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3249    深圳市前海进化论资产管理有限公司    进化论达尔文远志七号私募证券投资基金                                            B882568257    660    2,799    96509.52     482.55     96992.07     C   

3250    深圳市前海进化论资产管理有限公司    达尔文厚德三号私募基金                                                          B883006884    660    2,799    96509.52     482.55     96992.07     C   

3251    深圳市前海进化论资产管理有限公司    进化论达尔文中证500指数增强一号私募证券投资基金                                 B883039764    660    2,799    96509.52     482.55     96992.07     C   

3252    中国人寿资产管理有限公司            国寿资产-沪深300指数型资产管理产品                                              B880278733    660    2,799    96509.52     482.55     96992.07     C   

3253    中国人寿资产管理有限公司            国寿资产-A股价值精选保险资产管理产品                                            B882083736    660    2,799    96509.52     482.55     96992.07     C   

3254    中国人寿资产管理有限公司            工银安盛人寿保险有限公司委托投资专户                                            B882423871    660    2,799    96509.52     482.55     96992.07     C   

3255    中国人寿资产管理有限公司            国寿资产-核心壹佰1938保险资产管理产品                                           B883027068    630    2,672    92130.56     460.65     92591.21     C   

3256    中国人寿资产管理有限公司            国寿资产-国新2号保险资产管理产品                                                B883058027    630    2,672    92130.56     460.65     92591.21     C   

3257    珠海市瑞丰汇邦资产管理有限公司      深圳市瑞丰汇邦资产管理有限公司-瑞丰汇邦骏富私募证券投资基金                     B882777979    260    1,102    37996.96     189.98     38186.94     C   

3258    珠海市瑞丰汇邦资产管理有限公司      瑞丰汇邦飞翔私募证券投资基金                                                    B882968203    250    1,060    36548.80     182.74     36731.54     C   

3259    珠海市瑞丰汇邦资产管理有限公司      瑞丰汇邦宏星私募证券投资基金                                                    B883002319    230    975      33618.00     168.09     33786.09     C   

3260    安信证券股份有限公司                安信证券股份有限公司                                                            D890758099    660    2,799    96509.52     482.55     96992.07     C   

3261    银河金汇证券资产管理有限公司        陶兴                                                                            A729734218    660    2,799    96509.52     482.55     96992.07     C   

3262    银河金汇证券资产管理有限公司        银河金汇通9号定向资产管理计划                                                   B881302991    560    2,375    81890.00     409.45     82299.45     C   

3263    银河金汇证券资产管理有限公司        南山集团有限公司                                                                B881523157    230    975      33618.00     168.09     33786.09     C   

3264    银河金汇证券资产管理有限公司        龙口南山投资有限公司                                                            B881523173    170    721      24860.08     124.30     24984.38     C   

3265    中银国际证券股份有限公司            中银国际证券股份有限公司自营投资账户                                            D890785232    660    2,799    96509.52     482.55     96992.07     C   

3266    华泰资产管理有限公司                华泰资产—邮储银行—华泰资产增源投资产品                                        B880239593    660    2,799    96509.52     482.55     96992.07     C   

3267    华泰资产管理有限公司                华泰资产—邮储银行—华泰资产增财投资产品                                        B880239616    660    2,799    96509.52     482.55     96992.07     C   

3268    华泰资产管理有限公司                华泰资产—邮储银行—华泰资产增广投资产品                                        B880240617    660    2,799    96509.52     482.55     96992.07     C   

3269    华泰资产管理有限公司                华泰资产—邮储银行—华泰资产增进投资产品                                        B880240641    660    2,799    96509.52     482.55     96992.07     C   

3270    华泰资产管理有限公司                华泰资产—工商银行—华泰资产稳利二号资产管理产品                                B880660875    660    2,799    96509.52     482.55     96992.07     C   

3271    华泰资产管理有限公司                华泰资管—工商银行—华泰资产泰元收益一号资产管理产品                            B881243676    380    1,611    55547.28     277.74     55825.02     C   

