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3549    太平洋资产管理有限责任公司                      B881031914    太平洋卓越八十四号产品                                                                C    2,304    95,800.32     479       96,279.32

3550    太平洋资产管理有限责任公司                      B881031891    太平洋卓越八十二号产品                                                                C    3,686    153,263.88    766.32    154,030.20

3551    太平洋资产管理有限责任公司                      B880970937    太平洋卓越四十八号产品                                                                C    1,920    79,833.60     399.17    80,232.77

3552    太平洋资产管理有限责任公司                      B883283148    太平洋卓越财富量化精选股票型产品                                                      C    1,536    63,866.88     319.33    64,186.21

3553    太平洋资产管理有限责任公司                      B883334672    太平洋研究精选股票型产品                                                              C    3,686    153,263.88    766.32    154,030.20

3554    太平洋资产管理有限责任公司                      B883334703    太平洋行业轮动股票型产品                                                              C    3,686    153,263.88    766.32    154,030.20

3555    太平洋资产管理有限责任公司                      B883283130    太平洋卓越财富股息价值股票型产品                                                      C    3,686    153,263.88    766.32    154,030.20

3556    太平洋资产管理有限责任公司                      B883334680    太平洋成长精选股票型产品                                                              C    3,686    153,263.88    766.32    154,030.20

3557    太平洋资产管理有限责任公司                      B883130044    太平洋卓越财富二号(平衡型)                                                          C    3,686    153,263.88    766.32    154,030.20

3558    上海保银投资管理有限公司                        B881208511    保银紫荆怒放私募基金                                                                  C    3,686    153,263.88    766.32    154,030.20

3559    上海保银投资管理有限公司                        B880261142    保银中国价值基金                                                                      C    3,686    153,263.88    766.32    154,030.20

3560    上海保银投资管理有限公司                        B882545916    保银多策略对冲私募基金                                                                C    3,686    153,263.88    766.32    154,030.20

3561    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882699668    致远私享二号私募证券投资基金                                                          C    2,265    94,178.70     470.89    94,649.59

3562    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882582455    致远私享十八号私募证券投资基金                                                        C    1,689    70,228.62     351.14    70,579.76

3563    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882858343    致远稳健六十三号私募证券投资基金                                                      C    1,689    70,228.62     351.14    70,579.76

3564    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882799882    致远私享三号私募证券投资基金                                                          C    384      15,966.72     79.83     16,046.55

3565    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882863233    致远稳健八十一号私募证券投资基金                                                      C    1,651    68,648.58     343.24    68,991.82

3566    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882885942    致远私享七号私募证券投资基金                                                          C    1,997    83,035.26     415.18    83,450.44

3567    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882878937    致远稳健八十三号私募证券投资基金                                                      C    1,574    65,446.92     327.23    65,774.15

3568    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882878589    致远稳健八十四号私募证券投资基金                                                      C    1,651    68,648.58     343.24    68,991.82

3569    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882879721    致远稳健八十五号私募证券投资基金                                                      C    1,651    68,648.58     343.24    68,991.82

3570    致诚卓远(珠海)投资管理合伙企业(有限合伙)    B882877282    致远稳健三十九号私募证券投资基金                                                      C    1,689    70,228.62     351.14    70,579.76

3571    德邦证券股份有限公司                            D890749016    德邦证券股份有限公司自营账户                                                          C    3,686    153,263.88    766.32    154,030.20

3572    上汽颀臻(上海)资产管理有限公司                B880587873    上汽颀臻(上海)资产管理有限公司-上汽投资-颀瑞2号                                     C    3,686    153,263.88    766.32    154,030.20

3573    上汽颀臻(上海)资产管理有限公司                B880587865    上汽颀臻(上海)资产管理有限公司-上汽投资-颀瑞1号                                     C    3,686    153,263.88    766.32    154,030.20

3574    中国银河证券股份有限公司                        D890759312    中国银河证券股份有限公司自营账户                                                      C    3,686    153,263.88    766.32    154,030.20

