上海之江生物科技股份有限公司首次公开发行股票并在科创板上市网下初步配售结果及网上中签结果公告 保荐机构(主承销商):海通证券股份有限公司 特别提示 上海之江生物科技股份有限公司(以下简称“之江生物”、“发行人”或“公司”)首次公开发行不超过4,867.6088万股人民币普通股(A股)(以下简称“本次发行”)的申请已经上海证券交易所科创板股票上市委员会审议通过,并已经中国证券监督管理委员会(以下简称“证监会”)同意注册(证监许可〔2020〕3214号)。本次发行采用向战略投资者定向配售(以下简称“战略配售”)、网下向符合条件的网下投资者询价配售(以下简称“网下发行”)与网上向持有上海市场非限售A股股份和非限售存托凭证市值的社会公众投资者定价发行(以下简称“网上发行”)相结合的方式进行。 发行人与保荐机构(主承销商)(以下简称“海通证券”、“保荐机构(主承销商)”)协商确定本次发行股份数量为4,867.6088万股。初始战略配售发行数量为730.1412万股,占本次发行总数量的15%。战略投资者承诺的认购资金已于规定时间内汇至保荐机构(主承销商)指定的银行账户,本次发行最终战略配售数量为5,937,271股,占发行总量的12.20%。 战略配售数量与初始战略配售数量的差额部分首先回拨至网下发行,则网上网下回拨机制启动前,网下发行数量调整为30,326,817股,占扣除最终战略配售数量后发行数量的70.96%;网上发行数量为12,412,000股,占扣除最终战略配售数量后发行数量的29.04%。 根据《上海之江生物科技股份有限公司首次公开发行股票并在科创板上市发行安排及初步询价公告》(以下简称“《发行安排及初步询价公告》”)和《上 海之江生物科技股份有限公司首次公开发行股票并在科创板上市发行公告》(以下简称“《发行公告》”)公布的回拨机制,由于本次网上发行初步有效申购倍数为4,184.61倍,超过100倍,发行人和保荐机构(主承销商)决定启动回拨机制,对网下、网上发行的规模进行调节,将427.4000万股股票由网下回拨至网上。回拨机制启动后,网下最终发行数量为2,605.2817万股,占扣除战略配售数量后发行数量的60.96%,网上最终发行数量为1,668.6000万股,占扣除战略配售数量后发行数量的39.04%。回拨机制启动后,网上发行最终中签率为 0.03212588%。 本次发行在缴款环节发生重大变化,敬请投资者重点关注,主要变化如下: 1、网下获配投资者应根据《上海之江生物科技股份有限公司首次公开发行股票并在科创板上市网下初步配售结果及网上中签结果公告》(以下简称“《网下初步配售结果及网上中签结果公告》”),于2021年1月8日(T+2日)16:00前及时足额缴纳新股认购资金及对应的新股配售经纪佣金(四舍五入精确至分),网下获配投资者在缴纳新股认购资金时需一并划付对应的新股配售经纪佣金。网下投资者如同日获配多只新股,请务必按每只新股分别缴款。同日获配多只新股的情况,如只汇一笔总计金额,合并缴款将会造成入账失败,由此产生的后果由投资者自行承担。网上投资者申购新股中签后,应根据《网下初步配售结果及网上中签结果公告》履行资金交收义务,确保其资金账户在2021年1月8日(T+2日)日终有足额的新股认购资金,投资者款项划付需遵守投资者所在证券公司的相关规定。网下和网上投资者放弃认购部分的股份由保荐机构(主承销商)包销。 2、本次网下发行部分,公开募集方式设立的证券投资基金和其他偏股型资产管理产品(简称“公募产品”)、全国社会保障基金(简称“社保基金”)、基本养老保险基金(简称“养老金”)、根据《企业年金基金管理办法》设立的企业年金基金(简称“企业年金基金)”、符合《保险资金运用管理办法》等相关规定的保险资金(以下简称“保险资金”)和合格境外机构投资者等配售对象中,10%的最终获配账户(向上取整计算),应当承诺获得本次配售的股票限售期限为自发行人首次公开发行并上市之日起6个月。限售账户将在网下投资者完成缴款后通过摇号抽签方式确定。网下限售账户摇号将按配售对象为单位进行 配号,每一个配售对象获配一个编号。网下投资者一旦报价即视为接受本次发行的网下限售期安排。 3、当出现网下和网上投资者缴款认购的股份数量合计不足扣除最终战略配售数量后本次发行数量的70%时,保荐机构(主承销商)将中止本次新股发行,并就中止发行的原因和后续安排进行信息披露。 4、有效报价网下投资者未参与申购或者获得初步配售的网下投资者未及时足额缴纳认购款的,将被视为违约并应承担违约责任,保荐机构(主承销商)将违约情况报中国证券业协会备案。 网上投资者连续12个月内累计出现3次中签后未足额缴款的情形时,自中国结算上海分公司收到弃购申报的次日起6个月(按180个自然日计算,含次日)内不得参与新股、存托凭证、可转换公司债券、可交换公司债券的申购。放弃认购的次数按照投资者实际放弃认购新股、存托凭证、可转换公司债券与可交换公司债券的次数合并计算。 5、本公告一经刊出,即视同向已参与网上申购并中签的网上投资者和网下发行获得配售的所有配售对象送达获配缴款通知。 一、战略配售结果 (一)参与对象 本次发行的战略配售由保荐机构相关子公司跟投、发行人的高级管理人员与核心员工专项资产管理计划组成。跟投机构为海通创新证券投资有限公司(以下简称“海通创投”);发行人高级管理人员与核心员工参与本次战略配售设立的专项资产管理计划为富诚海富通之江1号员工参与科创板战略配售集合资产管理计划(以下简称“之江生物专项资管计划”)。 上述战略投资者已与发行人签署战略配售协议。关于本次战略投资者的核查情况详见2021年1月5日(T-1日)公告的《海通证券股份有限公司关于上海之江生物科技股份有限公司首次公开发行股票战略配售之专项核查报告》及《德恒上海律师事务所关于上海之江生物科技股份有限公司首次公开发行股票并在科创板上市之战略投资者核查事项的法律意见》。 (二)获配结果 2021年1月4日(T-2日),发行人和保荐机构(主承销商)根据初步询价结果,协商确定本次发行价格为43.22元/股,本次发行总规模约为21.04亿元。 依据《业务指引》,本次发行规模20亿元以上、不足50亿元的,跟投比例为3%,但不超过人民币1亿元,海通创新证券投资有限公司已足额缴纳战略配售认购资金9,000万元,本次获配股数1,460,282股,初始缴款金额超过最终获配股数对应金额的多余款项,保荐机构(主承销商)将在2021年1月12日(T+4日)之前,依据海通创新证券投资有限公司缴款原路径退回。 之江生物专项资管计划已足额缴纳了战略配售认购资金和对应的战略配售经纪佣金人民币194,462,977.50元。发行价格确定后,之江生物专项资管计划本次获配股数4,476,989股。保荐机构(主承销商)将在2021年1月12日(T+4日)之前,将超额缴款部分依据之江生物专项资管计划缴款原路径退回。 本次发行战略配售的最终情况如下: 序号 | 投资者 | 获配数量(股) | 获配金额(元,不含佣金) | 新股配售经纪佣金(元) | 限售期(月) | 1 | 海通创新证券投资有限公司 | 1,460,282 | 63,113,388.04 | 0 | 24 | 2 | 富诚海富通之江1号员工参与科创板战略配售集合资产管理计划 | 4,476,989 | 193,495,464.58 | 967,477.32 | 12 | 合计 | 5,937,271 | 256,608,852.62 | 967,477.32 | - |
末尾位数 | 中签号码 | 末“4”位数 | 5319, 0319, 1861 | 末“5”位数 | 53872, 03872 |
末“6”位数 | 339617 | 末“7”位数 | 7345532, 2345532 |
末“8”位数 | 45770030, 70770030, 95770030, 20770030 |