3272    华泰资产管理有限公司                华泰资管-宁波银行-易方达资产管理有限公司                                        B881648729    480    2,035    70166.80     350.83     70517.63     C   

3273    华泰资产管理有限公司                华泰资管-中信银行-华泰资产增信一号资产管理产品                                  B883123262    660    2,799    96509.52     482.55     96992.07     C   

3274    深圳市泰润海吉资产管理有限公司      泰润证券投资1号私募基金                                                         B881052295    470    1,993    68718.64     343.59     69062.23     C   

3275    深圳市泰润海吉资产管理有限公司      泰润天天1号私募证券投资基金                                                     B882839705    660    2,799    96509.52     482.55     96992.07     C   

3276    深圳市泰润海吉资产管理有限公司      泰润天成1号私募证券投资基金                                                     B882845641    660    2,799    96509.52     482.55     96992.07     C   

3277    深圳市泰润海吉资产管理有限公司      泰润天天3号私募证券投资基金                                                     B882848005    270    1,145    39479.60     197.40     39677.00     C   

3278    深圳市泰润海吉资产管理有限公司      泰润天天2号私募证券投资基金                                                     B882849328    660    2,799    96509.52     482.55     96992.07     C   

3279    深圳市泰润海吉资产管理有限公司      泰润天成2号私募证券投资基金                                                     B882851846    660    2,799    96509.52     482.55     96992.07     C   

3280    深圳市泰润海吉资产管理有限公司      泰润天成3号私募证券投资基金                                                     B882854064    350    1,484    51168.32     255.84     51424.16     C   

3281    深圳市泰润海吉资产管理有限公司      泰润天成5号私募证券投资基金                                                     B882860120    330    1,399    48237.52     241.19     48478.71     C   

3282    深圳市泰润海吉资产管理有限公司      泰润天成4号私募证券投资基金                                                     B882860293    300    1,272    43858.56     219.29     44077.85     C   

3283    深圳市泰润海吉资产管理有限公司      泰润十个太阳1号私募证券投资基金                                                 B882879535    660    2,799    96509.52     482.55     96992.07     C   

3284    深圳市泰润海吉资产管理有限公司      泰润天成6号私募证券投资基金                                                     B882879658    340    1,442    49720.16     248.60     49968.76     C   

3285    深圳市明达资产管理有限公司          深圳市明达资产管理有限公司-明达12期私募投资基金                                 B881348434    660    2,799    96509.52     482.55     96992.07     C   

3286    深圳市明达资产管理有限公司          明达尊享2期私募证券投资基金                                                     B882931434    200    848      29239.04     146.20     29385.24     C   

3287    深圳市明达资产管理有限公司          明达尊享1期私募证券投资基金                                                     B882934000    200    848      29239.04     146.20     29385.24     C   

3288    浙江白鹭资产管理股份有限公司        白鹭指数增强南强一号私募证券投资基金                                            B882070131    570    2,417    83338.16     416.69     83754.85     C   

3289    浙江白鹭资产管理股份有限公司        浙江白鹭博学六期私募证券投资基金                                                B882807643    130    551      18998.48     94.99      19093.47     C   

3290    浙江白鹭资产管理股份有限公司        白鹭桃花岛量化对冲九号私募证券投资基金                                          B882810670    570    2,417    83338.16     416.69     83754.85     C   

3291    浙江白鹭资产管理股份有限公司        白鹭桃花岛500指数增强七号私募证券投资基金                                       B882918672    440    1,866    64339.68     321.70     64661.38     C   

3292    九泰基金管理有限公司                九泰基金-金舵3号资产管理计划                                                    B881646793    590    2,502    86268.96     431.34     86700.30     C   

3293    九泰基金管理有限公司                九泰基金-中投长流1号单一资产管理计划                                            B882843665    660    2,799    96509.52     482.55     96992.07     C   

3294    上海保银投资管理有限公司            保银多策略对冲私募基金                                                          B882545916    660    2,799    96509.52     482.55     96992.07     C   

