16495056 RR20150413 001 SSDaily Agg Short Pos

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Reported Daily Short Positions for 13/04/15
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

1,255,000

77,477,341

1.62

1-PAGE LTD ORDINARY

1PG

360 CAP INDUST FUND ORDINARY UNITS

TIX

968,423

124,889,238

0.78

3P LEARNING LTD ORDINARY

3PL

944,209

134,814,660

0.70

A.P. EAGERS LIMITED ORDINARY

APE

3,458

179,106,298

0.00

ABACUS PROPERTY GRP. UNITS/ORD STAPLED

ABP

1,348,112

549,792,532

0.25

ABM RESOURCES NL ORDINARY

ABU

98,333

343,287,553

0.03

ACONEX LIMITED ORDINARY

ACX

207,404

164,507,658

0.13

ACRUX LIMITED ORDINARY

ACR

15,621,769

166,521,711

9.38

ADELAIDE BRIGHTON ORDINARY

ABC

3,733,667

648,267,667

0.58

AED OIL LIMITED ORDINARY

AED

36,071

239,779,144

0.02

AFFINITY EDU GRP LTD ORDINARY

AFJ

2,237,195

211,069,170

1.06

AGL ENERGY LIMITED. ORDINARY

AGL

11,041,950

674,712,378

1.64

AINSWORTH GAME TECH. ORDINARY

AGI

4,202,541

322,339,031

1.30

AJ LUCAS GROUP ORDINARY

AJL

82,089

267,383,816

0.03

ALACER GOLD CORP. CDI 1:1

AQG

477,257

72,780,012

0.66

ALE PROPERTY GROUP STAPLED SECURITIES

LEP

2,125,622

195,702,333

1.09

ALKANE RESOURCES LTD ORDINARY

ALK

855,524

414,218,670

0.21

ALLIANCE AVIATION ORDINARY

AQZ

2,897

106,429,638

0.00

ALLIANCE RESOURCES ORDINARY

AGS

2

400,816,419

0.00

ALS LTD ORDINARY

ALQ

35,054,815

407,246,306

8.61

17/04/2015 9:00:11 AM

1

Reported Daily Short Positions for 13/04/15
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

360,146

129,272,762

0.28

ALTIUM LIMITED ORDINARY

ALU

ALUMINA LIMITED ORDINARY

AWC

25,105,851

2,806,225,615

0.89

AMALGAMATED HOLDINGS ORDINARY

AHD

3,214

157,983,073

0.00

AMCOM TELECOMM. ORDINARY

AMM

5,256,767

266,399,148

1.97

AMCOR LIMITED ORDINARY

AMC

4,890,290

1,201,753,101

0.41

AMP CAPITAL CHINA ORDINARY UNITS

AGF

1,598

383,391,505

0.00

AMP LIMITED ORDINARY

AMP

7,929,944

2,957,737,964

0.27

ANSELL LIMITED ORDINARY

ANN

2,577,170

153,139,924

1.68

ANTARES ENERGY LTD ORDINARY

AZZ

252,235

241,500,000

0.10

ANTISENSE THERAPEUT. ORDINARY

ANP

30,000

161,487,433

0.02

ANZ BANKING GRP LTD ORDINARY

ANZ

21,166,675

2,765,980,222

0.77

APA GROUP STAPLED SECURITIES

APA

9,477,388

1,114,307,369

0.85

APN NEWS & MEDIA ORDINARY

APN

827,213

1,029,041,356

0.08

APN OUTDOOR GRP ORDINARY

APO

185,702

166,614,509

0.11

AQUARIUS PLATINUM. ORDINARY

AQP

2,708,613

1,502,695,183

0.18

ARB CORPORATION ORDINARY

ARP

43,560

79,156,214

0.06

ARB CORPORATION. ORDINARY

ARB

1,015,358

79,156,214

1.28

ARDENT LEISURE GROUP STAPLED SECURITIES

AAD

10,656,906

442,322,106

2.41

ARENA REIT. STAPLED

ARF

421,166

227,574,183

0.19

ARISTOCRAT LEISURE ORDINARY

ALL

112,094

633,822,253

0.02

17/04/2015 9:00:11 AM

2

Reported Daily Short Positions for 13/04/15
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

205,175,757

2,937,293,755

6.99

ARRIUM LTD ORDINARY

ARI

ASALEO CARE LIMITED ORDINARY

AHY

5,285,672

603,469,434

0.88

ASCIANO LIMITED ORDINARY

AIO

5,815,704

975,385,664

0.60

ASHLEY SERVICES GRP ORDINARY

ASH

498,972

150,000,000

0.33

ASPEN GROUP ORD/UNITS STAPLED

APZ

22,232

113,183,450

0.02

ASPIRE MINING LTD ORDINARY

AKM

800,001

703,463,306

0.11

ASTRO JAP PROP GROUP STAPLED US PROHIBIT.

AJA

84,091

65,831,017

0.13

ASX LIMITED ORDINARY

ASX

3,564,876

193,595,162

1.84

ATLAS IRON LIMITED ORDINARY

AGO

94,707,948

919,475,619

10.30

AUCKLAND INTERNATION ORDINARY

AIA

101,754

1,190,484,097

0.01

AURELIA METALS LTD ORDINARY

AMI

1,000

387,295,188

0.00

AURIZON HOLDINGS LTD ORDINARY

AZJ

4,286,879

2,123,934,162

0.20

AUSDRILL LIMITED ORDINARY

ASL

17,447,395

312,277,224

5.59

AUSENCO LIMITED ORDINARY

AAX

386,704

168,449,799

0.23

AUSNET SERVICES STAPLED SECURITIES

AST

32,675,284

3,466,913,009

0.94

AUST CAREERS NETWORK ORDINARY

ACO

500,000

83,748,775

0.60

AUST INDUSTRIAL REIT UNIT

ANI

41,020

96,288,031

0.04

AUST VINTAGE LTD ORDINARY

AVG

100,001

232,141,382

0.04

AUSTAL LIMITED ORDINARY

ASB

55,270

346,865,169

0.02

AUSTBROKERS HOLDINGS ORDINARY

AUB

2,531,727

61,740,597

4.10

17/04/2015 9:00:11 AM

3

Reported Daily Short Positions for 13/04/15
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

