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序号    投资者名称                  配售对象名称                                                   证券账户      申购数量(万股)    配售股数(股)    获配金额(元)    新股配售经纪佣金(元)    应缴款总额(元)    机构类型

1       睿远基金管理有限公司        睿远基金洞见价值一期3号集合资产管理计划                        B882360057    700                 2,115             41221.35          206.11                    41427.46            C   

2       睿远基金管理有限公司        睿远基金洞见价值一期2号集合资产管理计划                        B882360065    700                 2,115             41221.35          206.11                    41427.46            C   

3       睿远基金管理有限公司        睿远基金洞见价值一期15号集合资产管理计划                       B882360073    700                 2,115             41221.35          206.11                    41427.46            C   

4       睿远基金管理有限公司        睿远基金洞见价值一期13号集合资产管理计划                       B882360081    700                 2,115             41221.35          206.11                    41427.46            C   

5       睿远基金管理有限公司        睿远基金睿见1号集合资产管理计划                                B882362114    700                 2,115             41221.35          206.11                    41427.46            C   

6       睿远基金管理有限公司        睿远基金洞见价值一期1号集合资产管理计划                        B882362122    700                 2,115             41221.35          206.11                    41427.46            C   

7       睿远基金管理有限公司        睿远基金洞见价值一期14号集合资产管理计划                       B882362130    700                 2,115             41221.35          206.11                    41427.46            C   

8       睿远基金管理有限公司        睿远基金洞见价值一期12号集合资产管理计划                       B882362897    700                 2,115             41221.35          206.11                    41427.46            C   

9       睿远基金管理有限公司        睿远基金洞见价值一期7号集合资产管理计划                        B882362902    700                 2,115             41221.35          206.11                    41427.46            C   

10      睿远基金管理有限公司        睿远基金洞见价值一期10号集合资产管理计划                       B882362910    700                 2,115             41221.35          206.11                    41427.46            C   

11      睿远基金管理有限公司        睿远基金洞见价值一期4号集合资产管理计划                        B882363330    700                 2,115             41221.35          206.11                    41427.46            C   

12      睿远基金管理有限公司        睿远基金睿见2号集合资产管理计划                                B882363699    700                 2,115             41221.35          206.11                    41427.46            C   

13      睿远基金管理有限公司        睿远基金洞见价值一期11号集合资产管理计划                       B882365023    700                 2,115             41221.35          206.11                    41427.46            C   

14      睿远基金管理有限公司        睿远基金洞见价值一期17号集合资产管理计划                       B882365502    700                 2,115             41221.35          206.11                    41427.46            C   

15      睿远基金管理有限公司        睿远基金洞见价值一期5号集合资产管理计划                        B882365510    700                 2,115             41221.35          206.11                    41427.46            C   

16      睿远基金管理有限公司        睿远基金洞见价值一期6号集合资产管理计划                        B882367334    700                 2,115             41221.35          206.11                    41427.46            C   

17      睿远基金管理有限公司        睿远基金洞见价值一期8号集合资产管理计划                        B882368241    700                 2,115             41221.35          206.11                    41427.46            C   

18      睿远基金管理有限公司        睿远基金洞见价值一期9号集合资产管理计划                        B882369514    700                 2,115             41221.35          206.11                    41427.46            C   

19      睿远基金管理有限公司        睿远基金睿见5号集合资产管理计划                                B882372973    700                 2,115             41221.35          206.11                    41427.46            C   

20      睿远基金管理有限公司        睿远基金睿见3号集合资产管理计划                                B882507861    700                 2,115             41221.35          206.11                    41427.46            C   

21      睿远基金管理有限公司        睿远基金稳见1号集合资产管理计划                                B882639189    700                 2,115             41221.35          206.11                    41427.46            C   

22      睿远基金管理有限公司        睿远基金睿见6号集合资产管理计划                                B882682718    700                 2,115             41221.35          206.11                    41427.46            C   

23      睿远基金管理有限公司        睿远基金睿见7号集合资产管理计划                                B882683586    700                 2,115             41221.35          206.11                    41427.46            C   

24      睿远基金管理有限公司        睿远基金-兴业信托单一资产管理计划                              B882820861    700                 2,115             41221.35          206.11                    41427.46            C   

25      睿远基金管理有限公司        睿远基金洞见价值一期16号集合资产管理计划                       B882835450    700                 2,115             41221.35          206.11                    41427.46            C   

26      睿远基金管理有限公司        睿远基金睿见8号集合资产管理计划                                B882985433    700                 2,115             41221.35          206.11                    41427.46            C   

27      睿远基金管理有限公司        睿远基金-兴业国信资管单一资产管理计划                          B883075401    700                 2,115             41221.35          206.11                    41427.46            C   

28      睿远基金管理有限公司        睿远基金稳见2号集合资产管理计划                                B883157091    700                 2,115             41221.35          206.11                    41427.46            C   

