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3653    嘉实基金管理有限公司                            嘉实基金睿远高增长四期资产管理计划                                    B881818879    1,000    4,909    108,783.44    543.92    109,327.36

3654    嘉实基金管理有限公司                            嘉实裕远高增长8号资产管理计划                                         B881825363    1,000    4,909    108,783.44    543.92    109,327.36

3655    嘉实基金管理有限公司                            嘉实基金明远高增长一期资产管理计划                                    B881896801    790      3,878    85,936.48     429.68    86,366.16

3656    嘉实基金管理有限公司                            嘉实睿远高增长五期资产管理计划                                        B881976897    1,000    4,909    108,783.44    543.92    109,327.36

3657    嘉实基金管理有限公司                            嘉实基金睿远高增长六期资产管理计划                                    B881981347    1,000    4,909    108,783.44    543.92    109,327.36

3658    嘉实基金管理有限公司                            嘉实睿思1号资产管理计划                                               B880758725    1,000    4,909    108,783.44    543.92    109,327.36

3659    嘉实基金管理有限公司                            新华人寿保险股份有限公司委托嘉实基金管理有限公司价值均衡型组合        B882071200    1,000    4,909    108,783.44    543.92    109,327.36

3660    嘉实基金管理有限公司                            嘉实基金睿见高增长1号资产管理计划                                     B882154799    1,000    4,909    108,783.44    543.92    109,327.36

3661    嘉实基金管理有限公司                            中国太平洋人寿股票相对收益型产品(个分红)委托投资资产管理计划          B882102637    1,000    4,909    108,783.44    543.92    109,327.36

3662    嘉实基金管理有限公司                            嘉实基金精赢价值资产管理计划                                          B881865517    1,000    4,909    108,783.44    543.92    109,327.36

3663    嘉实基金管理有限公司                            嘉实基金股债混合策略3号资产管理计划                                   B881997445    1,000    4,909    108,783.44    543.92    109,327.36

3664    嘉实基金管理有限公司                            嘉实基金-中信保诚人寿相对收益策略单一资产管理计划                     B882547489    940      4,614    102,246.24    511.23    102,757.47

3665    嘉实基金管理有限公司                            嘉实基金睿远高增长七期集合资产管理计划                                B882389661    1,000    4,909    108,783.44    543.92    109,327.36

3666    嘉实基金管理有限公司                            嘉实基金工行300增强资产管理计划                                       B882225817    1,000    4,909    108,783.44    543.92    109,327.36

3667    嘉实基金管理有限公司                            嘉实基金工行500增强资产管理计划                                       B882225833    1,000    4,909    108,783.44    543.92    109,327.36

3668    嘉实基金管理有限公司                            嘉实基金-国新1号单一资产管理计划                                      B882822499    1,000    4,909    108,783.44    543.92    109,327.36

3669    嘉实基金管理有限公司                            嘉实基金睿见高增长2号集合资产管理计划                                 B882807253    1,000    4,909    108,783.44    543.92    109,327.36

3670    嘉实基金管理有限公司                            嘉实基金-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    B882838903    1,000    4,909    108,783.44    543.92    109,327.36

3671    嘉实基金管理有限公司                            嘉实睿远进取增长1号集合资产管理计划                                   B882891993    1,000    4,909    108,783.44    543.92    109,327.36

3672    嘉实基金管理有限公司                            嘉实基金-国新2号单一资产管理计划                                      B882911751    1,000    4,909    108,783.44    543.92    109,327.36

3673    长江养老保险股份有限公司                        长江养老兴赢8号专户                                                   B881048741    1,000    4,909    108,783.44    543.92    109,327.36

3674    平安证券股份有限公司                            平安证券偏股混合1号集合资产管理计划                                   D890175466    420      2,061    45,671.76     228.36    45,900.12

3675    平安证券股份有限公司                            平安证券贵景55号定向资产管理计划                                      A345494744    400      1,963    43,500.08     217.5     43,717.58

3676    平安证券股份有限公司                            平安证券贵景54号定向资产管理计划                                      A342989253    400      1,963    43,500.08     217.5     43,717.58

3677    平安证券股份有限公司                            平安证券贵景53号定向资产管理计划                                      A343899689    400      1,963    43,500.08     217.5     43,717.58

3678    平安证券股份有限公司                            平安证券贵景52号定向资产管理计划                                      A345290776    400      1,963    43,500.08     217.5     43,717.58

3679    平安证券股份有限公司                            平安证券贵景51号定向资产管理计划                                      A344522120    400      1,963    43,500.08     217.5     43,717.58

3680    平安证券股份有限公司                            平安证券贵景50号定向资产管理计划                                      A342981954    400      1,963    43,500.08     217.5     43,717.58

3681    平安证券股份有限公司                            平安证券新利27号定向资产管理计划                                      A838840954    720      3,534    78,313.44     391.57    78,705.01

