AAC TECHNOLOGIES HOLDINGS INC. - Short Position History View Stock Details

Current Active Short Positions

Holder Issuer Net Short Position Position Date Origin
Citigroup Inc. AAC Technologies Holdings Inc. 3.03% 2020-04-22 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.38% 2020-04-27 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.19% 2017-11-08 Hong Kong

Short Position History

Holder Net Short Position Position Date Origin
Citigroup Inc. AAC Technologies Holdings Inc. 2.61% 2020-04-21 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.39% 2020-04-20 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.24% 2020-02-05 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.95% 2020-02-18 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.82% 2019-03-15 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.82% 2019-01-30 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.16% 2018-07-31 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.95% 2019-08-20 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.75% 2019-07-03 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.76% 2019-02-26 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.03% 2019-08-21 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.37% 2019-11-21 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.23% 2019-05-14 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.37% 2019-11-21 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.3% 2019-01-31 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.0% 2019-12-19 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.53% 2019-11-13 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.58% 2019-04-08 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.44% 2020-04-16 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.44% 2019-09-10 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.16% 2018-10-26 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.36% 2019-10-14 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.09% 2018-03-01 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.98% 2019-12-23 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.53% 2019-11-08 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.18% 2018-08-22 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.05% 2020-01-30 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.37% 2019-11-25 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.77% 2019-03-19 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.05% 2020-01-31 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.48% 2019-09-05 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.01% 2020-01-17 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.27% 2020-02-10 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.17% 2018-07-30 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.98% 2020-01-21 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.83% 2019-06-04 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.41% 2019-01-28 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.29% 2018-10-22 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.73% 2019-03-26 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.1% 2019-05-22 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.78% 2019-03-22 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.62% 2018-03-08 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.24% 2018-08-24 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.89% 2020-02-21 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.13% 2018-05-24 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.55% 2018-06-08 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.52% 2019-11-07 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.23% 2020-02-06 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.4% 2019-10-10 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.02% 2018-11-08 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.28% 2020-04-10 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.43% 2019-01-29 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.04% 2019-08-09 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.23% 2018-08-02 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.51% 2019-11-05 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.51% 2019-11-05 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.26% 2019-04-29 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.79% 2019-03-13 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.28% 2019-05-17 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.37% 2020-04-17 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.92% 2019-12-18 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.23% 2018-08-29 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.59% 2019-03-06 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.23% 2019-05-06 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 1.8% 2019-03-07 Hong Kong
JPMorgan Chase & Co. AAC Technologies Holdings Inc. 0.91% 2019-07-02 Hong Kong

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