凡参与网上发行申购上海之江生物科技股份有限公司A股股票的投资者持有的申购配号尾数与上述号码相同的,则为中签号码。中签号码共有33,372个,每个中签号码只能认购500股之江生物A股股票。 三、网下发行申购情况及初步配售结果 (一)网下发行申购情况 根据《证券发行与承销管理办法》(证监会令〔第144号〕)、《上海证券交易所科创板股票发行与承销实施办法》(上证发〔2019〕21号)、《科创板首次公开发行股票承销业务规范》(中证协发〔2019〕148号)以及《科创板首次公开发行股票网下投资者管理细则》(中证协发〔2019〕149号)等相关规定,保荐机构(主承销商)对参与网下申购的投资者资格进行了核查和确认。依据上海证券交易所网下申购电子化平台最终收到的有效申购结果,保荐机构(主承销商)做出如下统计: 本次发行的网下申购工作已于2021年1月6日(T日)结束。经核查确认,《发行公告》披露的354家网下投资者管理的7,219个有效报价配售对象按照《发行公告》的要求进行了网下申购,网下有效申购数量7,205,030万股。 (二)网下初步配售结果 根据《发行安排及初步询价公告》和《发行公告》中公布的网下配售原则和计算方法,发行人和保荐机构(主承销商)对网下发行股份进行了初步配售,初步配售结果如下: 投资者类别 | 有效申购股数(万股) | 占网下有效申购数量的比例 | 配售数量(股) | 获配数量占网下发行总量的比例 | 各类投资者配售比例 | A类投资者 | 4,575,500 | 63.50% | 18,760,989 | 72.01% | 0.04100315% | B类投资者 | 13,120 | 0.18% | 47,441 | 0.18% | 0.03615930% | C类投资者 | 2,616,410 | 36.31% | 7,244,387 | 27.81% | 0.02768827% | 合计 | 7,205,030 | 100.00% | 26,052,817 | 100.00% | 0.03615921% |
大、申购时间最早(以上交所网下申购平台显示的申报时间和申购编号为准)的配售对象,且其获配总量没有超过该配售对象的有效申购数量。以上初步配售安排及结果符合《发行安排及初步询价公告》中公布的配售原则。最终各配售对象初步配售情况详见“附表:网下投资者配售明细表”。 四、网下配售摇号抽签 发行人与保荐机构(主承销商)定于2021年1月11日(T+3日)上午在上海市浦东东方路778号紫金山大酒店四楼会议室海棠厅进行本次发行网下限售账户的摇号抽签,并将于2021年1月12日(T+4日)在《上海证券报》、《中国证券报》、《证券时报》和《证券日报》披露的《上海之江生物科技股份有限公司首次公开发行股票并在科创板上市发行结果公告》中公布网下限售账户摇号中签结果。 五、保荐机构(主承销商)联系方式 网下投资者对本公告所公布的网下初步配售结果如有疑问,请与本次发行的保荐机构(主承销商)联系。具体联系方式如下: 具体联系方式如下: 联系电话:021-23219622、021-23219496、021-23219524 联系人:资本市场部 发行人:上海之江生物科技股份有限公司保荐机构(主承销商):海通证券股份有限公司 2021年1月8日 (本页无正文,为《上海之江生物科技股份有限公司首次公开发行股票并在科创板上市网下初步配售结果及网上中签结果公告》之盖章页) 发行人:上海之江生物科技股份有限公司 年 月 日 (本页无正文,为《上海之江生物科技股份有限公司首次公开发行股票并在科创板上市网下初步配售结果及网上中签结果公告》之盖章页) 保荐机构(主承销商):海通证券股份有限公司 年 月 日 网下投资者初步配售明细表 | 38 | |
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湖南省(伍号)职业年金计划B8828060111,400 5,740 248,082.80 1,240.41 249,323.21 A |
79 | |
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B8832999371,400 5,740 248,082.80 1,240.41 249,323.21 A |
119 | |
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D8900614551,300 5,330 230,362.60 1,151.81 231,514.41 A |
158 | |
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融通基金管理有限公司融通新蓝筹证券投资基金D8907111941,400 5,740 248,082.80 1,240.41 249,323.21 A |
203 | |
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D8902110421,090 4,469 193,150.18 965.75 194,115.93 A |
251 | |
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D890146475990 4,059 175,429.98 877.15 176,307.13 A |
292 | |
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B8827192931,400 5,740 248,082.80 1,240.41 249,323.21 A |
335 | |
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D890754794920 3,772 163,025.84 815.13 163,840.97 A |
376 | |
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D8902208391,400 5,740 248,082.80 1,240.41 249,323.21 A |
416 | |
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D890780305690 2,829 122,269.38 611.35 122,880.73 A |
457 | |
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D890224273840 3,444 148,849.68 744.25 149,593.93 A |
498 | |
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江苏省拾壹号职业年金计划B8828855281,400 5,740 248,082.80 1,240.41 249,323.21 A |
539 | |
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山东省(肆号)职业年金计划B8826713011,400 5,740 248,082.80 1,240.41 249,323.21 A |
580 | |
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B8823702511,400 5,740 248,082.80 1,240.41 249,323.21 A |
621 | |
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B8830303591,400 5,740 248,082.80 1,240.41 249,323.21 A |
661 | |