29      睿远基金管理有限公司        睿远基金睿见9号集合资产管理计划                                B883182224    700                 2,115             41221.35          206.11                    41427.46            C   

30      睿远基金管理有限公司        睿远成长价值混合型证券投资基金                                 D890168972    700                 3,651             71157.99          355.79                    71513.78            A   

31      睿远基金管理有限公司        睿远均衡价值三年持有期混合型证券投资基金                       D890207124    700                 3,004             58547.96          292.74                    58840.70            A   

32      东方基金管理有限责任公司    东方新策略灵活配置混合型证券投资基金                           D890002435    580                 2,489             48510.61          242.55                    48753.16            A   

33      东方基金管理有限责任公司    东方新思路灵活配置混合型证券投资基金                           D890005205    700                 3,004             58547.96          292.74                    58840.70            A   

34      东方基金管理有限责任公司    东方新价值混合型证券投资基金                                   D890018046    700                 3,004             58547.96          292.74                    58840.70            A   

35      东方基金管理有限责任公司    东方创新科技混合型证券投资基金                                 D890023889    700                 3,004             58547.96          292.74                    58840.70            A   

36      东方基金管理有限责任公司    东方互联网嘉混合型证券投资基金                                 D890036573    510                 2,188             42644.12          213.22                    42857.34            A   

37      东方基金管理有限责任公司    东方盛世灵活配置混合型证券投资基金                             D890038428    620                 2,660             51843.40          259.22                    52102.62            A   

38      东方基金管理有限责任公司    东方区域发展混合型证券投资基金                                 D890057781    700                 3,004             58547.96          292.74                    58840.70            A   

39      东方基金管理有限责任公司    东方岳灵活配置混合型证券投资基金                               D890061811    700                 3,004             58547.96          292.74                    58840.70            A   

40      东方基金管理有限责任公司    东方价值挖掘灵活配置混合型证券投资基金                         D890091395    700                 3,004             58547.96          292.74                    58840.70            A   

41      东方基金管理有限责任公司    东方龙混合型开放式证券投资基金                                 D890714215    700                 3,004             58547.96          292.74                    58840.70            A   

42      东方基金管理有限责任公司    东方精选混合型开放式证券投资基金                               D890748442    700                 3,004             58547.96          292.74                    58840.70            A   

43      东方基金管理有限责任公司    东方策略成长混合型开放式证券投资基金                           D890765779    700                 3,004             58547.96          292.74                    58840.70            A   

44      东方基金管理有限责任公司    东方核心动力混合型证券投资基金                                 D890768832    700                 3,004             58547.96          292.74                    58840.70            A   

45      东方基金管理有限责任公司    东方新能源汽车主题混合型证券投资基金                           D890791233    700                 3,004             58547.96          292.74                    58840.70            A   

46      东方基金管理有限责任公司    东方成长回报平衡混合型证券投资基金                             D890810011    650                 2,789             54357.61          271.79                    54629.40            A   

47      东方基金管理有限责任公司    东方新兴成长混合型证券投资基金                                 D890828755    700                 3,004             58547.96          292.74                    58840.70            A   

48      东方基金管理有限责任公司    东方主题精选混合型证券投资基金                                 D899901738    630                 2,703             52681.47          263.41                    52944.88            A   

49      东方基金管理有限责任公司    东方睿鑫热点挖掘灵活配置混合型证券投资基金                     D899902815    550                 2,360             45996.40          229.98                    46226.38            A   

50      东方基金管理有限责任公司    东方鼎新灵活配置混合型证券投资基金                             D899904231    700                 3,004             58547.96          292.74                    58840.70            A   

51      德邦基金管理有限公司        德邦鑫星价值灵活配置混合型证券投资基金                         D890004550    620                 2,660             51843.40          259.22                    52102.62            A   

52      德邦基金管理有限公司        德邦新回报灵活配置混合型证券投资基金                           D890064932    700                 3,004             58547.96          292.74                    58840.70            A   

53      德邦基金管理有限公司        德邦稳盈增长灵活配置混合型证券投资基金                         D890073999    700                 3,004             58547.96          292.74                    58840.70            A   

54      德邦基金管理有限公司        德邦量化优选股票型证券投资基金(LOF)                          D890085548    500                 2,145             41806.05          209.03                    42015.08            A   

55      德邦基金管理有限公司        德邦民裕进取量化精选灵活配置混合型证券投资基金                 D890147049    510                 2,188             42644.12          213.22                    42857.34            A   

56      德邦基金管理有限公司        德邦乐享生活混合型证券投资基金                                 D890167455    700                 3,004             58547.96          292.74                    58840.70            A   

57      德邦基金管理有限公司        德邦大健康灵活配置混合型证券投资基金                           D899905635    700                 3,004             58547.96          292.74                    58840.70            A   

58      上海富善投资有限公司        上海富善投资有限公司-富善投资-安享专享1期私募证券投资基金    B882658573    700                 2,115             41221.35          206.11                    41427.46            C   

