986,206
4.14
LITHIUM AUSTRALIA NL ORDINARY
LIT
2,388,872
435,520,233
0.55
LITHIUM PWR INT LTD ORDINARY
LPI
186,444
262,513,903
0.07
LONGTABLE GROUP LTD ORDINARY
LON
422,760
122,722,043
0.34
LOVISA HOLDINGS LTD ORDINARY
LOV
1,198,145
105,566,000
1.13
LYNAS CORPORATION ORDINARY
LYC
19,309,609
662,547,136
2.91
MACA LIMITED ORDINARY
MLD
7,970,382
268,007,708
2.97
MACQUARIE GROUP LTD ORDINARY
MQG
194,678
340,382,738
0.06
MAGELLAN FIN GRP LTD ORDINARY
MFG
3,854,492
176,211,167
2.19
MAGNIS RESOURCE LTD ORDINARY
MNS
1,812,246
602,878,488
0.30
MARLEY SPOON CDI 1000:1
MMM
176,623
115,698,000
0.15
MAYNE PHARMA LTD ORDINARY
MYX
23,907,973
1,570,877,779
1.52
MCMILLAN SHAKESPEARE ORDINARY
MMS
275,797
83,204,720
0.33
MEDIBANK PRIVATE LTD ORDINARY
MPL
17,667,621
2,754,003,240
0.64
17/09/2018 8:59:07 AM
13
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
MEDIBIO LIMITED ORDINARY
MEB
514,957
202,628,271
0.25
MEDICAL DEVELOPMENTS ORDINARY
MVP
75,115
63,422,092
0.12
MEDUSA MINING LTD ORDINARY
MML
34,461
207,794,301
0.02
MEGAPORT LIMITED ORDINARY
MP1
29,884
117,977,229
0.03
MERCURY NZ LIMITED ORD FOR.EXEMPT NZX
MCY
1,964
1,362,023,932
0.00
MERIDIAN ENERGY ORD FOR. EXEMPT NZX
MEZ
127,600
1,255,413,626
0.01
MESOBLAST LIMITED ORDINARY
MSB
25,703,768
482,639,654
5.33
METALS X LIMITED ORDINARY
MLX
49,171,478
689,060,508
7.14
METCASH LIMITED ORDINARY
MTS
105,082,815
909,256,748
11.56
METRO MINING LTD ORDINARY
MMI
2
1,384,207,029
0.00
MICHAEL HILL INT ORDINARY
MHJ
641,876
387,438,513
0.17
MINCOR RESOURCES NL ORDINARY
MCR
84,994
220,168,200
0.04
MINERAL RESOURCES. ORDINARY
MIN
7,573,468
187,701,751
4.03
MIRVAC GROUP STAPLED SECURITIES
MGR
41,830,774
3,716,224,081
1.13
MMAOFFSHOR ORDINARY
MRM
19,149,658
858,077,084
2.23
MNF GROUP LTD ORDINARY
MNF
51,893
73,198,908
0.07
MOD RESOURCES LTD ORDINARY
MOD
1,090,466
231,482,620
0.47
MOELIS AUSTRALIA LTD ORDINARY
MOE
16,710
153,809,776
0.01
MONADELPHOUS GROUP ORDINARY
MND
5,626,844
94,108,311
5.98
MONASH IVF GROUP LTD ORDINARY
MVF
1,311,782
235,580,943
0.56
MONEY3 CORPORATION ORDINARY
MNY
1,569,107
176,610,667
0.89
17/09/2018 8:59:07 AM
14
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
MORTGAGE CHOICE LTD ORDINARY
MOC
8,390,723
124,997,440
6.71
MOUNT GIBSON IRON ORDINARY
MGX
6,354,776
1,099,560,867
0.58
MYANMAR METALS ORDINARY
MYL
349,968
1,247,181,166
0.03
MYER HOLDINGS LTD ORDINARY
MYR
93,492,107
821,278,815
11.38
MYOB GROUP LTD ORDINARY
MYO
37,554,158
590,802,148
6.36
MYSTATE LIMITED ORDINARY
MYS
127,181
90,324,100