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B8829590131,400 5,740 248,082.80 1,240.41 249,323.21 A |
702 | |
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D890731306520 2,132 92,145.04 460.73 92,605.77 A |
743 | |
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山东省(叁号)职业年金计划B8826860471,400 5,740 248,082.80 1,240.41 249,323.21 A |
783 | |
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B8820336891,400 5,740 248,082.80 1,240.41 249,323.21 A |
824 | |
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D890786270650 2,665 115,181.30 575.91 115,757.21 A |
864 | |
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D8907812121,400 5,740 248,082.80 1,240.41 249,323.21 A |
906 | |
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D8902080231,400 5,740 248,082.80 1,240.41 249,323.21 A |
946 | |
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D8999051481,400 5,740 248,082.80 1,240.41 249,323.21 A |
986 | |
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D8902424591,400 5,740 248,082.80 1,240.41 249,323.21 A |
1028 | |
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大成基金管理有限公司大成价值增长证券投资基金D8907113221,400 5,740 248,082.80 1,240.41 249,323.21 A |
1068 | |
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D8999030991,100 4,510 194,922.20 974.61 195,896.81 A |
1109 | |
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B8884835491,400 5,740 248,082.80 1,240.41 249,323.21 A |
1150 | |
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招商基金管理有限公司招商丰韵混合型证券投资基金D890151519900 3,690 159,481.80 797.41 160,279.21 A |
1194 | |
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D890187829960 3,936 170,113.92 850.57 170,964.49 A |
1244 | |
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长江盛世华章平衡增利1号B8835482921,400 5,740 248,082.80 1,240.41 249,323.21 A |
1284 | |
|
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B8827561771,400 5,740 248,082.80 1,240.41 249,323.21 A |
1318 | |
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|
上海铁路局企业年金计划-工行B8823811391,400 5,740 248,082.80 1,240.41 249,323.21 A |
1358 | |
|
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|
D890776982460 1,886 81,512.92 407.56 81,920.48 A |
1397 | |
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|
B8831234321,100 4,510 194,922.20 974.61 195,896.81 A |
1436 | |
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|
B8829795131,240 5,084 219,730.48 1,098.65 220,829.13 A |
1476 | |
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|
B8810936651,400 5,740 248,082.80 1,240.41 249,323.21 A |
1516 | |
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|
B8820404661,400 5,740 248,082.80 1,240.41 249,323.21 A |
1555 | |
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|
D8907643831,400 5,740 248,082.80 1,240.41 249,323.21 A |
1593 | |
|
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|
B8830847511,400 5,740 248,082.80 1,240.41 249,323.21 A |
1631 | |
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|
B8812279261,400 5,740 248,082.80 1,240.41 249,323.21 A |
1667 | |
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|
B8827620631,400 5,740 248,082.80 1,240.41 249,323.21 A |
1708 | |
|
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|
山东省(贰号)职业年金计划B8826754281,400 5,740 248,082.80 1,240.41 249,323.21 A |
1749 | |
|
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B8829403151,400 5,740 248,082.80 1,240.41 249,323.21 A |