AUSTEX OIL LIMITED ORDINARY

AOK

62,000

558,571,402

0.01

AUSTIN ENGINEERING ORDINARY

ANG

383,205

84,274,004

0.45

AUSTIN EXPLORATION ORDINARY

AKK

5,084,383

332,607,790

1.53

AUSTRALIAN AGRICULT. ORDINARY

AAC

7,863,439

532,824,721

1.48

AUSTRALIAN PHARM. ORDINARY

API

3,164,013

488,115,883

0.65

AUTOMOTIVE HOLDINGS ORDINARY

AHE

1,597,244

306,437,941

0.52

AVANCO RESOURCES LTD ORDINARY

AVB

1

1,661,675,855

0.00

AVEO GROUP STAPLED SECURITIES

AOG

519,216

499,484,314

0.10

AWE LIMITED ORDINARY

AWE

36,369,230

525,861,050

6.92

AZONTO PET LTD ORDINARY

APY

1

1,159,375,100

0.00

AZUMAH RESOURCES ORDINARY

AZM

1

393,850,639

0.00

BANDANNA ENERGY ORDINARY

BND

17,540,654

528,481,199

3.32

BANK OF QUEENSLAND. ORDINARY

BOQ

7,575,119

366,982,047

2.06

BASE RES LIMITED ORDINARY

BSE

332,868

563,902,771

0.06

BATHURST RES LTD. ORDINARY

BRL

207,998

947,828,434

0.02

BC IRON LIMITED ORDINARY

BCI

10,318,818

196,196,992

5.26

BEACH ENERGY LIMITED ORDINARY

BPT

52,585,078

1,300,149,513

4.04

BEACON LIGHTING GRP ORDINARY

BLX

993

215,075,927

0.00

BEADELL RESOURCE LTD ORDINARY

BDR

31,283,365

798,657,280

3.92

BEGA CHEESE LTD ORDINARY

BGA

3,546,981

152,602,945

2.32

17/04/2015 9:00:11 AM

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Reported Daily Short Positions for 13/04/15
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

BELLAMY'S AUSTRALIA ORDINARY

BAL

1,258

95,000,392

0.00

BENDIGO AND ADELAIDE ORDINARY

BEN

15,359,729

452,970,280

3.39

BERKELEY RESOURCES ORDINARY

BKY

77,000

180,361,323

0.04

BHP BILLITON LIMITED ORDINARY

BHP

8,921,683

3,211,691,105

0.28

BILLABONG ORDINARY

BBG

8,903,018

990,370,034

0.90

BIONOMICS LIMITED ORDINARY

BNO

23,497

417,777,937

0.01

BLACKHAM RESOURCES ORDINARY

BLK

838,683

178,162,680

0.47

BLACKMORES LIMITED ORDINARY

BKL

1,024

17,224,284

0.01

BLUE ENERGY LIMITED ORDINARY

BUL

50,000

1,140,993,237

0.00

BLUESCOPE STEEL LTD ORDINARY

BSL

6,354,624

565,225,282

1.12

BOART LONGYEAR ORDINARY

BLY

10,171,466

930,864,944

1.09

BORA BORA RESOURCES ORDINARY

BBR

247,808

35,970,000

0.69

BORAL LIMITED. ORDINARY

BLD

12,140,698

782,736,249

1.55

BRADKEN LIMITED ORDINARY

BKN

4,221,234

171,027,249

2.47

BRAMBLES LIMITED ORDINARY

BXB

15,835,654

1,566,893,724

1.01

BREVILLE GROUP LTD ORDINARY

BRG

3,915,971

130,095,322

3.01

BRICKWORKS LIMITED ORDINARY

BKW

10,507

148,403,478

0.01

BT INVESTMENT MNGMNT ORDINARY

BTT

229,241

292,408,424

0.08

BURSON GROUP LTD ORDINARY

BAP

62,894

163,585,666

0.04

BURU ENERGY ORDINARY

BRU

14,134,208

339,997,078

4.16

17/04/2015 9:00:11 AM

5

Reported Daily Short Positions for 13/04/15
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

BWP TRUST ORDINARY UNITS

BWP

18,305,711

642,383,803

2.85

CABCHARGE AUSTRALIA ORDINARY

CAB

8,989,959

120,430,683

7.46

CADENCE CAPITAL ORDINARY

CDM

170,000

222,223,708

0.08

CALTEX AUSTRALIA ORDINARY

CTX

306,605

270,000,000

0.11

CAPE LAMBERT RES LTD ORDINARY

CFE

280,137

626,686,586

0.04

CAPITOL HEALTH ORDINARY

CAJ

1,260,652

522,280,212

0.24

CARDNO LIMITED ORDINARY

CDD

17,000,027

165,565,094

10.27

CARINDALE PROPERTY UNIT

CDP

8,824

70,000,000

0.01

CARNARVON PETROLEUM ORDINARY

CVN

2,147,257

988,300,069

0.22

CARNEGIE WAVE ENERGY ORDINARY

CWE

62,500

1,755,818,210

0.00

CARSALES.COM LTD. ORDINARY

CAR

7,902,252

239,577,816

3.30

CASH CONVERTERS ORDINARY

CCV

8,044,235

481,248,259

1.67

CEDAR WOODS PROP. ORDINARY

CWP

284,071

78,336,371

0.36

CENTRAL PETROLEUM ORDINARY

CTP

11,000

368,718,957

0.00

CENTURIA METRO REIT STAPLED

CMA

698,404

71,500,158

0.98

CHALLENGER LIMITED ORDINARY

CGF

621,731

569,725,821

0.11

CHANDLER MACLEOD LTD ORDINARY

CMG

50,978

547,985,086

0.01

CHARTER HALL GROUP STAPLED US PROHIBIT.