3575    上海珠池资产管理有限公司                        B883152067    珠池量化对冲多策略基金3期私募基金                                                     C    1,382    57,463.56     287.32    57,750.88

3576    上海珠池资产管理有限公司                        B883097348    珠池新机遇私募证券投资基金52期                                                        C    2,534    105,363.72    526.82    105,890.54

3577    上海珠池资产管理有限公司                        B883101579    珠池新机遇私募证券投资基金38期                                                        C    2,573    106,985.34    534.93    107,520.27

3578    上海珠池资产管理有限公司                        B883008608    珠池新机遇私募证券投资基金29期                                                        C    2,765    114,968.70    574.84    115,543.54

3579    首创证券有限责任公司                            D890754728    首创证券有限责任公司自营账户                                                          C    3,686    153,263.88    766.32    154,030.20

3580    上海混沌道然资产管理有限公司                    B880162487    国泰君安证券股份有限公司混沌价值二号基金                                              C    3,456    143,700.48    718.5     144,418.98

3581    上海混沌道然资产管理有限公司                    B883309172    上海混沌道然资产管理有限公司-混沌价值一号基金                                         C    1,344    55,883.52     279.42    56,162.94

3582    银河金汇证券资产管理有限公司                    A729734218    陶兴                                                                                  C    3,686    153,263.88    766.32    154,030.20

3583    银河金汇证券资产管理有限公司                    B881523123    中国建材股份有限公司                                                                  C    1,536    63,866.88     319.33    64,186.21

3584    银河金汇证券资产管理有限公司                    B881523157    南山集团有限公司                                                                      C    844      35,093.52     175.47    35,268.99

3585    银河金汇证券资产管理有限公司                    B881523173    龙口南山投资有限公司                                                                  C    768      31,933.44     159.67    32,093.11

3586    银河金汇证券资产管理有限公司                    B881302991    银河金汇通9号定向资产管理计划                                                         C    1,920    79,833.60     399.17    80,232.77

3587    九坤投资(北京)有限公司                        B883171134    九坤统计套利2号私募证券投资基金A期                                                    C    3,686    153,263.88    766.32    154,030.20

3588    九坤投资(北京)有限公司                        B883203216    九坤私享33号私募证券投资基金                                                          C    3,686    153,263.88    766.32    154,030.20

3589    九坤投资(北京)有限公司                        B882935551    九坤私享23号私募证券投资基金                                                          C    3,686    153,263.88    766.32    154,030.20

3590    九坤投资(北京)有限公司                        B883213407    九坤量化进取2号私募证券投资基金                                                       C    3,686    153,263.88    766.32    154,030.20

3591    九坤投资(北京)有限公司                        B882818199    九坤私享19号私募基金                                                                  C    2,995    124,532.10    622.66    125,154.76

3592    九坤投资(北京)有限公司                        B882926188    九坤策略精选J期私募证券投资基金                                                       C    3,686    153,263.88    766.32    154,030.20

3593    九坤投资(北京)有限公司                        B881796564    九坤策略精选A期                                                                       C    3,417    142,078.86    710.39    142,789.25

3594    九坤投资(北京)有限公司                        B882861833    九坤私享31号私募证券投资基金                                                          C    2,688    111,767.04    558.84    112,325.88

3595    九坤投资(北京)有限公司                        B882062918    九坤策略精选F期私募基金                                                               C    2,649    110,145.42    550.73    110,696.15

3596    九坤投资(北京)有限公司                        B882062829    九坤望江二号私募证券投资基金                                                          C    3,686    153,263.88    766.32    154,030.20

3597    九坤投资(北京)有限公司                        B882669095    九坤私享27号私募证券投资基金                                                          C    3,686    153,263.88    766.32    154,030.20

3598    九坤投资(北京)有限公司                        B882086881    九坤日享中证1000指数增强1号私募基金                                                   C    1,958    81,413.64     407.07    81,820.71

3599    九坤投资(北京)有限公司                        B882192739    九坤量化对冲9号私募基金                                                               C    3,686    153,263.88    766.32    154,030.20