1790 | |
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D8999029041,400 5,740 248,082.80 1,240.41 249,323.21 A |
1831 | |
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|
D8901897581,150 4,715 203,782.30 1,018.91 204,801.21 A |
1870 | |
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|
D8902395451,400 5,740 248,082.80 1,240.41 249,323.21 A |
1911 | |
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|
B8832753361,400 5,740 248,082.80 1,240.41 249,323.21 A |
1952 | |
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|
上海市伍号职业年金计划B8828562021,400 5,740 248,082.80 1,240.41 249,323.21 A |
1993 | |
|
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|
B8832188761,400 5,740 248,082.80 1,240.41 249,323.21 A |
2033 | |
|
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|
|
B8884066521,400 5,740 248,082.80 1,240.41 249,323.21 A |
2071 | |
|
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|
B8823854761,400 5,740 248,082.80 1,240.41 249,323.21 A |
2112 | |
|
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|
D890201966460 1,886 81,512.92 407.56 81,920.48 A |
2151 | |
|
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|
B8810242551,400 5,740 248,082.80 1,240.41 249,323.21 A |
2190 | |
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|
D8908265411,030 4,223 182,518.06 912.59 183,430.65 A |
2230 | |
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|
D8902106721,380 5,658 244,538.76 1,222.69 245,761.45 A |
2267 | |
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|
D890005360480 1,968 85,056.96 425.28 85,482.24 A |
2308 | |
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|
D8900342881,400 5,740 248,082.80 1,240.41 249,323.21 A |
2349 | |
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|
华夏基金管理有限公司山东省(捌号)职业年金计划B8826608711,400 5,740 248,082.80 1,240.41 249,323.21 A |
2392 | |
|
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|
D8902247281,400 5,740 248,082.80 1,240.41 249,323.21 A |
2435 | |
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|
B8801155451,400 5,740 248,082.80 1,240.41 249,323.21 A |
2481 | |
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|
B8820815351,400 5,740 248,082.80 1,240.41 249,323.21 A |
2523 | |
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|
华夏基金管理有限公司河北省农村信用社联合社B8831815901,400 5,740 248,082.80 1,240.41 249,323.21 A |
2570 | |
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|
D890817267400 1,640 70,880.80 354.40 71,235.20 A |
2611 | |
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|
嘉实基金管理有限公司基本养老保险基金三零五组合D8900863741,400 5,740 248,082.80 1,240.41 249,323.21 A |
2655 | |
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|
D8902170561,400 5,740 248,082.80 1,240.41 249,323.21 A |
2698 | |
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|
D899898600330 1,353 58,476.66 292.38 58,769.04 A |
2738 | |
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D8900389651,400 5,740 248,082.80 1,240.41 249,323.21 A |
2777 | |
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B8835352811,400 5,740 248,082.80 1,240.41 249,323.21 A |
2817 | |
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易方达基金管理有限公司易方达泰兴股票型养老金产品B8832336771,400 5,740 248,082.80 1,240.41 249,323.21 A |
2857 | |
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B8828058871,400 5,740 248,082.80 1,240.41 249,323.21 A |