3295    鹏扬基金管理有限公司                鹏扬基金锦成盛1号资产管理计划                                                   B881336500    660    2,799    96509.52     482.55     96992.07     C   

3296    鹏扬基金管理有限公司                鹏扬基金-中银证券-开泰多策略资产管理计划                                        B881525662    660    2,799    96509.52     482.55     96992.07     C   

3297    鹏扬基金管理有限公司                鹏扬基金稳利多策略2期集合资产管理计划                                           B882793967    660    2,799    96509.52     482.55     96992.07     C   

3298    鹏扬基金管理有限公司                鹏扬基金稳利多策略3期集合资产管理计划                                           B882842986    660    2,799    96509.52     482.55     96992.07     C   

3299    鹏扬基金管理有限公司                鹏扬基金稳利多策略1期集合资产管理计划                                           B882870612    660    2,799    96509.52     482.55     96992.07     C   

3300    国元证券股份有限公司                国元证券股份有限公司自营账户                                                    D890547210    660    2,799    96509.52     482.55     96992.07     C   

3301    上海鼎锋弘人资产管理有限公司        鼎锋弘人领航6号私募证券投资基金                                                 B882420378    660    2,799    96509.52     482.55     96992.07     C   

3302    上海鼎锋弘人资产管理有限公司        弘人嘉信华诚1号私募证券投资基金                                                 B882477121    660    2,799    96509.52     482.55     96992.07     C   

3303    上海鼎锋弘人资产管理有限公司        上海鼎锋弘人资产管理有限公司-弘人南华青石5号私募证券投资基金                    B882552191    660    2,799    96509.52     482.55     96992.07     C   

3304    上海鼎锋弘人资产管理有限公司        上海鼎锋弘人资产管理有限公司-弘人南华青石6号私募证券投资基金                    B882569261    660    2,799    96509.52     482.55     96992.07     C   

3305    上海鼎锋弘人资产管理有限公司        弘人南华青石7号私募证券投资基金                                                 B882592379    660    2,799    96509.52     482.55     96992.07     C   

3306    上海鼎锋弘人资产管理有限公司        上海鼎锋弘人资产管理有限公司-弘人南华青石8号私募证券投资基金                    B882592654    660    2,799    96509.52     482.55     96992.07     C   

3307    上海鼎锋弘人资产管理有限公司        弘人南华青石9号私募证券投资基金                                                 B882612496    660    2,799    96509.52     482.55     96992.07     C   

3308    华融证券股份有限公司                华融证券股份有限公司自营投资账户                                                D890765787    660    2,799    96509.52     482.55     96992.07     C   

3309    上海雷根资产管理有限公司            雷根旭日混合策略1号私募证券投资基金                                             B882426887    230    975      33618.00     168.09     33786.09     C   

3310    上海雷根资产管理有限公司            雷根CTA复合策略3号私募基金                                                      B882920467    390    1,654    57029.92     285.15     57315.07     C   

3311    红塔证券股份有限公司                红塔证券股份有限公司自营账户                                                    D890650259    660    2,799    96509.52     482.55     96992.07     C   

3312    上海世诚投资管理有限公司            华量世诚一号私募证券投资基金                                                    B881660496    660    2,799    96509.52     482.55     96992.07     C   

3313    上海世诚投资管理有限公司            华泰托管世诚诚博主动管理私募证券投资基金                                        B888594421    660    2,799    96509.52     482.55     96992.07     C   

3314    鹏华资产管理有限公司                鹏华资产源乐晟1期资产管理计划                                                   B881096281    430    1,823    62857.04     314.29     63171.33     C   

3315    鹏华资产管理有限公司                鹏华资产源乐晟2期资产管理计划                                                   B881569276    450    1,908    65787.84     328.94     66116.78     C   

3316    鹏华资产管理有限公司                鹏华资产源乐晟3期资产管理计划                                                   B881589705    370    1,569    54099.12     270.50     54369.62     C   

3317    鹏华资产管理有限公司                鹏华资产源乐晟6期资产管理计划                                                   B881775550    660    2,799    96509.52     482.55     96992.07     C   