3600    九坤投资(北京)有限公司                        B882249992    九坤策略精选M期私募基金                                                               C    3,686    153,263.88    766.32    154,030.20

3601    九坤投资(北京)有限公司                        B882704447    九坤金选中证500指数增强1号私募基金                                                    C    3,686    153,263.88    766.32    154,030.20

3602    九坤投资(北京)有限公司                        B881912152    华量九坤增强3号私募基金                                                               C    2,611    108,565.38    542.83    109,108.21

3603    九坤投资(北京)有限公司                        B882054915    九坤久安一号私募证券投资基金                                                          C    1,651    68,648.58     343.24    68,991.82

3604    九坤投资(北京)有限公司                        B881653643    华量九坤1号私募基金                                                                   C    1,958    81,413.64     407.07    81,820.71

3605    九坤投资(北京)有限公司                        B882085665    九坤策略精选D期                                                                       C    3,610    150,103.80    750.52    150,854.32

3606    阳光资产管理股份有限公司                        B883240022    阳光资产-定增优选1号资产管理产品                                                      C    3,686    153,263.88    766.32    154,030.20

3607    阳光资产管理股份有限公司                        B883151451    阳光资产-创新成长资产管理产品                                                         C    3,686    153,263.88    766.32    154,030.20

3608    阳光资产管理股份有限公司                        B881173732    阳光资产-稳健成长11号资产管理产品                                                    C    3,686    153,263.88    766.32    154,030.20

3609    阳光资产管理股份有限公司                        B881955168    阳光资管—工商银行—阳光资产—成长精选资产管理产品                                    C    3,686    153,263.88    766.32    154,030.20

3610    阳光资产管理股份有限公司                        B882015759    阳光资管-工商银行-阳光资产-制造业优选资产管理产品                                  C    3,686    153,263.88    766.32    154,030.20

3611    阳光资产管理股份有限公司                        B882015767    阳光资管-工商银行-阳光资产-消费优选资产管理产品                                    C    3,686    153,263.88    766.32    154,030.20

3612    阳光资产管理股份有限公司                        B882015678    阳光资管-工商银行-阳光资产-成长优选资产管理产品                                    C    3,686    153,263.88    766.32    154,030.20

3613    阳光资产管理股份有限公司                        B881181387    阳光资管-工商银行-阳光资产-积极配置3号资产管理产品                                 C    3,686    153,263.88    766.32    154,030.20

3614    阳光资产管理股份有限公司                        B881334061    阳光资管—工商银行—阳光资产—盈时4号(三期)资产管理产品                             C    3,686    153,263.88    766.32    154,030.20

3615    阳光资产管理股份有限公司                        B881334011    阳光资管—工商银行—阳光资产—盈时4号(二期)资产管理产品                             C    3,686    153,263.88    766.32    154,030.20

3616    阳光资产管理股份有限公司                        B881334231    阳光资管—工商银行—阳光资产—盈时4号(一期)资产管理产品                             C    3,686    153,263.88    766.32    154,030.20

3617    阳光资产管理股份有限公司                        B880845603    阳光资产-工商银行-阳光资产-盈时10号资产管理产品                                    C    3,686    153,263.88    766.32    154,030.20

3618    阳光资产管理股份有限公司                        B881089331    阳光资管-工商银行-阳光资产-稳健成长2号资产管理产品                                 C    3,686    153,263.88    766.32    154,030.20

3619    阳光资产管理股份有限公司                        B881032512    阳光资产-工商银行-行业灵活配置资产管理产品                                            C    1,920    79,833.60     399.17    80,232.77

3620    阳光资产管理股份有限公司                        B881032481    阳光资产-工商银行-研究精选资产管理产品                                                C    3,686    153,263.88    766.32    154,030.20

3621    阳光资产管理股份有限公司                        B881032520    阳光资产-工商银行-医疗保健行业精选资产管理产品                                        C    3,341    138,918.78    694.59    139,613.37

3622    阳光资产管理股份有限公司                        B881032499    阳光资产-工商银行-主动量化2号资产管理产品                                             C    1,190    49,480.20     247.4     49,727.60