CHC

3,589,725

359,342,032

1.00

CHARTER HALL RETAIL UNITS

CQR

9,011,507

375,554,374

2.40

CHORUS LIMITED ORDINARY

CNU

162,280

396,369,767

0.04

17/04/2015 9:00:11 AM

6

Reported Daily Short Positions for 13/04/15
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

CLEARVIEW WEALTH LTD ORDINARY

CVW

8,810

582,982,182

0.00

CLINUVEL PHARMACEUT. ORDINARY

CUV

10,201

44,554,787

0.02

COAL OF AFRICA LTD ORDINARY

CZA

426

1,599,568,613

0.00

COALSPUR MINES LTD ORDINARY

CPL

8,480

641,544,455

0.00

COCA-COLA AMATIL ORDINARY

CCL

16,495,056

763,590,249

2.16

COCHLEAR LIMITED ORDINARY

COH

2,684,834

57,081,775

4.70

COCKATOO COAL ORDINARY

COK

167,987

67,034,894,842

0.00

CODAN LIMITED ORDINARY

CDA

2,461

177,063,244

0.00

COFFEY INTERNATIONAL ORDINARY

COF

6,075

255,833,165

0.00

COLLECTION HOUSE ORDINARY

CLH

1,385,773

131,199,651

1.06

COLLINS FOODS LTD ORDINARY

CKF

3,915

93,000,003

0.00

COMMONWEALTH BANK. ORDINARY

CBA

10,977,041

1,621,319,194

0.68

COMPASS RESOURCES ORDINARY

CMR

7,472

1,403,744,100

0.00

COMPUTERSHARE LTD ORDINARY

CPU

4,735,010

556,203,079

0.85

COOPER ENERGY LTD ORDINARY

COE

19,000

331,905,323

0.01

CORP TRAVEL LIMITED ORDINARY

CTD

1,646,625

96,993,355

1.70

COVATA LTD ORDINARY

CVT

73,295

378,273,274

0.02

COVENTRY GROUP ORDINARY

CYG

100,000

37,836,479

0.26

COVER-MORE GRP LTD ORDINARY

CVO

10,546,586

317,750,000

3.32

CREDIT CORP GROUP ORDINARY

CCP

199,641

46,296,407

0.43

17/04/2015 9:00:11 AM

7

Reported Daily Short Positions for 13/04/15
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

CROMWELL PROP STAPLED SECURITIES

CMW

44,999,626

1,737,728,114

2.59

CROWN RESORTS LTD ORDINARY

CWN

13,802,408

728,394,185

1.89

CSG LIMITED ORDINARY

CSV

832,238

284,148,839

0.29

CSL LIMITED ORDINARY

CSL

1,032,227

468,957,830

0.22

CSR LIMITED ORDINARY

CSR

8,495,120

506,000,315

1.68

CUDECO LIMITED ORDINARY

CDU

8,847,527

272,322,167

3.25

DECMIL GROUP LIMITED ORDINARY

DCG

758,790

168,607,794

0.45

DEEP YELLOW LIMITED ORDINARY

DYL

1,002

1,906,513,081

0.00

DEVINE LIMITED ORDINARY

DVN

2,000

158,730,556

0.00

DEXUS PROPERTY GROUP STAPLED UNITS

DXS

3,804,743

905,531,797

0.42

DICK SMITH HLDGS ORDINARY

DSH

18,851,499

236,511,364

7.97

DISCOVERY METALS LTD ORDINARY

DML

365,417

644,039,581

0.06

DOMINO PIZZA ENTERPR ORDINARY

DMP

1,144,784

86,560,773

1.32

DONACO INTERNATIONAL ORDINARY

DNA

15,977,433

683,444,791

2.34

DOWNER EDI LIMITED ORDINARY

DOW

19,408,940

435,399,975

4.46

DRILLSEARCH ENERGY ORDINARY

DLS

6,830,838

461,101,450

1.48

DUET GROUP STAPLED US PROHIBIT.

DUE

26,165,670

1,493,678,915

1.75

DULUXGROUP LIMITED ORDINARY

DLX

1,249,366

388,543,268

0.32

ECHO ENTERTAINMENT ORDINARY

EGP

4,478,645

825,672,730

0.54

ELDERS LIMITED ORDINARY

ELD

775,119

83,734,671

0.93

17/04/2015 9:00:11 AM

8

Reported Daily Short Positions for 13/04/15
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

EMECO HOLDINGS ORDINARY

EHL

11,486,086

599,675,707

1.92

EMERCHANTS LTD ORDINARY

EML

39,000

178,717,203

0.02

ENDEAVOUR MIN CORP CDI 1:1

EVR

21,807

45,424,432

0.05

ENERGY RESOURCES ORDINARY 'A'

ERA

11,073,316

517,725,062

2.14

ENERGY WORLD CORPOR. ORDINARY

EWC

42,949,701

1,734,166,672

2.48

ENSOGO LIMITED ORDINARY

E88

212,387

485,613,903

0.04

EQUITY TRUSTEES ORDINARY

EQT

50,955

19,272,426

0.26

ERM POWER LIMITED ORDINARY

EPW

14,000

242,021,217

0.01

ESTIA HEALTH LTD ORDINARY

EHE

1,476,221

180,885,580

0.82

EVOLUTION MINING LTD ORDINARY

EVN

2,929,601

716,762,574

0.41

FAIRFAX MEDIA LTD ORDINARY

FXJ

31,441,380

2,420,475,546

1.30

FAR LTD ORDINARY

FAR

8,433,719

3,127,558,427

0.27

FEDERATION CNTRES ORD/UNIT STAPLED SEC

FDC

3,311,005

1,427,641,565

0.23

FINBAR GROUP LIMITED ORDINARY

FRI

21,232

228,394,946

0.01

FISHER & PAYKEL H. ORDINARY

FPH

246,949

557,940,257

0.04

FLEETWOOD CORP ORDINARY

FWD

1,144,746

61,039,412

1.88

FLETCHER BUILDING ORDINARY

FBU

1,245,441

687,854,788

0.18

FLEXIGROUP LIMITED ORDINARY

FXL

6,710,910

304,149,707

2.21

FLIGHT CENTRE TRAVEL ORDINARY

FLT

11,139,093

100,802,653

11.05

FLINDERS MINES LTD ORDINARY

FMS

164,998

2,762,995,689

0.01

17/04/2015 9:00:11 AM

9

Reported Daily Short Positions for 13/04/15
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

