DZ20211231

*Key points

Financials

*600599 and 600272 to disclose 2021 annual reports on Jan 28th, first batch in Shanghai Stock Exchange.

*Yi Huiman, head of CSRC said to promote market stable operation using multiple measures with wide volatility to be prevented and restricted measures will be issued under prudent consideration to avoid group fallacies.

 

Industrial Economy

*The SASAC issued opinions in promoting high-quality development of central enterprises for carbon peak and neutral which said to achieve progress in optimization of energy structure by 2025 with energy consumption per 10k capacity down 15% vs 2020 and installment of renewable energy power equip over 50%.

*Zou Lan, head of PBoC financial market dept encourages financial instutitons to assist M&A projects of inter-real estate market with supporting financing environment created.

*Sun Guofeng, head of PBoC monetary policy dept said the first batch of carbon reduction supporting tool of cny 85.5bn has been issued.

*PBoC Shanghai headquarter said to steadily promote digital RMB in trial in 2022.

 

Co Focus

*Andon Health (002432 CH) revised record saying it holds 70.46% (80% before revision) stake of iHealth, the channel for sale in the U.S. market.

 

Dec 30th Block Trade

*Block Trade Info

*Discount

- Zhonghang Electronic (300114 CH) saw 1 block trade worth 78mn at 17.1 yuan per share, 2.51pct premium from last closing.

- Gigadevice Semiconductor (603986 CH) saw 4 block trade worth 109mn at 169.41yuan per share, 4pct discount from last closing.

- Kingsemi (688037 CH) saw 1 block trade worth 32mn at 169.52yuan per share, -1.5 pct discount from last closing.

- Wingtech Tech (600745 CH) saw 3 block trade worth 68mn at 129.53yuan per share, 1.8pct discount from last closing.

 

Premium

- ZTE (000063 CH) saw 1 block trade worth 5.7mn at 35.6 yuan per share, 7.94pct premium from last closing.

 

*Margin Trade

Total Margin Balance

1.7214 trillion

Total Short Selling Balance

119.4 billion

SH Margin Balance

0.9086trillion

SH Short Selling Balance

76.9 billion

Top Five Margin Trade Net Bought (in CNY)

Top Five Short Selling Net Sold (in shares)

601919

130mio

601328

11.16mio

600366

113mio

600016

9.96mio

600668

94mio

601985

8.84mio

603501

91mio

601988

8.3mio

601318

83mio

601818

8.0mio

SZ Margin Balance

0.8125 trillion

SZ Short Selling Balance

42.5 billion

Top Five Margin Trade Net Bought (in CNY)

Top Five Short Selling Net Sold (in shares)

300058

214mio

000338

7.54mio

002639

193mio

300433

4.66mio

000858

190mio

000725

2.55mio

002466

135mio

002378

2.42mio

000537

121mio

000333

1.94mio

*Connection Trade

Southbound trading was suspended on Dec 30th

 

*Index Futures

Position of Top 20 members (Unit lots)

CSI 300 Index Futures

Trading Volume

Change*

Long OI

Change*

Short OI

Change*

IF2201

82,003

-4,121

53,987

-3,165

57,136

-2,420

IF2203

24,828

-3,125

49,989

-439

70,251

89

IF2206

7,036

-1,396

24,113

388

32,392

434

SSE 50 Index Futures

Trading Volume

Change*

Long OI

Change*

Short OI

Change*

IH2201

49,106

-8,587

37,669

-3,558

41,946

-3,437

IH2203

15,102

-1,026

26,818

-324

35,059

201

IH2206

5,577

-1,284

12,903

1

18,473

217

CSI 500 Index Futures

Trading Volume

Change*

Long OI

Change*

Short OI

Change*

IC2201

73,488

21,328

71,744

1,687

70,106

3,024

IC2203

19,453

6,109

64,027

1,318

80,323

1,499

IC2206

8,916

1,459

56,680

956

71,561

983

 

*Index Options

Position of Top 20 members (Unit lots)

CSI 300 Index Options

Trading Volume

Change*

Long OI

Change*

Short OI

Change*

IO2201

141079

-12417

89198

715

93284

744

 

*Treasury Futures

Position of Top 20 members (Unit lots)

2-Year Treasury Bond Futures

Trading Volume

Change*

Long OI

Change*

Short OI

Change*

TS2203

32,991

7,797

39,406

719

44,300

781

5-Year Treasury Bond Futures

Trading Volume

Change*

Long OI

Change*

Short OI

Change*

TF2203

39,813

7,710

71,200

1,076

80,596

631

10-Year Treasury Bond Futures

Trading Volume

Change*

Long OI

Change*

Short OI

Change*

T2203

96,891

18,160

131,797

2,028

136,527

1,693

T2206

7333

2244

9724

434

9282

374

 

*Night Session Commodities Market (As of 02:30 am)

Top 3 Gainers (Dominant Contract)

Product

Contract

Price

Change %

Trading Volume

Open Interests

Ethenylbenzene

eb2202

8,554.0

+1.72%

88,620

141,391

Zinc

zn2202

24,425.0

+1.58%

90,058

96,964

EG

eg2205

4,941.0

+1.52%

135,109

224,816

Top 3 Loser (Dominant Contract)

Product

Contract

Price

Change %

Trading Volume

Open Interests

Glass

fg205

1,718.0

-1.6%

134,948

256,174

Soda Ash

sa205

2,232.0

-1.11%

284,534

403,263

Hot-rolled Coil

hc2205

4,409.0

-1.05%

181,959

811,807

 

Commodities (night session):

* February NYMEX crude oil contract down 0.13% to closed at $76.46/b, March Brent contract down 0.25% to closed at $79.01/b, INE crude oil active contract up 1.25% to closed at 500.5 yuan/b.

* COMEX gold active contract closed at $1815.5/oz (up 0.54%), SHFE gold active contract closed at 373.8 yuan/gram (up 0.82%).

* Metals performed mixed. LME aluminum rose 0.16%, copper down 0.7%. SHFE aluminum up 0.89%, copper up 0.46%, bonded copper up 0.35%. The production cut of San Ciprian triggered by surging power cost pushed up aluminum price.

* Commodity futures saw diverge performance. Energy & chemistry sector performed mixed, ethenylbenzene rose 1.72%, EG went up 1.52%, PTA up 1.41%, glass declined 1.6%. Black series mostly went down, hot-rolled coil down 1.05%, thermal coal down 0.88%, coking coal up 0.43%. Agriculture commodity futures performed mixed, cotton rose 1.23%, No.2 Soybeans down 0.97%.

Download PDF

 

 

 

DISCLAIMER

The report is issued by Orient Securities Co. LTD (Orient Securities) and Shanghai Orient Futures Co. LTD (Orient Futures) to institutional investors. Opinions expressed may differ from those of other divisions of Orient Securities, including Orient Securities Research Institute. Orient Securities may trade as principal in instruments identified herein and may accumulate/have accumulated a long or short position in instruments or derivatives thereof. Orient Securities has policies designed to negate conflicts of interest. This e-mail is not an official confirmation of terms and unless stated, is not a recommendation, offer or solicitation to buy or sell. Any prices or quotations contained herein are indicative only. Communications may be monitored.