3318    鹏华资产管理有限公司                鹏华资产源乐晟7期资产管理计划                                                   B881819485    660    2,799    96509.52     482.55     96992.07     C   

3319    鹏华资产管理有限公司                鹏华资产创享3号单一资产管理计划                                                 B882917511    580    2,460    84820.80     424.10     85244.90     C   

3320    鹏华资产管理有限公司                鹏华资产创享1号单一资产管理计划                                                 B882917723    410    1,739    59960.72     299.80     60260.52     C   

3321    鹏华资产管理有限公司                鹏华资产创享2号单一资产管理计划                                                 B882917749    400    1,696    58478.08     292.39     58770.47     C   

3322    鹏华资产管理有限公司                鹏华资产创誉1号单一资产管理计划                                                 B882928902    370    1,569    54099.12     270.50     54369.62     C   

3323    鹏华资产管理有限公司                鹏华资产创誉3号单一资产管理计划                                                 B882928994    660    2,799    96509.52     482.55     96992.07     C   

3324    鹏华资产管理有限公司                鹏华资产创晟1号单一资产管理计划                                                 B882929110    330    1,399    48237.52     241.19     48478.71     C   

3325    鹏华资产管理有限公司                鹏华资产创誉2号单一资产管理计划                                                 B882931010    450    1,908    65787.84     328.94     66116.78     C   

3326    鹏华资产管理有限公司                鹏华资产创晟2号单一资产管理计划                                                 B882931086    330    1,399    48237.52     241.19     48478.71     C   

3327    鹏华资产管理有限公司                鹏华资产锐进5期源乐晟全球成长配置资产管理计划                                   B888366145    660    2,799    96509.52     482.55     96992.07     C   

3328    鹏华资产管理有限公司                鹏华资产长河优势1号资产管理计划                                                 B888465949    580    2,460    84820.80     424.10     85244.90     C   

3329    鹏华资产管理有限公司                鹏华资产长河价值1号资产管理计划                                                 B888498146    660    2,799    96509.52     482.55     96992.07     C   

3330    东海证券股份有限公司                东海证券股份有限公司自营账户                                                    D899878927    660    2,799    96509.52     482.55     96992.07     C   

3331    财达证券股份有限公司                财达证券股份有限公司自营投资账户                                                D890767721    660    2,799    96509.52     482.55     96992.07     C   

3332    先锋基金管理有限公司                先锋基金匀丰1号单一资产管理计划                                                 B882748548    110    466      16067.68     80.34      16148.02     C   

3333    先锋基金管理有限公司                先锋基金匀丰2号单一资产管理计划                                                 B882748556    110    466      16067.68     80.34      16148.02     C   

3334    先锋基金管理有限公司                先锋基金博鳌伟霖单一资产管理计划                                                B882860683    110    466      16067.68     80.34      16148.02     C   

3335    工银瑞信基金管理有限公司            工银瑞信—权益策略资产管理计划                                                  B880444017    660    2,799    96509.52     482.55     96992.07     C   

3336    工银瑞信基金管理有限公司            工银瑞信基金—兴业银行—工银瑞信—锦和6号资产管理计划                           B880927780    660    2,799    96509.52     482.55     96992.07     C   

3337    工银瑞信基金管理有限公司            工银瑞投-多资产配置策略2-6号资产管理计划                                        B881418116    660    2,799    96509.52     482.55     96992.07     C   

3338    工银瑞信基金管理有限公司            工银瑞信基金交银多策略1号资产管理计划                                           B881645501    660    2,799    96509.52     482.55     96992.07     C   

3339    工银瑞信基金管理有限公司            中国财产再保险有限责任公司委托工银瑞信基金配置型债券投资组合特定资产管理计划    B882403512    660    2,799    96509.52     482.55     96992.07     C   

3340    工银瑞信基金管理有限公司            工银瑞信基金公司-农行-中国农业银行离退休人员福利负债                            B882449775    660    2,799    96509.52     482.55     96992.07     C   