3,105,219

9,137,375,877

0.03

FOCUS MINERALS LTD ORDINARY

FML

FOLKESTONE EDU TRUST UNITS

FET

409,133

244,378,866

0.17

FONTERRA SHARE FUND ORDINARY UNITS

FSF

145,457

116,977,611

0.12

FORTESCUE METALS GRP ORDINARY

FMG

390,974,059

3,113,798,151

12.56

FREEDOM FOOD LTD ORDINARY

FNP

130,276

153,356,329

0.08

G.U.D. HOLDINGS ORDINARY

GUD

1,758,407

70,939,492

2.48

G8 EDUCATION LIMITED ORDINARY

GEM

22,610,113

359,151,207

6.30

GALAXY RESOURCES ORDINARY

GXY

831,022

1,064,783,990

0.08

GBST HOLDINGS.. ORDINARY

GBT

88,086

66,561,725

0.13

GDI PROPERTY GRP STAPLED SECURITIES

GDI

1,334,855

563,037,466

0.24

GENESIS ENERGY LTD ORDINARY

GNE

116,939

1,000,000,000

0.01

GENETIC TECHNOLOGIES ORDINARY

GTG

21,972,750

1,714,191,631

1.28

GENTRACK GROUP LTD ORDINARY

GTK

3,000

72,699,510

0.00

GENWORTH MORTGAGE ORDINARY

GMA

16,261,804

650,000,000

2.50

GINDALBIE METALS LTD ORDINARY

GBG

11,180,321

1,495,448,025

0.75

GOLD ROAD RES LTD ORDINARY

GOR

1,546,927

594,881,822

0.26

GOODMAN GROUP STAPLED

GMG

7,652,020

1,753,035,922

0.44

GPT GROUP STAPLED SEC.

GPT

10,439,471

1,777,579,081

0.59

GPT METRO OFFICE FND UNITS

GMF

1,293,069

127,600,500

1.01

GRAINCORP LIMITED A CLASS ORDINARY

GNC

12,068,592

228,855,628

5.27

17/04/2015 9:00:11 AM

10

Reported Daily Short Positions for 13/04/15
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

GRANGE RESOURCES. ORDINARY

GRR

2,804

1,157,338,698

0.00

GREENCROSS LIMITED ORDINARY

GXL

1,553,931

112,478,993

1.38

GREENLAND MIN EN LTD ORDINARY

GGG

4,038,000

683,080,555

0.59

GREENLAND MIN EN LTD RIGHTS 26-JUN-14

GGGR

3,842

88,685,050

0.00

GROWTHPOINT PROPERTY ORD/UNIT STAPLED SEC

GOZ

735,289

569,027,781

0.13

GRYPHON MINERALS LTD ORDINARY

GRY

1,215,991

401,290,987

0.30

GWA GROUP LTD ORDINARY

GWA

15,245,126

306,533,770

4.97

HANSEN TECHNOLOGIES ORDINARY

HSN

274,367

163,486,337

0.17

HARVEY NORMAN ORDINARY

HVN

27,779,163

1,110,603,911

2.50

HEALTHSCOPE LIMITED. ORDINARY

HSO

4,967,943

1,732,094,838

0.29

HENDERSON GROUP CDI 1:1

HGG

2,507,003

731,469,773

0.34

HFA HOLDINGS LIMITED ORDINARY

HFA

308

162,147,897

0.00

HIGHLANDS PACIFIC ORDINARY

HIG

1

920,577,086

0.00

HILLGROVE RES LTD ORDINARY

HGO

92,496

147,798,623

0.06

HILLS LTD ORDINARY

HIL

2,768,480

231,985,526

1.19

HORIZON OIL LIMITED ORDINARY

HZN

45,583,675

1,301,981,265

3.50

HOTEL PROPERTY STAPLED

HPI

372,069

146,105,439

0.25

HUNTER HALL GLOBAL ORDINARY

HHV

413,517

217,217,148

0.19

ICAR ASIA LTD ORDINARY

ICQ

245,047

218,592,707

0.11

IINET LIMITED ORDINARY

IIN

4,043,823

162,950,896

2.48

17/04/2015 9:00:11 AM

11

Reported Daily Short Positions for 13/04/15
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

ILUKA RESOURCES ORDINARY

ILU

33,913,381

418,700,517

8.10

IMDEX LIMITED ORDINARY

IMD

1,193,217

216,203,136

0.55

IMF BENTHAM LTD ORDINARY

IMF

3,835,087

166,580,957

2.30

IMPEDIMED LIMITED ORDINARY

IPD

167,803

293,202,840

0.06

INCITEC PIVOT ORDINARY

IPL

17,391,211

1,675,621,466

1.04

INDEPENDENCE GROUP ORDINARY

IGO

2,929,643

234,256,573

1.25

INDUSTRIA REIT STAPLED

IDR

1,027,173

125,000,001

0.82

INFIGEN ENERGY STAPLED SECURITIES

IFN

2,336,163

767,887,581

0.30

INFOMEDIA LTD ORDINARY

IFM

725,760

308,134,187

0.24

INGENIA GROUP STAPLED SECURITIES

INA

19,592,040

882,699,837

2.22

INSURANCE AUSTRALIA ORDINARY

IAG

16,946,087

2,341,618,048

0.72

INTREPID MINES ORDINARY

IAU

283,359

369,869,196

0.08

INTUERI EDU GRP LTD ORDINARY

IQE

196

100,000,000

0.00

INVESTA OFFICE FUND STAPLED SECURITIES

IOF

925,450

614,047,458

0.15

INVOCARE LIMITED ORDINARY

IVC

4,236,241

110,030,298

3.85

IOOF HOLDINGS LTD ORDINARY

IFL

12,250,332

300,133,752

4.08

IPH LIMITED ORDINARY

IPH

576,290

157,559,499

0.37

IPROPERTY GROUP LTD ORDINARY

IPP

4,428,849

187,378,774

2.36

IRESS LIMITED ORDINARY

IRE

5,713,022

159,097,319

3.59

ISELECT LTD ORDINARY

ISU

619,212

261,489,894

0.24

17/04/2015 9:00:11 AM

12

Reported Daily Short Positions for 13/04/15
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