3682    平安证券股份有限公司                            平安证券新盈35号定向资产管理计划                                      A855967832    390      1,914    42,414.24     212.07    42,626.31

3683    平安证券股份有限公司                            平安证券贵景28号定向资产管理计划                                      A850201817    750      3,681    81,570.96     407.85    81,978.81

3684    平安证券股份有限公司                            平安证券贵景15号定向资产管理计划                                      A842999236    770      3,780    83,764.80     418.82    84,183.62

3685    平安证券股份有限公司                            平安证券新利48号定向资产管理计划                                      A839082240    870      4,271    94,645.36     473.23    95,118.59

3686    平安证券股份有限公司                            平安证券新利36号定向资产管理计划                                      A839149767    680      3,338    73,970.08     369.85    74,339.93

3687    中信保诚基金管理有限公司                        信诚基金-信诚人寿1号资产管理计划                                      B880643996    1,000    4,909    108,783.44    543.92    109,327.36

3688    敦和资产管理有限公司                            敦和灵隐3号私募证券投资基金                                           B882793789    1,000    4,909    108,783.44    543.92    109,327.36

3689    敦和资产管理有限公司                            敦和永好1号私募证券投资基金                                           B882584978    1,000    4,909    108,783.44    543.92    109,327.36

3690    敦和资产管理有限公司                            敦和灵隐2号私募基金                                                   B882301697    1,000    4,909    108,783.44    543.92    109,327.36

3691    敦和资产管理有限公司                            敦和云栖4号价值私募基金                                               B881711459    1,000    4,909    108,783.44    543.92    109,327.36

3692    敦和资产管理有限公司                            敦和云栖3号平衡配置私募基金                                           B882094208    1,000    4,909    108,783.44    543.92    109,327.36

3693    敦和资产管理有限公司                            敦和云栖2号稳健增长私募基金                                           B880655155    1,000    4,909    108,783.44    543.92    109,327.36

3694    敦和资产管理有限公司                            敦和云栖1号积极成长私募基金                                           B880655464    1,000    4,909    108,783.44    543.92    109,327.36

3695    敦和资产管理有限公司                            敦和多策略1号A基金                                                    B881698041    1,000    4,909    108,783.44    543.92    109,327.36

3696    敦和资产管理有限公司                            敦和平湖1号私募基金                                                   B882102603    1,000    4,909    108,783.44    543.92    109,327.36

3697    敦和资产管理有限公司                            敦和玉皇山1号基金                                                     B881677809    1,000    4,909    108,783.44    543.92    109,327.36

3698    敦和资产管理有限公司                            敦和八卦田积极B私募基金                                               B881815499    1,000    4,909    108,783.44    543.92    109,327.36

3699    敦和资产管理有限公司                            敦和八卦田积极A私募基金                                               B881680103    1,000    4,909    108,783.44    543.92    109,327.36

3700    敦和资产管理有限公司                            敦和八卦田4号私募基金                                                 B881167862    1,000    4,909    108,783.44    543.92    109,327.36

3701    敦和资产管理有限公司                            敦和八卦田1号基金                                                     B888470821    1,000    4,909    108,783.44    543.92    109,327.36

3702    上海盘京投资管理中心(有限合伙)                盘京天道7期私募证券投资基金                                           B882954602    1,000    4,909    108,783.44    543.92    109,327.36

3703    上海盘京投资管理中心(有限合伙)                盘京天道10期私募证券投资基金                                          B882869522    790      3,878    85,936.48     429.68    86,366.16

3704    上海盘京投资管理中心(有限合伙)                盘京盛信8期私募证券投资基金                                           B882864344    1,000    4,909    108,783.44    543.92    109,327.36

3705    上海盘京投资管理中心(有限合伙)                盛信6期私募证券投资基金                                               B882846922    980      4,811    106,611.76    533.06    107,144.82

3706    上海盘京投资管理中心(有限合伙)                盘京金选盛信1号私募证券投资基金                                       B882834763    1,000    4,909    108,783.44    543.92    109,327.36

3707    上海盘京投资管理中心(有限合伙)                盘京盛信9期D私募证券投资基金                                          B882815191    850      4,172    92,451.52     462.26    92,913.78

3708    上海盘京投资管理中心(有限合伙)                盘京盛信9期C私募证券投资基金                                          B882784798    970      4,761    105,503.76    527.52    106,031.28

3709    上海盘京投资管理中心(有限合伙)                盘京盛信9期B私募证券投资基金                                          B882761156    940      4,614    102,246.24    511.23    102,757.47

3710    上海盘京投资管理中心(有限合伙)                盘京盛信9期A私募证券投资基金                                          B882761164    950      4,663    103,332.08    516.66    103,848.74

3711    上海盘京投资管理中心(有限合伙)                盛信7期私募证券投资基金                                               B881892077    960      4,712    104,417.92    522.09    104,940.01