3623    阳光资产管理股份有限公司                        B881032538    阳光资产-工商银行-主动配置三号资产管理产品                                            C    3,610    150,103.80    750.52    150,854.32

3624    阳光资产管理股份有限公司                        B880708225    阳光资产-工商银行-阳光资产-价值优选资产管理产品                                    C    3,686    153,263.88    766.32    154,030.20

3625    阳光资产管理股份有限公司                        B880004273    阳光资产-工商银行-主动配置二号资产管理产品                                            C    3,686    153,263.88    766.32    154,030.20

3626    上海磐耀资产管理有限公司                        B881060264    上海磐耀资产管理有限公司-磐耀FOF二期私募证券投资基金                                 C    1,612    67,026.96     335.13    67,362.09

3627    上海磐耀资产管理有限公司                        B882861037    磐耀FOF一期基金                                                                       C    3,379    140,498.82    702.49    141,201.31

3628    上海磐耀资产管理有限公司                        B882339933    磐耀致雅可转债私募投资基金                                                            C    3,302    137,297.16    686.49    137,983.65

3629    上海磐耀资产管理有限公司                        B882846972    磐耀智飞私募证券投资基金                                                              C    1,344    55,883.52     279.42    56,162.94

3630    上海磐耀资产管理有限公司                        B882935218    磐耀德誉私募证券投资基金                                                              C    1,075    44,698.50     223.49    44,921.99

3631    上海磐耀资产管理有限公司                        B882959929    磐耀致远私募证券投资基金                                                              C    1,036    43,076.88     215.38    43,292.26

3632    北京睿策投资管理有限公司                        B882176694    赛智稳健二期私募基金                                                                  C    3,686    153,263.88    766.32    154,030.20

3633    北京睿策投资管理有限公司                        B882245338    赛智稳健三期私募基金                                                                  C    3,686    153,263.88    766.32    154,030.20

3634    北京睿策投资管理有限公司                        B881378829    睿策专户二号私募基金                                                                  C    3,686    153,263.88    766.32    154,030.20

3635    北京睿策投资管理有限公司                        B881114429    睿策多策略一期私募基金                                                                C    3,686    153,263.88    766.32    154,030.20

3636    华融证券股份有限公司                            D890765787    华融证券股份有限公司自营投资账户                                                      C    3,686    153,263.88    766.32    154,030.20

3637    南京双安资产管理有限公司                        B880362590    南京双安资产管理有限公司-双安誉信宏观对冲3号基金                                      C    3,686    153,263.88    766.32    154,030.20

3638    南京双安资产管理有限公司                        B880365378    南京双安资产管理有限公司-双安誉信宏观对冲5号基金                                      C    3,686    153,263.88    766.32    154,030.20

3639    南京双安资产管理有限公司                        B880800629    南京双安资产管理有限公司-双安誉信宏观对冲6号基金                                      C    3,686    153,263.88    766.32    154,030.20

3640    南京双安资产管理有限公司                        B880519804    南京双安资产管理有限公司-双安誉信宏观对冲7号基金                                      C    3,686    153,263.88    766.32    154,030.20

3641    南京双安资产管理有限公司                        B880361992    南京双安资产管理有限公司-双安誉信量化对冲2号基金                                      C    3,686    153,263.88    766.32    154,030.20

3642    南京双安资产管理有限公司                        B881166117    南京双安资产管理有限公司-双安誉信量化对冲3号基金                                      C    3,686    153,263.88    766.32    154,030.20

3643    方正证券股份有限公司                            D890571528    方正证券股份有限公司自营账户                                                          C    3,686    153,263.88    766.32    154,030.20

3644    方正证券股份有限公司                            B881058801    方正证券量化策略定向资产管理计划                                                      C    768      31,933.44     159.67    32,093.11

3645    方正证券股份有限公司                            B881820127    方正证券高客专享3号定向资产管理计划                                                   C    3,686    153,263.88    766.32    154,030.20