59      上海富善投资有限公司        上海富善投资有限公司-富善投资-安享专享2号私募证券投资基金      B882749073    700                 2,115             41221.35          206.11                    41427.46            C   

60      上海富善投资有限公司        致远CTA十七期私募基金                                          B882889904    360                 1,087             21185.63          105.93                    21291.56            C   

61      同泰基金管理有限公司        同泰慧盈混合型证券投资基金                                     D890196983    550                 2,360             45996.40          229.98                    46226.38            A   

62      泰康资产管理有限责任公司    泰康资产管理有限责任公司短融增益2号资产管理产品                B880039993    700                 2,115             41221.35          206.11                    41427.46            C   

63      泰康资产管理有限责任公司    泰康资产管理有限责任公司稳泰价值2号资产管理产品                B880105516    700                 2,115             41221.35          206.11                    41427.46            C   

64      泰康资产管理有限责任公司    中国邮政集团公司企业年金计划                                   B880115587    700                 3,004             58547.96          292.74                    58840.70            A   

65      泰康资产管理有限责任公司    泰康资产丰益股票型养老金产品                                   B880149277    700                 3,004             58547.96          292.74                    58840.70            A   

66      泰康资产管理有限责任公司    泰康资产管理有限责任公司短融增益5号资产管理产品                B880155765    700                 2,115             41221.35          206.11                    41427.46            C   

67      泰康资产管理有限责任公司    泰康资产管理有限责任公司短融增益6号资产管理产品                B880155773    700                 2,115             41221.35          206.11                    41427.46            C   

68      泰康资产管理有限责任公司    泰康资产管理有限责任公司稳泰价值3号资产管理产品                B880156054    700                 2,115             41221.35          206.11                    41427.46            C   

69      泰康资产管理有限责任公司    泰康资产管理有限责任公司主题精选资产管理产品                   B880298555    700                 2,115             41221.35          206.11                    41427.46            C   

70      泰康资产管理有限责任公司    泰康资产管理有限责任公司银泰7号                                B880385035    700                 2,115             41221.35          206.11                    41427.46            C   

71      泰康资产管理有限责任公司    泰康资产管理有限责任公司银泰8号                                B880385051    700                 2,115             41221.35          206.11                    41427.46            C   

72      泰康资产管理有限责任公司    中国铁路济南局集团有限公司企业年金计划                         B880385572    700                 3,004             58547.96          292.74                    58840.70            A   

73      泰康资产管理有限责任公司    泰康资产管理有限责任公司多因子增强策略资产管理产品             B880407722    700                 2,115             41221.35          206.11                    41427.46            C   

74      泰康资产管理有限责任公司    中国工商银行股份有限公司企业年金计划                           B880560978    700                 3,004             58547.96          292.74                    58840.70            A   

75      泰康资产管理有限责任公司    泰康资产开泰稳健增值6号资产管理产品                            B880710701    700                 2,115             41221.35          206.11                    41427.46            C   

76      泰康资产管理有限责任公司    泰康资产管理有限责任公司银泰12号                               B880842304    700                 2,115             41221.35          206.11                    41427.46            C   

77      泰康资产管理有限责任公司    中国农业银行离退休人员福利负债专户                             B880892406    700                 2,115             41221.35          206.11                    41427.46            C   

78      泰康资产管理有限责任公司    泰康人寿保险有限责任公司—传统—普通保险产品                   B881024027    700                 3,004             58547.96          292.74                    58840.70            A   

79      泰康资产管理有限责任公司    泰康人寿保险有限责任公司-投连-进取                             B881024035    700                 3,004             58547.96          292.74                    58840.70            A   

80      泰康资产管理有限责任公司    泰康人寿保险有限责任公司-分红-个人分红                         B881024051    700                 3,004             58547.96          292.74                    58840.70            A   

81      泰康资产管理有限责任公司    泰康人寿保险有限责任公司分红型保险产品                         B881024069    700                 3,004             58547.96          292.74                    58840.70            A   

82      泰康资产管理有限责任公司    泰康资产兴赢7号专户                                            B881041927    700                 2,115             41221.35          206.11                    41427.46            C   

83      泰康资产管理有限责任公司    国网浙江省电力公司企业年金计划                                 B881060620    700                 3,004             58547.96          292.74                    58840.70            A   

84      泰康资产管理有限责任公司    泰康人寿保险有限责任公司—万能—个险万能                       B881064166    700                 3,004             58547.96          292.74                    58840.70            A   

85      泰康资产管理有限责任公司    泰康人寿保险有限责任公司—万能—团体万能                       B881064174    700                 3,004             58547.96          292.74                    58840.70            A   

86      泰康资产管理有限责任公司    泰康资产管理有限责任公司价值甄选资产管理产品                   B881067143    700                 2,115             41221.35          206.11                    41427.46            C   

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