3712    上海盘京投资管理中心(有限合伙)                盛信5期私募证券投资基金                                               B881683559    1,000    4,909    108,783.44    543.92    109,327.36

3713    上海盘京投资管理中心(有限合伙)                盛信3期私募证券投资基金                                               B881681832    890      4,369    96,817.04     484.09    97,301.13

3714    上海盘京投资管理中心(有限合伙)                盛信2期私募证券投资基金                                               B881648143    1,000    4,909    108,783.44    543.92    109,327.36

3715    上海盘京投资管理中心(有限合伙)                盛信1期私募证券投资基金主基金                                         B881237251    1,000    4,909    108,783.44    543.92    109,327.36

3716    上海盘京投资管理中心(有限合伙)                盘世2期私募证券投资基金                                               B881912916    1,000    4,909    108,783.44    543.92    109,327.36

3717    上海盘京投资管理中心(有限合伙)                盘世1期私募证券投资基金                                               B881730835    790      3,878    85,936.48     429.68    86,366.16

3718    上海盘京投资管理中心(有限合伙)                天道1期私募证券投资基金                                               B882038391    630      3,092    68,518.72     342.59    68,861.31

3719    上海盘京投资管理中心(有限合伙)                盘京嘉选1期私募证券投资基金                                           B882668730    1,000    4,909    108,783.44    543.92    109,327.36

3720    上海盘京投资管理中心(有限合伙)                盘世5期私募证券投资基金                                               B881970320    1,000    4,909    108,783.44    543.92    109,327.36

3721    上海六禾投资有限公司                            六禾晨晖1号宏观策略私募基金                                           B882829679    320      1,570    34,791.20     173.96    34,965.16

3722    上海六禾投资有限公司                            六禾嘉利长期稳健私募基金                                              B881452160    450      2,209    48,951.44     244.76    49,196.20

3723    华宝证券有限责任公司                            华宝证券宝钢国际1号定向资产管理计划                                   B880747711    1,000    4,909    108,783.44    543.92    109,327.36

3724    华宝证券有限责任公司                            华宝证券有限责任公司自营投资账户                                      D890775960    1,000    4,909    108,783.44    543.92    109,327.36

3725    熵一资产管理(上海)有限公司                    熵一核心价值1号私募证券投资基金                                       B882756745    400      1,963    43,500.08     217.5     43,717.58

3726    熵一资产管理(上海)有限公司                    熵一价值尊享1号私募证券投资基金                                       B882851684    350      1,718    38,070.88     190.35    38,261.23

3727    北京沣沛投资管理有限公司                        沣沛进取一号私募基金                                                  B881810287    1,000    4,909    108,783.44    543.92    109,327.36

3728    北京沣沛投资管理有限公司                        沣沛领先私募基金                                                      B881651510    630      3,092    68,518.72     342.59    68,861.31

3729    北京沣沛投资管理有限公司                        沣沛尊享私募证券投资基金                                              B882235587    1,000    4,909    108,783.44    543.92    109,327.36

3730    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远私享二号私募证券投资基金                                          B882699668    1,000    4,909    108,783.44    543.92    109,327.36

3731    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远稳健八十四号私募证券投资基金                                      B882878589    830      4,074    90,279.84     451.4     90,731.24

3732    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远稳健八十一号私募证券投资基金                                      B882863233    810      3,976    88,108.16     440.54    88,548.70

3733    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远稳健七十一号私募证券投资基金                                      B882840633    810      3,976    88,108.16     440.54    88,548.70

3734    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远私享十八号私募证券投资基金                                        B882582455    810      3,976    88,108.16     440.54    88,548.70

3735    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远稳健八十二号私募证券投资基金                                      B882863275    800      3,927    87,022.32     435.11    87,457.43

3736    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远稳健七十号私募证券投资基金                                        B882856074    800      3,927    87,022.32     435.11    87,457.43

3737    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远稳健八十三号私募证券投资基金                                      B882878937    790      3,878    85,936.48     429.68    86,366.16

3738    致诚卓远(珠海)投资管理合伙企业(有限合伙)    信淮致远稳健四十号私募证券投资基金                                    B882229162    590      2,896    64,175.36     320.88    64,496.24

3739    致诚卓远(珠海)投资管理合伙企业(有限合伙)    致远私享三号私募证券投资基金                                          B882799882    320      1,570    34,791.20     173.96    34,965.16

3740    上海弘尚资产管理中心(有限合伙)                弘尚科创增强六期私募证券投资基金                                      B882784706    630      3,092    68,518.72     342.59    68,861.31

3741    上海弘尚资产管理中心(有限合伙)                弘尚科创增强五期私募证券投资基金                                      B882797610    470      2,307    51,123.12     255.62    51,378.74

3742    上海弘尚资产管理中心(有限合伙)                弘尚科创增强三期私募证券投资基金                                      B882723247    660      3,240    71,798.40     358.99    72,157.39

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+1
满意度:
综合得分:
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