0.14
NANOSONICS LIMITED ORDINARY
NAN
24,231,055
299,345,079
8.09
NATIONAL AUST. BANK ORDINARY
NAB
17,622,954
2,734,108,441
0.64
NATIONAL STORAGE STAPLED
NSR
15,498,466
647,649,993
2.39
NATIONAL VETERINARY ORDINARY
NVL
1,492
59,001,360
0.00
NAVIGATOR GLOBAL LTD ORDINARY
NGI
571,286
162,147,897
0.35
NAVITAS LIMITED ORDINARY
NVT
8,325,729
358,192,235
2.32
NEARMAP LTD ORDINARY
NEA
660,530
396,117,084
0.17
NEOMETALS LTD ORDINARY
NMT
2,109,737
543,947,221
0.39
NETCOMM WIRELESS ORDINARY
NTC
2,004,012
146,329,906
1.37
NETWEALTH GROUP ORDINARY
NWL
15,006,419
237,679,817
6.31
NEW CENTURY RESOURCE ORDINARY
NCZ
3,156,682
503,972,048
0.63
NEWCREST MINING ORDINARY
NCM
5,838,343
767,742,814
0.76
NEWS CORP.. A NON-VOTING CDI
NWSLV
71,700
13,631,212
0.53
NEWS CORP.. B VOTING CDI
NWS
5,057,005
51,794,454
9.76
NEXTDC LIMITED ORDINARY
NXT
17,576,757
342,252,120
5.14
17/09/2018 8:59:07 AM
15
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
NIB HOLDINGS LIMITED ORDINARY
NHF
6,128,692
454,848,869
1.35
NICK SCALI LIMITED ORDINARY
NCK
582,491
81,000,000
0.72
NINE ENTERTAINMENT ORDINARY
NEC
68,478,617
871,373,191
7.86
NORTHERN STAR ORDINARY
NST
14,226,335
639,454,848
2.22
NRW HOLDINGS LIMITED ORDINARY
NWH
651,857
370,628,872
0.18
NUFARM LIMITED ORDINARY
NUF
30,626,648
327,704,975
9.35
NUHEARA LIMITED ORDINARY
NUH
66,767
891,473,723
0.01
NZME LIMITED ORD FOR. EXEMPT NZX
NZM
25,033
196,011,282
0.01
OCEANAGOLD CORP. CHESS DEPOSITARY INT
OGC
460,473
618,006,415
0.07
OFX GROUP LTD ORDINARY
OFX
2,165,630
242,522,677
0.89
OIL SEARCH LTD ORDINARY
OSH
6,588,640
1,523,631,192
0.43
OM HOLDINGS LIMITED ORDINARY
OMH
175,052
738,623,337
0.02
ONEMARKET ORDINARY
OMN
61,621
93,849,350
0.07
ONEVIEW HEALTHCARE CDI 1:1
ONE
1
66,960,003
0.00
OOH!MEDIA LIMITED ORDINARY
OML
2,953,132
236,640,789
1.25
ORCODA LIMITED ORDINARY
ODA
168
89,476,032
0.00
ORICA LIMITED ORDINARY
ORI
14,544,939
379,214,789
3.84
ORIGIN ENERGY ORDINARY
ORG
3,699,589
1,759,441,775
0.21
OROCOBRE LIMITED ORDINARY
ORE
43,679,583
260,710,716
16.75
ORORA LIMITED ORDINARY
ORA
4,595,248
1,206,684,923
0.38
OZ MINERALS ORDINARY
OZL
4,294,456
322,899,831
1.33
17/09/2018 8:59:07 AM
16
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
PACT GROUP HLDGS LTD ORDINARY
PGH
7,460,398
332,483,890
2.24
PALADIN ENERGY LTD ORDINARY
PDN
2,418,428
1,713,014,185
0.14
PANORAMIC RESOURCES ORDINARY
PAN
293,731
494,527,982
0.06
PARAGON CARE LIMITED ORDINARY
PGC
135,730
285,704,186
0.05
PEEL MINING LIMITED ORDINARY
PEX
100,504