ISENTIA GROUP LTD ORDINARY

ISD

84,671

200,000,001

0.04

ISENTRIC LTD. ORDINARY

ICU

39,829

134,703,703

0.03

JAMES HARDIE INDUST CHESS DEPOSITARY INT

JHX

14,221,446

445,680,673

3.19

JAPARA HEALTHCARE LT ORDINARY

JHC

19,066,204

263,046,592

7.25

JB HI-FI LIMITED ORDINARY

JBH

8,689,007

98,981,083

8.78

KAROON GAS AUSTRALIA ORDINARY

KAR

21,118,307

246,621,832

8.56

KATHMANDU HOLD LTD ORDINARY

KMD

12,257,663

201,484,583

6.08

KBL MINING LIMITED ORDINARY

KBL

1,820

495,765,509

0.00

KINGSGATE CONSOLID. ORDINARY

KCN

16,242,671

223,584,937

7.26

KINGSROSE MINING LTD ORDINARY

KRM

803,334

358,611,493

0.22

KOGI IRON LTD ORDINARY

KFE

622,613

376,669,836

0.17

LEIGHTON HOLDINGS ORDINARY

LEI

6,339,936

338,503,563

1.87

LEND LEASE GROUP UNIT/ORD STAPLED

LLC

1,907,072

580,468,486

0.33

LIFESTYLE COMMUNIT. ORDINARY

LIC

25,001

101,395,131

0.02

LIQUEFIED NATURAL ORDINARY

LNG

15,691,054

462,943,201

3.39

LONESTAR RESO LTD ORDINARY

LNR

128,116

752,187,211

0.02

LYNAS CORPORATION ORDINARY

LYC

94,266,407

3,371,002,400

2.80

M2 GRP LTD ORDINARY

MTU

2,242,039

182,371,728

1.23

MACA LIMITED ORDINARY

MLD

1,570,523

232,676,373

0.67

MACMAHON HOLDINGS ORDINARY

MAH

25,020

1,261,699,966

0.00

17/04/2015 9:00:11 AM

13

Reported Daily Short Positions for 13/04/15
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

MACQ ATLAS ROADS GRP ORDINARY STAPLED

MQA

13,107,627

511,538,852

2.56

MACQUARIE GROUP LTD ORDINARY

MQG

757,761

333,457,777

0.23

MAGELLAN FIN GRP LTD ORDINARY

MFG

1,549,885

159,892,401

0.97

MAGELLAN FLAGSHIP ORDINARY

MFF

185,941

371,248,458

0.05

MANTRA GROUP LTD ORDINARY

MTR

3,445,832

266,247,723

1.29

MATRIX C & E LTD ORDINARY

MCE

2,546,538

94,555,428

2.69

MAVERICK DRILLING ORDINARY

MAD

8,742

545,000,115

0.00

MAXITRANS INDUSTRIES ORDINARY

MXI

3,884

185,075,653

0.00

MAYNE PHARMA LTD ORDINARY

MYX

13,325,914

785,424,531

1.70

MCMILLAN SHAKESPEARE ORDINARY

MMS

127,825

81,810,993

0.16

MEDIBANK PRIVATE LTD ORDINARY

MPL

29,075,684

2,754,003,240

1.06

MEDUSA MINING LTD ORDINARY

MML

6,749,494

207,794,301

3.25

MELBOURNE IT LIMITED ORDINARY

MLB

3,002

92,944,392

0.00

MERIDIAN ENERGY INSTALMENT RECEIPTS

MEZCA

382,579

1,255,413,626

0.03

MESOBLAST LIMITED ORDINARY

MSB

26,138,473

324,441,029

8.06

METALS X LIMITED ORDINARY

MLX

9,382

416,010,939

0.00

METCASH LIMITED ORDINARY

MTS

158,670,587

928,357,876

17.09

MIGHTY RIVER POWER ORDINARY

MYT

1,707,919

1,400,012,517

0.12

MINCOR RESOURCES NL ORDINARY

MCR

71,723

188,238,274

0.04

MINERAL DEPOSITS ORDINARY

MDL

230,439

103,676,341

0.22

17/04/2015 9:00:11 AM

14

Reported Daily Short Positions for 13/04/15
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

MINERAL RESOURCES. ORDINARY

MIN

24,839,528

187,270,274

13.26

MIRABELA NICKEL LTD ORDINARY

MBN

2,012,125

929,710,216

0.22

MIRVAC GROUP STAPLED SECURITIES

MGR

2,731,396

3,697,620,317

0.07

MMAOFFSHOR ORDINARY

MRM

35,595,965

371,219,785

9.59

MOLOPO ENERGY LTD ORDINARY

MPO

46,833

248,869,398

0.02

MONADELPHOUS GROUP ORDINARY

MND

12,621,467

93,194,159

13.54

MONASH IVF GROUP LTD ORDINARY

MVF

1,131,018

231,081,089

0.49

MONEY3 CORPORATION ORDINARY

MNY

124,193

128,383,729

0.10

MORTGAGE CHOICE LTD ORDINARY

MOC

137,933

124,216,248

0.11

MOUNT GIBSON IRON ORDINARY

MGX

88,431,754

1,090,805,085

8.11

MULTIPLEX SITES SITES

MXUPA

2,314

4,500,000

0.05

MYER HOLDINGS LTD ORDINARY

MYR

109,961,050

585,689,551

18.77

MYSTATE LIMITED ORDINARY

MYS

3,258

87,283,417

0.00

NANOSONICS LIMITED ORDINARY

NAN

1,743,983

281,339,223

0.62

NATIONAL AUST. BANK ORDINARY

NAB

14,698,625

2,421,112,169

0.61

NATIONAL STORAGE STAPLED

NSR

2,906,438

334,456,409

0.87

NAVITAS LIMITED ORDINARY

NVT

4,522,811

376,330,968

1.20

NEARMAP LTD ORDINARY

NEA

2,131,939

351,696,101

0.61

NEON ENERGY LIMITED ORDINARY

NEN

13,245

558,149,678

0.00

NEW HOPE CORPORATION ORDINARY

NHC

891,407

830,999,449

0.11

17/04/2015 9:00:11 AM

15

Reported Daily Short Positions for 13/04/15
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