2897 | |
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D8900242911,400 5,740 248,082.80 1,240.41 249,323.21 A |
2936 | |
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D8900055301,400 5,740 248,082.80 1,240.41 249,323.21 A |
2976 | |
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B8829923381,400 5,740 248,082.80 1,240.41 249,323.21 A |
3015 | |
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D8903384831,400 5,740 248,082.80 1,240.41 249,323.21 A |
3054 | |
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D890154884350 1,435 62,020.70 310.10 62,330.80 A |
3096 | |
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D8902260891,270 5,207 225,046.54 1,125.23 226,171.77 A |
3141 | |
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D8900915231,400 5,740 248,082.80 1,240.41 249,323.21 A |
3174 | |
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D8908217531,340 5,494 237,450.68 1,187.25 238,637.93 A |
3215 | |
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D8901997031,400 5,740 248,082.80 1,240.41 249,323.21 A |
3255 | |
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B8833047661,400 5,740 248,082.80 1,240.41 249,323.21 A |
3296 | |
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D890140584940 3,854 166,569.88 832.85 167,402.73 A |
3337 | |
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D8907830101,400 5,740 248,082.80 1,240.41 249,323.21 A |
3377 | |
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D8907133081,400 5,740 248,082.80 1,240.41 249,323.21 A |
3418 | |
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B8820453511,400 5,740 248,082.80 1,240.41 249,323.21 A |
3459 | |
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陕西省(肆号)职业年金计划B8827849761,340 5,494 237,450.68 1,187.25 238,637.93 A |
3500 | |
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B8830332261,220 5,002 216,186.44 1,080.93 217,267.37 A |
3541 | |
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金鹰基金管理有限公司金鹰元安混合型证券投资基金D8908084461,260 5,166 223,274.52 1,116.37 224,390.89 A |
3580 | |
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D8900055481,400 5,740 248,082.80 1,240.41 249,323.21 A |
3621 | |
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D8999024671,400 5,740 248,082.80 1,240.41 249,323.21 A |
3661 | |
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D890003431380 1,558 67,336.76 336.68 67,673.44 A |
3700 | |
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D8902069901,400 5,740 248,082.80 1,240.41 249,323.21 A |
3739 | |
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D8902219401,400 5,740 248,082.80 1,240.41 249,323.21 A |
3779 | |
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D890090098280 1,148 49,616.56 248.08 49,864.64 A |
3819 | |
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B8826764321,400 5,740 248,082.80 1,240.41 249,323.21 A |
3859 | |
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B8818585811,400 5,740 248,082.80 1,240.41 249,323.21 A |
3896 | |
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A类投资者合计 | |
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B类投资者合计 | |
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B882255862620 1,717 74,208.74 371.04 74,579.78 C |
3935 | |
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B8829772521,370 3,794 163,976.68 819.88 164,796.56 C |