184,135,969
0.05
PENDAL GROUP LTD ORDINARY
PDL
7,734,042
318,006,576
2.43
PENGANA CAPITAL ORDINARY
PCG
4,866
102,672,162
0.00
PENINSULA ENERGY LTD ORDINARY
PEN
648,993
237,178,515
0.27
PERPETUAL LIMITED ORDINARY
PPT
2,214,304
46,574,426
4.75
PERSEUS MINING LTD ORDINARY
PRU
12,324,216
1,034,911,649
1.19
PHOSLOCK ENV TEC LTD ORDINARY
PET
543,056
497,191,581
0.11
PIEDMONT LITHIUM LTD ORDINARY
PLL
66,232
559,230,352
0.01
PILBARA MIN LTD ORDINARY
PLS
119,358,852
1,744,513,405
6.84
PINNACLE INVESTMENT ORDINARY
PNI
6,677
176,645,000
0.00
PLATINA RESOURCES ORDINARY
PGM
50,000
264,126,235
0.02
PLATINUM ASSET ORDINARY
PTM
24,238,650
586,678,900
4.13
PRAEMIUM LIMITED ORDINARY
PPS
29,405
400,468,586
0.01
PREMIER INVESTMENTS ORDINARY
PMV
1,636,024
158,099,744
1.03
PRIMARY HEALTH CARE ORDINARY
PRY
19,734,009
584,411,628
3.38
PRIME MEDIA GRP LTD ORDINARY
PRT
69,642
366,330,303
0.02
PRIMERO GROUP ORDINARY
PGX
218,062
149,315,600
0.15
17/09/2018 8:59:07 AM
17
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
PRO MEDICUS LIMITED ORDINARY
PME
28,310
103,616,518
0.03
PROPERTYLINK GRP STAPLED US PROHIBIT
PLG
2,352,912
602,780,330
0.39
PUSHPAY HOLDINGS LTD ORD FOR. EXEMPT NZX
PPH
641,046
274,633,856
0.23
PWR HOLDINGS LIMITED ORDINARY
PWH
1,782
100,000,000
0.00
QANTAS AIRWAYS ORDINARY
QAN
4,293,854
1,683,567,880
0.26
QBE INSURANCE GROUP ORDINARY
QBE
18,614,390
1,349,265,477
1.38
QUBE HOLDINGS LTD ORDINARY
QUB
62,680,247
1,604,988,151
3.91
QUINTIS LTD ORDINARY
QIN
32,322,933
390,291,753
8.28
QV EQUITIES LIMITED ORDINARY
QVE
103
275,536,547
0.00
RAMELIUS RESOURCES ORDINARY
RMS
1,294,648
528,509,008
0.24
RAMSAY HEALTH CARE ORDINARY
RHC
7,282,245
202,081,252
3.60
RCR TOMLINSON ORDINARY
RCR
8,639,605
235,193,746
3.67
REA GROUP ORDINARY
REA
2,222,482
131,714,699
1.69
RECKON LIMITED ORDINARY
RKN
37,787
113,294,832
0.03
RED RIVER RESOURCES ORDINARY
RVR
1,452,247
489,932,000
0.30
REDBUBBLE LIMITED ORDINARY
RBL
362,844
212,940,096
0.17
REGIS HEALTHCARE LTD ORDINARY
REG
7,964,951
300,534,519
2.65
REGIS RESOURCES ORDINARY
RRL
7,298,023
505,529,672
1.44
RELIANCE WORLDWIDE ORDINARY
RWC
28,934,986
790,094,765
3.66
RESMED INC CDI 10:1 FOR. EXEMP
RMD
1,164,037
1,426,796,321
0.08
RESOLUTE MINING ORDINARY
RSG
47,951,959
757,512,088
6.33
17/09/2018 8:59:07 AM
18
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
RETAIL FOOD GROUP ORDINARY
RFG
9,060,893
182,745,510
4.96
REVA MEDICAL, INC CDI 10:1
RVA
372,700
414,545,260
0.09
RIDLEY CORPORATION ORDINARY
RIC
847,270
307,817,071