7,151,510

766,510,971

0.93

335

2,386,882

0.01

NEWCREST MINING ORDINARY

NCM

NEWS CORP.. A NON-VOTING CDI

NWSLV

NEWS CORP.. B VOTING CDI

NWS

1,949,649

45,026,902

4.33

NEWSAT LIMITED ORDINARY

NWT

1,136,958

643,874,841

0.18

NEXTDC LIMITED ORDINARY

NXT

14,607,850

193,450,200

7.55

NEXUS ENERGY LIMITED ORDINARY

NXS

58,176

1,330,219,459

0.00

NIB HOLDINGS LIMITED ORDINARY

NHF

2,919,961

439,004,182

0.67

NINE ENTERTAINMENT ORDINARY

NEC

32,910,828

940,295,023

3.50

NOBLE MINERAL RES ORDINARY

NMG

2,365,726

666,397,952

0.36

NORTHERN IRON LTD ORDINARY

NFE

10,000

484,405,314

0.00

NORTHERN STAR ORDINARY

NST

31,827,534

592,660,880

5.37

NOVION PROPERTY GRP STAPLED SECURITIES

NVN

64,885,556

3,077,214,058

2.11

NOVOGEN LIMITED ORDINARY

NRT

433,211

260,694,150

0.17

NRW HOLDINGS LIMITED ORDINARY

NWH

19,825,414

278,888,011

7.11

NUFARM LIMITED ORDINARY

NUF

4,721,876

264,948,132

1.78

NUPLEX INDUSTRIES ORDINARY

NPX

1,000

198,125,827

0.00

OCEANAGOLD CORP. CHESS DEPOSITARY INT

OGC

1,075,902

303,459,668

0.35

OIL SEARCH LTD ORDINARY

OSH

16,099,524

1,522,692,587

1.06

OM HOLDINGS LIMITED ORDINARY

OMH

861

733,423,337

0.00

OOH!MEDIA LIMITED ORDINARY

OML

1,158,287

149,882,534

0.77

17/04/2015 9:00:11 AM

16

Reported Daily Short Positions for 13/04/15
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

ORICA LIMITED ORDINARY

ORI

46,701,091

372,743,291

12.53

ORIGIN ENERGY ORDINARY

ORG

6,237,496

1,109,561,867

0.56

OROCOBRE LIMITED ORDINARY

ORE

4,103,894

151,653,677

2.71

ORORA LIMITED ORDINARY

ORA

583,619

1,206,684,923

0.05

OROTONGROUP LIMITED ORDINARY

ORL

144,930

40,880,902

0.35

OTTO ENERGY LIMITED ORDINARY

OEL

378,001

1,164,290,071

0.03

OZ MINERALS ORDINARY

OZL

6,261,731

303,470,022

2.06

OZFOREX GROUP LTD ORDINARY

OFX

11,661,569

240,000,000

4.86

PACIFIC BRANDS ORDINARY

PBG

78,110,904

917,226,291

8.52

PACIFIC SMILES GRP ORDINARY

PSQ

133,000

151,993,395

0.09

PACT GROUP HLDGS LTD ORDINARY

PGH

1,683,921

294,145,019

0.57

PALADIN ENERGY LTD ORDINARY

PDN

89,472,698

1,666,927,668

5.37

PANAUST LIMITED ORDINARY

PNA

6,032,064

647,862,526

0.93

PANORAMIC RESOURCES ORDINARY

PAN

3,334,373

321,424,015

1.04

PANTERRA GOLD LTD ORDINARY

PGI

1

84,812,720

0.00

PAPERLINX LIMITED ORDINARY

PPX

57,788

665,181,261

0.01

PATTIES FOODS LTD ORDINARY

PFL

157

139,234,153

0.00

PEET LIMITED ORDINARY

PPC

19,980

484,853,684

0.00

PENINSULA ENERGY LTD ORDINARY

PEN

1

6,906,810,221

0.00

PERPETUAL LIMITED ORDINARY

PPT

1,075,106

46,574,426

2.31

17/04/2015 9:00:11 AM

17

Reported Daily Short Positions for 13/04/15
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

PERSEUS MINING LTD ORDINARY

PRU

22,633,343

526,656,401

4.30

PHARMAXIS LTD ORDINARY

PXS

8,779

311,985,022

0.00

PLATINUM ASSET ORDINARY

PTM

2,762,427

584,652,029

0.47

PLATINUM AUSTRALIA ORDINARY

PLA

836,127

504,968,043

0.17

PLATINUM CAPITAL LTD ORDINARY

PMC

270,459

233,325,987

0.12

PMP LIMITED ORDINARY

PMP

27,581

323,781,124

0.01

POSEIDON NICK LTD ORDINARY

POS

1,300,460

683,588,322

0.19

PRANA BIOTECHNOLOGY ORDINARY

PBT

4,011,898

527,107,470

0.76

PREMIER INVESTMENTS ORDINARY

PMV

400,667

156,100,075

0.26

PRIMARY HEALTH CARE ORDINARY

PRY

55,929,779

512,130,550

10.92

PRIME MEDIA GRP LTD ORDINARY

PRT

922,428

366,330,303

0.25

PROGRAMMED ORDINARY

PRG

594,201

118,667,178

0.50

PROMESA LIMITED ORDINARY

PRA

10,398,713

384,412,465

2.71

QANTAS AIRWAYS ORDINARY

QAN

1,324,422

2,196,330,250

0.06

QBE INSURANCE GROUP ORDINARY

QBE

15,881,672

1,364,945,301

1.16

QUBE HOLDINGS LTD ORDINARY

QUB

3,439,024

1,054,428,076

0.33

QUICKSTEP HOLDINGS ORDINARY

QHL

50,000

397,873,501

0.01

RAMELIUS RESOURCES ORDINARY

RMS

500

468,975,107

0.00

RAMSAY HEALTH CARE ORDINARY

RHC

598,936

202,081,252

0.30

RCG CORPORATION LTD ORDINARY

RCG

1,025,300

304,342,911

0.34

17/04/2015 9:00:11 AM

18

Reported Daily Short Positions for 13/04/15
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