3975 | |
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B8834983821,010 2,797 120,886.34 604.43 121,490.77 C |
4012 | |
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B8828795351,400 3,877 167,563.94 837.82 168,401.76 C |
4053 | |
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B8823621141,400 3,877 167,563.94 837.82 168,401.76 C |
4089 | |
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B8884861571,400 3,877 167,563.94 837.82 168,401.76 C |
4130 | |
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江海证券有限公司江海证券自营投资账户D8907761781,400 3,877 167,563.94 837.82 168,401.76 C |
4165 | |
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D8907071791,400 3,877 167,563.94 837.82 168,401.76 C |
4201 | |
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D8906123581,400 3,877 167,563.94 837.82 168,401.76 C |
4238 | |
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B8832804041,400 3,877 167,563.94 837.82 168,401.76 C |
4279 | |
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东方点赞11号证券私募基金B8823634371,400 3,877 167,563.94 837.82 168,401.76 C |
4317 | |
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B8832683971,400 3,877 167,563.94 837.82 168,401.76 C |
4353 | |
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B8811895131,400 3,877 167,563.94 837.82 168,401.76 C |
4397 | |
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敦和资产管理有限公司敦和八卦田积极A私募基金B8816801031,400 3,877 167,563.94 837.82 168,401.76 C |
4438 | |
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B8830809351,400 3,877 167,563.94 837.82 168,401.76 C |
4477 | |
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B8831033931,400 3,877 167,563.94 837.82 168,401.76 C |
4514 | |
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B8816609091,400 3,877 167,563.94 837.82 168,401.76 C |
4551 | |
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B8816425871,400 3,877 167,563.94 837.82 168,401.76 C |
4587 | |
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D8907585781,400 3,877 167,563.94 837.82 168,401.76 C |
4627 | |
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D8900119341,400 3,877 167,563.94 837.82 168,401.76 C |
4667 | |
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B881209258910 2,520 108,914.40 544.57 109,458.97 C |
4706 | |
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B882400996260 720 31,118.40 155.59 31,273.99 C |
4746 | |
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B882346419650 1,800 77,796.00 388.98 78,184.98 C |
4785 | |
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B883374732520 1,440 62,236.80 311.18 62,547.98 C |
4824 | |
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B883397455520 1,440 62,236.80 311.18 62,547.98 C |
4863 | |
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B880160891940 2,603 112,501.66 562.51 113,064.17 C |
4902 | |
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B883463638680 1,883 81,383.26 406.92 81,790.18 C |
4941 | |
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D890818116680 1,883 81,383.26 406.92 81,790.18 C |
4979 | |
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B883528412550 1,523 65,824.06 329.12 66,153.18 C |
5018 | |
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D890241746550 1,523 65,824.06 329.12 66,153.18 C |
5055 | |
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B882878937420 1,163 50,264.86 251.32 50,516.18 C |