0.28
RIO TINTO LIMITED ORDINARY
RIO
6,422,124
412,414,348
1.56
RTG MINING INC. CDI 1:1
RTG
90,418
435,676,799
0.02
RURAL FUNDS GROUP STAPLED
RFF
78,623
332,706,295
0.02
RXP SERVICES LTD ORDINARY
RXP
45,358
161,097,185
0.03
S2 RESOURCES ORDINARY
S2R
1,388,929
247,915,179
0.56
SANDFIRE RESOURCES ORDINARY
SFR
9,334,597
159,222,038
5.86
SANTOS LTD ORDINARY
STO
3,957,189
2,082,911,041
0.19
SARACEN MINERAL ORDINARY
SAR
24,553,231
820,249,271
2.99
SCA PROPERTY GROUP STAPLED SECURITIES
SCP
16,263,438
753,994,500
2.16
SCENTRE GRP STAPLED
SCG
15,118,750
5,316,997,206
0.28
SCOTT PAC GROUP LTD ORDINARY
SCO
349,868
139,191,601
0.25
SEAFARMS GROUP LTD ORDINARY
SFG
76,178
1,666,970,688
0.00
SEALINK TRAVEL GRP ORDINARY
SLK
645,870
101,154,103
0.64
SEEK LIMITED ORDINARY
SEK
21,966,531
351,135,882
6.26
SELECT HARVESTS ORDINARY
SHV
608,954
95,226,349
0.64
SENEX ENERGY LIMITED ORDINARY
SXY
19,322,514
1,448,730,505
1.33
SERVCORP LIMITED ORDINARY
SRV
206,680
98,432,275
0.21
SERVICE STREAM ORDINARY
SSM
1,056,378
360,210,223
0.29
17/09/2018 8:59:07 AM
19
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
SEVEN GROUP HOLDINGS ORDINARY
SVW
9,697,833
316,485,208
3.06
SEVEN WEST MEDIA LTD ORDINARY
SWM
12,447,137
1,508,034,368
0.83
SG FLEET GROUP LTD ORDINARY
SGF
122,422
257,486,381
0.05
SHEFFIELD RES LTD ORDINARY
SFX
1
228,990,124
0.00
SHRIRO HOLDINGS LTD ORDINARY
SHM
18,935
95,087,500
0.02
SIGMA HEALTH LTD ORDINARY
SIG
64,478,070
1,059,491,073
6.09
SILEX SYSTEMS ORDINARY
SLX
111,656
170,467,339
0.07
SILVER CHEF LIMITED ORDINARY
SIV
447,243
39,267,916
1.14
SILVER HERITAGE GRP ORDINARY
SVH
5,426
578,484,220
0.00
SILVER LAKE RESOURCE ORDINARY
SLR
1,704,994
507,918,994
0.34
SILVER MINES LIMITED ORDINARY
SVL
97,871
599,469,299
0.02
SIMS METAL MGMT LTD ORDINARY
SGM
6,885,285
204,291,951
3.37
SINO GAS ENERGY ORDINARY
SEH
5,763,988
2,118,854,285
0.27
SIRTEX MEDICAL ORDINARY
SRX
128,972
55,789,512
0.23
SKY NETWORK ORDINARY
SKT
4,483,963
389,139,785
1.15
SKYCITY ENT GRP LTD ORD FOR. EXEMPT NZX
SKC
13,500,594
652,750,845
2.07
SLATER & GORDON ORDINARY
SGH
71
69,527,235
0.00
SMARTGRP CORPORATION ORDINARY
SIQ
684,602
130,974,190
0.52
SOMNOMED LIMITED ORDINARY
SOM
10,357
62,205,668
0.02
SONIC HEALTHCARE ORDINARY
SHL
4,864,181
425,513,332
1.14
SOUL PATTINSON (W.H) ORDINARY
SOL
1,801,147
239,395,320
0.75
17/09/2018 8:59:07 AM
20
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
SOUTH32 LIMITED ORDINARY
S32
23,897,647
5,119,246,119
0.47
SPARK INFRASTRUCTURE STAPLED US PROHIBT.