RCR TOMLINSON ORDINARY

RCR

572,151

138,745,453

0.41

REA GROUP ORDINARY

REA

2,092,096

131,714,699

1.59

RECALL HOLDINGS LTD ORDINARY

REC

413,336

313,674,711

0.13

RECKON LIMITED ORDINARY

RKN

1,453,071

112,084,762

1.30

RED 5 LIMITED ORDINARY

RED

174,739

759,451,008

0.02

RED FORK ENERGY ORDINARY

RFE

112,160

501,051,719

0.02

REDBANK ENERGY LTD ORDINARY

AEJ

13

786,287

0.00

REGIONAL EXPRESS ORDINARY

REX

25,917

110,154,375

0.02

REGIS HEALTHCARE LTD ORDINARY

REG

634,871

300,345,797

0.21

REGIS RESOURCES ORDINARY

RRL

30,235,339

499,781,595

6.05

RESMED INC CDI 10:1

RMD

3,467,328

1,403,838,170

0.25

RESOLUTE MINING ORDINARY

RSG

10,308,728

641,189,223

1.61

RESOURCE GENERATION ORDINARY

RES

1

581,380,338

0.00

RETAIL FOOD GROUP ORDINARY

RFG

4,366,640

161,055,966

2.71

REX MINERALS LIMITED ORDINARY

RXM

718,032

220,519,784

0.33

RIDLEY CORPORATION ORDINARY

RIC

18,396

307,817,071

0.01

RIO TINTO LIMITED ORDINARY

RIO

4,291,822

424,192,412

1.01

RNY PROPERTY TRUST UNITS

RNY

1,000

263,413,889

0.00

ROX RESOURCES ORDINARY

RXL

5,523,255

850,540,095

0.65

ROYAL WOLF HOLDINGS ORDINARY

RWH

186,029

100,387,052

0.19

17/04/2015 9:00:11 AM

19

Reported Daily Short Positions for 13/04/15
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

SAI GLOBAL LIMITED ORDINARY

SAI

634,378

211,761,727

0.30

SALMAT LIMITED ORDINARY

SLM

11,073

159,812,799

0.01

SAMSON OIL & GAS LTD ORDINARY

SSN

466,800

2,837,782,022

0.02

SANDFIRE RESOURCES ORDINARY

SFR

324,136

156,428,011

0.21

SANTOS LTD ORDINARY

STO

34,777,616

1,002,289,426

3.47

SARACEN MINERAL ORDINARY

SAR

4,358,123

792,784,738

0.55

SCA PROPERTY GROUP STAPLED SECURITIES

SCP

17,596,490

681,884,582

2.58

SCENTRE GRP STAPLED

SCG

11,072,303

5,324,296,678

0.21

SEDGMAN LIMITED ORDINARY

SDM

543,805

227,059,277

0.24

SEEK LIMITED ORDINARY

SEK

13,682,988

344,076,965

3.98

SELECT HARVESTS ORDINARY

SHV

1,197,444

70,940,874

1.69

SENEX ENERGY LIMITED ORDINARY

SXY

90,024,359

1,149,657,377

7.83

SEVEN GROUP HOLDINGS ORDINARY

SVW

7,449,380

296,260,281

2.51

SEVEN WEST MEDIA LTD ORDINARY

SWM

44,425,107

999,160,872

4.45

SG FLEET GROUP LTD ORDINARY

SGF

8,109

242,691,826

0.00

SHINE CORPORATE ORDINARY

SHJ

387,065

172,400,081

0.22

SIGMA PHARMACEUTICAL ORDINARY

SIP

12,077,245

1,093,424,867

1.10

SILEX SYSTEMS ORDINARY

SLX

4,801,767

170,467,339

2.82

SILVER CHEF LIMITED ORDINARY

SIV

25,000

30,917,235

0.08

SILVER LAKE RESOURCE ORDINARY

SLR

17,897,232

503,233,971

3.56

17/04/2015 9:00:11 AM

20

Reported Daily Short Positions for 13/04/15
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

SIMS METAL MGMT LTD ORDINARY

SGM

17,143,511

204,795,889

8.37

SINGAPORE TELECOMM. CHESS DEPOSITARY INT

SGT

4,237,195

136,947,073

3.09

SINO GAS ENERGY ORDINARY

SEH

13,523,885

1,544,247,358

0.88

SIRIUS RESOURCES NL ORDINARY

SIR

15,656,836

341,638,269

4.58

SIRTEX MEDICAL ORDINARY

SRX

299,324

56,530,231

0.53

SKILLED GROUP LTD ORDINARY

SKE

6,452,663

235,898,291

2.74

SKY NETWORK ORDINARY

SKT

247,691

389,139,785

0.06

SKYCITY ENT GRP LTD ORDINARY

SKC

8,128,245

587,472,741

1.38

SKYDIVE THE BEACH GR ORDINARY

SKB

284,663

293,369,700

0.10

SLATER & GORDON ORDINARY

SGH

5,296,618

209,730,529

2.53

SMS MANAGEMENT. ORDINARY

SMX

1,055,424

69,311,365

1.52

SONIC HEALTHCARE ORDINARY

SHL

3,270,610

401,991,556

0.81

SOUL PATTINSON (W.H) ORDINARY

SOL

70,124

239,395,320

0.03

SPARK INFRASTRUCTURE STAPLED US PROHIBT.

SKI

46,463,619

1,466,360,128

3.17

SPARK NEW ZEALAND ORDINARY

SPK

5,506,654

1,834,783,488

0.30

SPDR 200 FUND ETF UNITS

STW

64,491

48,705,598

0.13

SPECIALTY FASHION ORDINARY

SFH

31,994

192,236,121

0.02

SPOTLESS GRP HLD LTD ORDINARY

SPO

44,155,683

1,098,290,178

4.02

ST BARBARA LIMITED ORDINARY

SBM

5,292,504

495,102,525

1.07

STARPHARMA HOLDINGS ORDINARY

SPL

7,186,935

319,138,501

2.25

17/04/2015 9:00:11 AM

21

Reported Daily Short Positions for 13/04/15
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

STEADFAST GROUP LTD ORDINARY

SDF

9,225,275

741,449,461

1.24

STHN CROSS MEDIA ORDINARY

SXL

25,871,158

732,319,622

3.53

STOCKLAND UNITS/ORD STAPLED

SGP

5,281,348

2,361,717,862

0.22

STRAITS RES LTD. ORDINARY

SRQ

20,212

1,217,730,293

0.00

STRIKE ENERGY LTD ORDINARY

STX

100,000

833,330,946

0.01

STW COMMUNICATIONS ORDINARY

SGN

16,005,122

409,699,000

3.91

SUNCORP GROUP LTD ORDINARY

SUN

6,183,533

1,286,600,980

0.48

SUNDANCE ENERGY ORDINARY

SEA

5,477,682

549,351,227

1.00

SUNDANCE RESOURCES ORDINARY

SDL

64,236,899

3,110,250,938

2.07

SUNLAND GROUP LTD ORDINARY

SDG

125,545

181,710,087

0.07

SUPER RET REP LTD ORDINARY

SUL

16,057,079

197,030,571

8.15

SURFSTITCH GROUP LTD ORDINARY

SRF

89,001

214,104,859

0.04

SWICK MINING ORDINARY

SWK

65,000

217,643,703

0.03

SYD AIRPORT STAPLED US PROHIBIT.