5093 | |
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B883293067420 1,163 50,264.86 251.32 50,516.18 C |
5132 | |
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华中7号伊洛私募证券投资基金B882954131710 1,966 84,970.52 424.85 85,395.37 C |
5170 | |
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太平洋卓越臻新七号产品B8833687151,000 2,769 119,676.18 598.38 120,274.56 C |
5209 | |
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B883470897580 1,606 69,411.32 347.06 69,758.38 C |
5249 | |
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D890202687290 803 34,705.66 173.53 34,879.19 C |
5288 | |
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B8830665171,030 2,852 123,263.44 616.32 123,879.76 C |
5326 | |
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B8834970191,190 3,295 142,409.90 712.05 143,121.95 C |
5366 | |
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B882834242450 1,246 53,852.12 269.26 54,121.38 C |
5406 | |
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迎水高升8号私募证券投资基金B8833807331,060 2,935 126,850.70 634.25 127,484.95 C |
5445 | |
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国联证券股份有限公司国联远投3号集合资产管理计划D890239197610 1,689 72,998.58 364.99 73,363.57 C |
5482 | |
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B883479841770 2,132 92,145.04 460.73 92,605.77 C |
5518 | |
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B8834107821,250 3,461 149,584.42 747.92 150,332.34 C |
5556 | |
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迎水泰顺3号私募证券投资基金B882687310640 1,772 76,585.84 382.93 76,968.77 C |
5597 | |
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B883484553800 2,215 95,732.30 478.66 96,210.96 C |
5637 | |
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B883408256480 1,329 57,439.38 287.20 57,726.58 C |
5676 | |
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少数派82号证券投资基金B880871442800 2,215 95,732.30 478.66 96,210.96 C |
5715 | |
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卓越财富沪深300指数型产品B8832501871,150 3,184 137,612.48 688.06 138,300.54 C |
5750 | |
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B881963551670 1,855 80,173.10 400.87 80,573.97 C |
5788 | |
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B883362264670 1,855 80,173.10 400.87 80,573.97 C |
5825 | |
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B883309622510 1,412 61,026.64 305.13 61,331.77 C |
5863 | |
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D890231903700 1,938 83,760.36 418.80 84,179.16 C |
5904 | |
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磐耀FOF一期基金B882861037700 1,938 83,760.36 418.80 84,179.16 C |
5943 | |
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B883145866700 1,938 83,760.36 418.80 84,179.16 C |
5983 | |
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B881796768540 1,495 64,613.90 323.07 64,936.97 C |
6021 | |
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B883395160730 2,021 87,347.62 436.74 87,784.36 C |
6057 | |
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B882699985950 2,630 113,668.60 568.34 114,236.94 C |
6097 | |
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B882749120950 2,630 113,668.60 568.34 114,236.94 C |
6137 | |
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B882396773380 1,052 45,467.44 227.34 45,694.78 C |
6176 | |