3341    工银瑞信基金管理有限公司            中国人寿委托工银瑞信基金公司股票型组合                                          B883307950    660    2,799    96509.52     482.55     96992.07     C   

3342    南京盛泉恒元投资有限公司            南京盛泉恒元投资有限公司-盛泉恒元多策略量化对冲1号基金                          B880272088    660    2,799    96509.52     482.55     96992.07     C   

3343    南京盛泉恒元投资有限公司            盛泉恒元多策略量化对冲2号基金                                                   B880382401    660    2,799    96509.52     482.55     96992.07     C   

3344    南京盛泉恒元投资有限公司            盛泉恒元多策略市场中性3号基金                                                   B880420453    660    2,799    96509.52     482.55     96992.07     C   

3345    南京盛泉恒元投资有限公司            南京盛泉恒元投资有限公司-盛泉恒元多策略量化套利1号专项基金                      B880455864    660    2,799    96509.52     482.55     96992.07     C   

3346    南京盛泉恒元投资有限公司            盛泉恒元灵活配置8号私募证券投资基金                                             B882164053    530    2,248    77511.04     387.56     77898.60     C   

3347    南京盛泉恒元投资有限公司            南京盛泉恒元投资有限公司—盛泉恒元量化套利12号专项私募证券投资基金              B882240320    660    2,799    96509.52     482.55     96992.07     C   

3348    南京盛泉恒元投资有限公司            南京盛泉恒元投资有限公司—盛泉恒元量化套利11号私募证券投资基金                  B882413711    660    2,799    96509.52     482.55     96992.07     C   

3349    南京盛泉恒元投资有限公司            南京盛泉恒元投资有限公司—盛泉恒元灵活配置专项2号私募证券投资基金               B882712482    660    2,799    96509.52     482.55     96992.07     C   

3350    南京盛泉恒元投资有限公司            盛泉恒元量化套利18号私募证券投资基金                                            B882820162    660    2,799    96509.52     482.55     96992.07     C   

3351    南京盛泉恒元投资有限公司            盛泉恒元量化套利17号私募证券投资基金                                            B883035053    660    2,799    96509.52     482.55     96992.07     C   

3352    上海证券有限责任公司                上海证券有限责任公司自营账户                                                    D890713887    660    2,799    96509.52     482.55     96992.07     C   

3353    中天证券股份有限公司                中天证券天盈12号定向资产管理计划                                                B881561422    450    1,908    65787.84     328.94     66116.78     C   

3354    中天证券股份有限公司                中天证券股份有限公司自营账户                                                    D890738918    660    2,799    96509.52     482.55     96992.07     C   

3355    上海银叶投资有限公司                银叶量化精选1期私募证券投资基金                                                 B882025673    400    1,696    58478.08     292.39     58770.47     C   

3356    兴证证券资产管理有限公司            俞其兵                                                                          A124093816    490    2,078    71649.44     358.25     72007.69     C   

3357    兴证证券资产管理有限公司            张桂丰                                                                          A288309115    660    2,799    96509.52     482.55     96992.07     C   

3358    兴证证券资产管理有限公司            陈澄清                                                                          A710909262    430    1,823    62857.04     314.29     63171.33     C   

3359    兴证证券资产管理有限公司            李常春                                                                          A802637941    340    1,442    49720.16     248.60     49968.76     C   

3360    兴证证券资产管理有限公司            福建省能源集团有限责任公司                                                      B881184458    660    2,799    96509.52     482.55     96992.07     C   

3361    兴证证券资产管理有限公司            兴证资管-兴业银行定向资产管理计划                                               B881256598    660    2,799    96509.52     482.55     96992.07     C   

3362    兴证证券资产管理有限公司            兴证资管阿尔法科睿1号单一资产管理计划                                           D890179509    230    975      33618.00     168.09     33786.09     C   

3363    兴证证券资产管理有限公司            兴证资管阿尔法科睿2号单一资产管理计划                                           D890183558    320    1,357    46789.36     233.95     47023.31     C   

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