3646    方正证券股份有限公司                            B881496211    方正证券高客专享2号定向资产管理计划                                                   C    2,304    95,800.32     479       96,279.32

3647    天弘基金管理有限公司                            B883308545    天弘基金弘兴单一资产管理计划                                                          C    844      35,093.52     175.47    35,268.99

3648    广东德汇投资管理有限公司                        B881386717    德汇尊享一号私募证券投资基金                                                          C    1,459    60,665.22     303.33    60,968.55

3649    广东德汇投资管理有限公司                        B882687522    德汇尊享六号私募证券投资基金                                                          C    1,881    78,211.98     391.06    78,603.04

3650    广东德汇投资管理有限公司                        B881710330    德汇尊享九号私募证券投资基金                                                          C    1,881    78,211.98     391.06    78,603.04

3651    景顺长城基金管理有限公司                        B882358987    景顺长城睿兴指数增强3号集合资产管理计划                                               C    3,494    145,280.52    726.4     146,006.92

3652    景顺长城基金管理有限公司                        B882990111    景顺长城中原银行量化对冲1号集合资产管理计划                                           C    883      36,715.14     183.58    36,898.72

3653    景顺长城基金管理有限公司                        B883142127    景顺长城价值优选1号集合资产管理计划                                                   C    3,686    153,263.88    766.32    154,030.20

3654    景顺长城基金管理有限公司                        B880818818    景顺长城-光大银行量化对冲1期资产管理计划                                              C    652      27,110.16     135.55    27,245.71

3655    景顺长城基金管理有限公司                        B882028320    景顺长城指数增强资产管理计划                                                          C    1,958    81,413.64     407.07    81,820.71

3656    景顺长城基金管理有限公司                        B882927621    景顺长城-安顺1号单一资产管理计划                                                      C    883      36,715.14     183.58    36,898.72

3657    景顺长城基金管理有限公司                        B881629806    景顺长城紫金信托量化对冲资产管理计划                                                  C    1,459    60,665.22     303.33    60,968.55

3658    景顺长城基金管理有限公司                        B882191270    景顺长城基金工行300增强资产管理计划                                                   C    3,686    153,263.88    766.32    154,030.20

3659    景顺长城基金管理有限公司                        B882191246    景顺长城基金工行500增强资产管理计划                                                   C    3,686    153,263.88    766.32    154,030.20

3660    景顺长城基金管理有限公司                        B882340007    景顺长城中再寿险1号资产管理计划                                                       C    3,686    153,263.88    766.32    154,030.20

3661    景顺长城基金管理有限公司                        B882803322    景顺长城中再产险1号单一资产管理计划                                                   C    3,341    138,918.78    694.59    139,613.37

3662    景顺长城基金管理有限公司                        B882821184    景顺长城基金-中国人民保险集团股份有限公司A股相对收益组合单一资产管理计划              C    2,381    99,001.98     495.01    99,496.99

3663    景顺长城基金管理有限公司                        B882836391    景顺长城基金-中国人民财产保险股份有限公司混合型单一资产管理计划                       C    3,686    153,263.88    766.32    154,030.20

3664    景顺长城基金管理有限公司                        B882843194    景顺长城基金-中国人民人寿保险股份有限公司A股混合类组合单一资产管理计划                C    3,686    153,263.88    766.32    154,030.20

3665    景顺长城基金管理有限公司                        B881815334    积极成长-中信保诚人寿资产管理计划                                                     C    3,686    153,263.88    766.32    154,030.20

3666    景顺长城基金管理有限公司                        B880305857    中国人寿保险(集团)公司委托景顺长城基金管理股份有限公司固定收益型组合资产管理合同    C    3,686    153,263.88    766.32    154,030.20

3667    上海银叶投资有限公司                            B882025673    银叶量化精选1期私募证券投资基金                                                       C    1,728    71,850.24     359.25    72,209.49

3668    上海银叶投资有限公司                            B883009264    银叶琢玉精选私募证券投资基金                                                          C    3,686    153,263.88    766.32    154,030.20