SKI
57,023,519
1,682,010,978
3.39
SPARK NEW ZEALAND ORD FOR. EXEMPT NZX
SPK
21,492,055
1,835,390,783
1.17
SPDR GLOBAL DIVIDEND ETF UNITS
WDIV
4,728
9,667,641
0.05
SPEEDCAST INT LTD ORDINARY
SDA
12,282,357
239,398,281
5.13
ST BARBARA LIMITED ORDINARY
SBM
2,320,537
520,516,390
0.45
STARPHARMA HOLDINGS ORDINARY
SPL
8,891,938
370,544,775
2.40
STEADFAST GROUP LTD ORDINARY
SDF
6,717,442
793,035,955
0.85
STHN CROSS MEDIA ORDINARY
SXL
3,359,034
769,013,605
0.44
STOCKLAND UNITS/ORD STAPLED
SGP
10,272,687
2,434,469,276
0.42
SUMMERSET GRP HLDGS ORD FOR. EXEMPT NZX
SNZ
6,808,394
224,874,299
3.03
SUNCORP GROUP LTD ORDINARY
SUN
5,096,554
1,298,503,953
0.39
SUNDANCE ENERGY ORDINARY
SEA
16,995,684
6,867,696,796
0.25
SUNDANCE RESOURCES ORDINARY
SDL
1,360
8,313,346,952
0.00
SUPER RET REP LTD ORDINARY
SUL
15,578,785
197,240,020
7.90
SUPERLOOP LIMITED ORDINARY
SLC
7,442,186
228,499,540
3.26
SYD AIRPORT STAPLED
SYD
26,691,785
2,255,226,483
1.18
SYNLAIT MILK LTD ORD FOR. EXEMPT NZX
SM1
582
179,223,028
0.00
SYRAH RESOURCES ORDINARY
SYR
55,083,047
339,586,682
16.22
TABCORP HOLDINGS LTD ORDINARY
TAH
72,916,007
2,012,972,676
3.62
TASSAL GROUP LIMITED ORDINARY
TGR
1,945,372
176,308,730
1.10
17/09/2018 8:59:07 AM
21
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
TECHNOLOGY ONE ORDINARY
TNE
19,011,580
316,691,676
6.00
TELIX PHARMACEUTICAL ORDINARY
TLX
20,481
130,045,587
0.02
TELSTRA CORPORATION. ORDINARY
TLS
150,787,020
11,893,297,855
1.27
TERRACOM LTD ORDINARY
TER
672,167
380,085,413
0.18
THE A2 MILK COMPANY ORDINARY
A2M
23,085,047
733,297,297
3.15
THE STAR ENT GRP ORDINARY
SGR
5,946,526
917,322,730
0.65
THORN GROUP LIMITED ORDINARY
TGA
1,851,073
159,929,582
1.16
TIGER RESOURCES ORDINARY
TGS
990,158
2,127,727,621
0.05
TITOMIC LIMITED ORDINARY
TTT
166,968
64,488,335
0.26
TORO ENERGY LIMITED ORDINARY
TOE
245,989
2,161,293,854
0.01
TPG TELECOM LIMITED ORDINARY
TPM
28,739,070
927,811,493
3.10
TPI ENTERPRISES ORDINARY
TPE
3,667
81,085,594
0.00
TRADE ME GROUP ORD FOR. EXEMPT NZX
TME
212,274
397,076,790
0.05
TRANSURBAN GROUP RTS11SEP18 FORUS
TCLRB
407,833
445,681,801
0.09
TRANSURBAN GROUP TRIPLE STAPLED SEC.