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B881414154570 1,578 68,201.16 341.01 68,542.17 C |
6215 | |
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锦绣前程4号证券投资基金B880962497790 2,187 94,522.14 472.61 94,994.75 C |
6254 | |
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B883439702600 1,661 71,788.42 358.94 72,147.36 C |
6292 | |
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宽远优势成长3号证券投资基金B888608717410 1,135 49,054.70 245.27 49,299.97 C |
6329 | |
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B883411851630 1,744 75,375.68 376.88 75,752.56 C |
6369 | |
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B882256583660 1,827 78,962.94 394.81 79,357.75 C |
6406 | |
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B883411526660 1,827 78,962.94 394.81 79,357.75 C |
6445 | |
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B882405776220 609 26,320.98 131.60 26,452.58 C |
6484 | |
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B881364456690 1,910 82,550.20 412.75 82,962.95 C |
6524 | |
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盘京天道8期私募证券投资基金B883016651470 1,301 56,229.22 281.15 56,510.37 C |
6563 | |
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B883266109720 1,993 86,137.46 430.69 86,568.15 C |
6602 | |
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B881682587500 1,384 59,816.48 299.08 60,115.56 C |
6641 | |
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B882758404530 1,467 63,403.74 317.02 63,720.76 C |
6681 | |
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B883334229560 1,550 66,991.00 334.96 67,325.96 C |
6720 | |
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B883272095280 775 33,495.50 167.48 33,662.98 C |
6759 | |
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B883521923590 1,633 70,578.26 352.89 70,931.15 C |
6799 | |
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B883501151310 858 37,082.76 185.41 37,268.17 C |
6839 | |
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江苏济川控股集团有限公司B881243359370 1,024 44,257.28 221.29 44,478.57 C |
6879 | |
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B883409155400 1,107 47,844.54 239.22 48,083.76 C |
6916 | |
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B883357120430 1,190 51,431.80 257.16 51,688.96 C |
6953 | |
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通怡永康1号私募证券投资基金B883380123460 1,273 55,019.06 275.10 55,294.16 C |
6992 | |
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B882806639300 830 35,872.60 179.36 36,051.96 C |
7031 | |
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B883547848270 747 32,285.34 161.43 32,446.77 C |
7070 | |
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B880783550300 830 35,872.60 179.36 36,051.96 C |
7110 | |
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启元尊享1号私募证券投资基金B883366658270 747 32,285.34 161.43 32,446.77 C |
7150 | |
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D890238913180 498 21,523.56 107.62 21,631.18 C |
7190 | |
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B883494825200 553 23,900.66 119.50 24,020.16 C |
2,616,410 7,244,387 313,102,406.14 1,565,511.83 314,667,917.97 - 7,205,030 26,052,817 1,126,002,750.74 5,630,003.27 1,131,632,754.01 - | |
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C类投资者合计 | 网下投资者合计 |
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