3669    建信基金管理有限责任公司                        B881427628    国寿集团委托建信基金16年固定收益组合                                                  C    3,686    153,263.88    766.32    154,030.20

3670    建信基金管理有限责任公司                        B880861308    中国建设银行股份有限公司山东省分行特定多个客户资产管理计划                            C    3,686    153,263.88    766.32    154,030.20

3671    建信基金管理有限责任公司                        B880824746    中国建设银行股份有限公司广东省分行特定多个客户资产管理计划                            C    3,686    153,263.88    766.32    154,030.20

3672    建信基金管理有限责任公司                        B880923760    建信基金悦享江苏1号特定多个客户资产管理计划                                           C    3,686    153,263.88    766.32    154,030.20

3673    建信基金管理有限责任公司                        B880923752    建信基金悦享北京3号特定多个客户资产管理计划                                           C    3,686    153,263.88    766.32    154,030.20

3674    建信基金管理有限责任公司                        B880879644    中国建设银行股份有限公司山东省分行2期特定多个客户资产管理计划                         C    3,686    153,263.88    766.32    154,030.20

3675    建信基金管理有限责任公司                        B880840881    中国建设银行股份有限公司广东省分行2期特定多个客户资产管理计划                         C    3,686    153,263.88    766.32    154,030.20

3676    建信基金管理有限责任公司                        B880979274    建信基金悦享3号特定多个客户资产管理计划                                               C    3,686    153,263.88    766.32    154,030.20

3677    建信基金管理有限责任公司                        B880979282    建信基金悦享1号特定多个客户资产管理计划                                               C    3,686    153,263.88    766.32    154,030.20

3678    建信基金管理有限责任公司                        B880923786    中国建设银行股份有限公司上海市分行特定多个客户资产管理计划                            C    3,686    153,263.88    766.32    154,030.20

3679    建信基金管理有限责任公司                        B881012457    建信乾元安享特定多个客户资产管理计划                                                  C    3,686    153,263.88    766.32    154,030.20

3680    建信基金管理有限责任公司                        B880652000    中国建设银行股份有限公司深圳市分行特定多个客户资产管理计划                            C    3,686    153,263.88    766.32    154,030.20

3681    建信基金管理有限责任公司                        B883159349    建信基金-工商银行-建信人寿保险-建信人寿保险有限公司对外委托资金资产管理计划           C    2,342    97,380.36     486.9     97,867.26

3682    建信基金管理有限责任公司                        B883024382    建信基金公司建行建行资产管理计划                                                      C    3,686    153,263.88    766.32    154,030.20

3683    上海赞庚投资集团有限公司                        B882736876    赞庚鸿启私募证券投资基金                                                              C    1,305    54,261.90     271.31    54,533.21

3684    上海方圆达创投资合伙企业(有限合伙)            B881459471    上海方圆达创投资合伙企业(有限合伙)-方圆-东方6号私募投资基金                         C    2,726    113,347.08    566.74    113,913.82

3685    上海方圆达创投资合伙企业(有限合伙)            B881467733    上海方圆达创投资合伙企业(有限合伙)-方圆-东方8号私募投资基金                         C    1,382    57,463.56     287.32    57,750.88

3686    上海方圆达创投资合伙企业(有限合伙)            B881467369    上海方圆达创投资合伙企业(有限合伙)-方圆-东方9号私募投资基金                         C    1,267    52,681.86     263.41    52,945.27

3687    上海方圆达创投资合伙企业(有限合伙)            B881467521    上海方圆达创投资合伙企业(有限合伙)-方圆-东方11号私募投资基金                        C    2,381    99,001.98     495.01    99,496.99

3688    上海方圆达创投资合伙企业(有限合伙)            B881467717    上海方圆达创投资合伙企业(有限合伙)-方圆-东方12号私募投资基金                        C    1,267    52,681.86     263.41    52,945.27

3689    上海方圆达创投资合伙企业(有限合伙)            B881553322    上海方圆达创投资合伙企业(有限合伙)-方圆-东方22号私募投资基金                        C    1,382    57,463.56     287.32    57,750.88

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