TCL
22,686,485
2,225,178,886
1.02
TREASURY WINE ESTATE ORDINARY
TWE
11,677,370
718,663,546
1.62
TROY RESOURCES LTD ORDINARY
TRY
1,429,169
459,543,474
0.31
UNIBAILRODAWESTFIELD CDI 20:1
URW
1,171,401
437,895,360
0.27
UPDATER INC CDI 25:1 FORUS
UPD
1,528,499
545,674,100
0.28
VALOR RESOURCES LTD ORDINARY
VAL
26,659
1,787,043,528
0.00
VENTUREX RESOURCES DEFERRED SETTLEMENT
VXRDA
17
239,895,642
0.00
17/09/2018 8:59:07 AM
22
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
VICINITY CENTRES ORD/UNIT STAPLED SEC
VCX
36,848,116
3,871,608,967
0.95
VILLA WORLD LTD. ORDINARY
VLW
3,114,686
126,926,266
2.45
VILLAGE ROADSHOW LTD ORDINARY
VRL
4,396,780
192,989,641
2.28
VIRGIN AUS HLDG LTD ORDINARY
VAH
17,893,804
8,445,218,474
0.21
VIRTUS HEALTH LTD ORDINARY
VRT
556,121
80,389,938
0.69
VITA GROUP LTD ORDINARY
VTG
664,252
160,391,036
0.41
VIVA ENERGY GROUP ORDINARY
VEA
12,034,705
1,944,535,168
0.62
VIVA ENERGY REIT STAPLED
VVR
4,819,302
725,749,702
0.66
VNGD AUS HIGH YIELD ETF UNITS
VHY
4
18,058,850
0.00
VNGD EMERGING MKTS ETF UNITS
VGE
268,454
3,298,615
8.14
VOCUS GROUP LTD ORDINARY
VOC
60,163,665
622,184,466
9.67
WAGNERS HLD COMPANY ORDINARY
WGN
4,021,834
161,375,590
2.49
WATTLE HEALTH AU LTD ORDINARY
WHA
270,258
135,396,890
0.20
WEBJET LIMITED ORDINARY
WEB
985,368
120,081,075
0.82
WEBSTER LTD ORDINARY
WBA
84,782
361,245,163
0.02
WESFARMERS LIMITED ORDINARY
WES
6,480,068
1,133,840,242
0.57
WEST AFRICAN RES LTD ORDINARY
WAF
435,086
690,824,727
0.06
WESTERN AREAS LTD ORDINARY
WSA
8,455,813
273,486,380
3.09
WESTGOLD RESOURCES. ORDINARY
WGX
11,264,857
363,109,569
3.10
WESTPAC BANKING CORP ORDINARY
WBC
48,365,501
3,434,796,711
1.41
WHITEHAVEN COAL ORDINARY
WHC
27,037,183
1,026,045,885
2.64
17/09/2018 8:59:07 AM
23
Reported Daily Short Positions for 11/09/18 Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.
Product
Product Code
Reported Short Positions
Total Product in Issue
% of Total Product in Issue Reported as Short Positions
WISETECH GLOBAL LTD ORDINARY
WTC
6,264,859
300,644,406
2.08
WOODSIDE PETROLEUM ORDINARY
WPL
5,272,969
936,151,549
0.56
WOOLWORTHS GROUP LTD ORDINARY
WOW
41,964,856
1,313,323,941
3.20
WORLEYPARSONS LTD ORDINARY
WOR
4,762,924
272,991,298
1.74
WPP AUNZ LTD ORDINARY
WPP
4,190,119
852,151,870
0.49
XERO LTD ORDINARY
XRO
303,187
140,486,129
0.22
YANCOAL AUST LTD ORDINARY
YAL
617,752
43,962,462,588
0.00
YOWIE GROUP ORDINARY
YOW
350,141
217,344,323
0.16
Z ENERGY LTD. ORD FOR. EXEMPT NZX
ZEL
2,858,423
400,000,000
0.71
ZELDA THERAPEUTICS ORDINARY
ZLD
1,018
530,967,090
0.00
17/09/2018 8:59:07 AM
24