SYD

20,253,317

2,216,216,041

0.91

SYRAH RESOURCES ORDINARY

SYR

6,056,195

165,223,076

3.67

TABCORP HOLDINGS LTD ORDINARY

TAH

14,554,208

829,399,821

1.75

TALISMAN MINING ORDINARY

TLM

1

131,538,627

0.00

TAP OIL LIMITED ORDINARY

TAP

16,923

243,288,334

0.01

TASSAL GROUP LIMITED ORDINARY

TGR

338,703

146,897,115

0.23

TATTS GROUP LTD ORDINARY

TTS

13,048,253

1,446,215,698

0.90

17/04/2015 9:00:11 AM

22

Reported Daily Short Positions for 13/04/15
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

1,607,961

309,209,455

0.52

TELSTRA CORPORATION. ORDINARY

TLS

21,355,494

12,225,655,836

0.17

TEN NETWORK HOLDINGS ORDINARY

TEN

126,357,471

2,630,984,596

4.80

TERANGA GOLD CORP CDI 1:1

TGZ

1,374

65,500,354

0.00

TFS CORPORATION LTD ORDINARY

TFC

15,947,410

326,983,445

4.88

THE PAS GROUP LTD ORDINARY

PGR

23,913

136,690,860

0.02

THE REJECT SHOP ORDINARY

TRS

1,497,086

28,844,648

5.19

THINK CHILDCARE EDU ORDINARY

TNK

500,000

39,600,000

1.26

THORN GROUP LIMITED ORDINARY

TGA

22,222

151,337,839

0.01

TIGER RESOURCES ORDINARY

TGS

7,421,638

1,143,541,406

0.65

TOLL HOLDINGS LTD ORDINARY

TOL

1,159,516

717,437,878

0.16

TORO ENERGY LIMITED ORDINARY

TOE

1

1,903,769,581

0.00

TOUCHCORP LTD ORDINARY

TCH

125,000

115,963,568

0.11

TOX FREE SOLUTIONS ORDINARY

TOX

655,513

133,949,884

0.49

TPG TELECOM LIMITED ORDINARY

TPM

15,092,960

793,808,141

1.90

TRADE ME GROUP ORDINARY

TME

3,824,846

396,830,595

0.96

TRANSFIELD SERVICES ORDINARY

TSE

8,471,010

512,457,716

1.65

TRANSPACIFIC INDUST. ORDINARY

TPI

90,180,942

1,579,914,690

5.71

TRANSURBAN GROUP TRIPLE STAPLED SEC.

TCL

10,672,039

1,914,461,916

0.56

TREASURY GROUP ORDINARY

TRG

136,951

27,604,144

0.50

17/04/2015 9:00:11 AM

23

Reported Daily Short Positions for 13/04/15
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

TREASURY WINE ESTATE ORDINARY

TWE

15,470,451

651,261,403

2.38

TRITON MIN LTD ORDINARY

TON

672,857

332,096,717

0.20

TROY RESOURCES LTD ORDINARY

TRY

5,319,860

195,265,161

2.72

UGL LIMITED ORDINARY

UGL

17,142,286

166,511,240

10.29

UNILIFE CORPORATION CDI 6:1

UNS

120,000

263,223,282

0.05

UXC LIMITED ORDINARY

UXC

313,118

332,978,025

0.09

VEDA GROUP LTD ORDINARY

VED

10,615,644

842,455,407

1.26

VILLA WORLD LTD. ORDINARY

VLW

67,452

110,344,277

0.06

VILLAGE ROADSHOW LTD ORDINARY

VRL

4,509,066

159,522,488

2.83

VIRGIN AUS HLDG LTD ORDINARY

VAH

29,826,184

3,524,912,131

0.85

VIRTUS HEALTH LTD ORDINARY

VRT

4,350,089

79,935,938

5.44

VISION EYE INSTITUTE ORDINARY

VEI

343,685

179,546,437

0.19

VOCATION LTD ORDINARY

VET

4,349,559

230,000,000

1.89

VOCUS COMMS LTD ORDINARY

VOC

6,389,892

105,441,949

6.06

WAM CAPITAL LIMITED ORDINARY

WAM

21

447,215,071

0.00

WARRNAMBOOL CHEESE ORDINARY

WCB

19

56,098,797

0.00

WATPAC LIMITED ORDINARY

WTP

4,248,718

189,258,397

2.24

WDS LIMITED ORDINARY

WDS

50,000

144,740,614

0.03

WEBJET LIMITED ORDINARY

WEB

548,820

80,397,959

0.68

WESFARMERS LIMITED ORDINARY

WES

10,314,827

1,123,752,517

0.92

17/04/2015 9:00:11 AM

24

Reported Daily Short Positions for 13/04/15
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

WESTERN AREAS LTD ORDINARY

WSA

2,851,026

232,580,131

1.23

WESTERN DESERT RES. ORDINARY

WDR

2,490,070

620,049,919

0.40

WESTFIELD CORP STAPLED

WFD

3,038,746

2,078,089,686

0.15

WESTFIELD GROUP ORD/UNIT STAPLED SEC

WDC

945,234

2,078,089,686

0.05

WESTPAC BANKING CORP ORDINARY

WBC

35,428,880

3,120,176,969

1.14

WHITE ENERGY COMPANY ORDINARY

WEC

5,272,515

328,374,494

1.61

WHITEHAVEN COAL ORDINARY

WHC

79,419,750

1,026,045,885

7.74

WOODSIDE PETROLEUM ORDINARY

WPL

4,250,061

823,910,657

0.52

WOOLWORTHS LIMITED ORDINARY

WOW

90,082,421

1,263,154,987

7.13

WORLEYPARSONS LTD ORDINARY

WOR

17,796,009

244,389,452

7.28

XERO LTD ORDINARY

XRO

52,543

136,016,804

0.04

YANCOAL AUST LTD ORDINARY

YAL

368

994,216,659

0.00

Z ENERGY LTD ORDINARY

ZNZ

3,052,800

400,000,000

0.76

17/04/2015 9:00:11 AM

25



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