广州三孚新材料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): 特别提示广州三孚新材料科技股份有限公司(以下简称“三孚新科”、“发行人”或“公司”)首次公开发行不超过2,304.6377万股人民币普通股(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委员审议通过,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〔2021〕1228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)民生证券股份有限公司(以下简称“民生证券”、“保荐机构(主承销商)”)协商确定本次发行股份数量为2,304.6377万股。初始战略配售预计发行数量为 115.2319万股,占本次发行总数量的 5.00%。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 115.2319万股,占发行总量的5.00%,与初始战略配售股数相同。 网上网下回拨机制启动前,网下初始发行数量为1,532.6058万股,占扣除最终战略配售数量后发行数量的70%;网上初始发行数量为656.80万股,占扣除最终战略配售数量后发行数量的30%。最终网下、网上发行合计数量为本次发行总数量扣除最终战略配售数量,网上、网下最终发行数量将根据回拨情况确定,最终网上、网下发行合计数量为2,189.4058万股。 根据《广州三孚新材料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《广州三孚新材料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4,849.19倍,超过 倍,发行人和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,将扣除最终战略配售部分后本次公开发行股票数量的10%(向上取整至 股的整数倍,即 218.95万股)从网下回拨到网上。回拨机制启动后,网下最终发行数量为1,313.6558万股,占扣除战略配售数量后发行数量的 60.00%,网上最终发行数量为 875.75万股,占扣除战略配售数量后发行数量的40.00%。回拨机制启动后,网上发行最终中签率为 0.02749653%。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《广州三孚新材料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 月 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。配售对象的新股配售经纪佣金金额=配售对象最终获配金额*0.5%(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 月 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主承销商包销。 、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、全国社会保障基金、基本养老保险基金、根据《企业年金基金管理办法》设立的企业年金基金、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持有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、扣除最终战略配售数量后,出现网下和网上投资者缴款认购的股份数量合计不足本次公开发行数量的70%时,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。 、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,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 个月内累计出现 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 个月(按 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已参与网下申购的网下投资者送达获配缴款通知。 一、网上摇号中签结果 根据《发行公告》,发行人和主承销商于2021年5月13日(T+1日)上午在上海市浦东东方路 号紫金山大酒店四楼会议室海棠厅主持了三孚新科首次公开发行股票网上发行摇号中签仪式。摇号仪式按照公开、公平、公正的原则进行,摇号过程及结果已经上海市东方公证处公证。中签结果如下: 凡参与网上发行申购三孚新科A股股票的投资者持有的申购配号尾数与上 末尾位数 | 中签号码 | 末“4”位数 | 8654,3654 | 末“5”位数 | 70291,90291,50291,30291,10291,36857,86857 | 末“6”位数 | 119580,369580,619580,869580 | 末“7”位数 | 1648755,2898755,4148755,5398755,6648755,7898755,9148755,0398755,5090029 | 末“8”位数 | 36959870,56833458,47981814,04467691 |
述号码相同的,则为中签号码。中签号码共17,515个,每个中签号码只能认购 股三孚新科A股股票。 二、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 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,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,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5月12日(T日)结束。经核查确认,《发行公告》披露的419家网下投资者管理的8,996个有效报价配售对象全部按照《发行公告》的要求进行了网下申购,网下有效申购数量为6,285,380.00万股。 (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 | 3,142,560 | 50.00% | 9,935,015 | 75.63% | 0.03161440% | B类投资者 | 17,500 | 0.28% | 31,550 | 0.24% | 0.01802857% | C类投资者 | 3,125,320 | 49.72% | 3,169,993 | 24.13% | 0.01014294% | 合计 | 6,285,380.00 | 100.00% | 13,136,558 | 100.00% | 0.02090018% |
其中零股39股按照《发行安排及初步询价公告》中公布的网下配售原则配售给“同泰慧利混合型证券投资基金”。 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:三孚新科网下申购初步配售 明细”。 三、网下配售摇号抽签 发行人与主承销商定于2021年 月 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 月 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《广州三孚新材料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。 四、战略配售最终结果本次发行战略配售的缴款及配售工作已结束。经确认,《发行公告》中披露的保荐机构相关子公司跟投参与本次发行战略配售有效。本次发行战略配售的最终情况如下: 五、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,请与本次发行的主承销商联系。具体联系方式如下: 住所:中国(上海)自由贸易试验区世纪大道1168号B座2101、2104A室联系人:民生证券资本市场部联系电话:010-85120190 发行人:广州三孚新材料科技股份有限公司保荐机构(主承销商):民生证券股份有限公司 2021年 月 日 战略投资者名称 | 获配股票数量(股) | 获配金额(元) | 新股配售经纪佣金(元) | 限售期 | 民生证券投资有限公司 | 1,152,319 | 12,710,078.57 | 0 | 24个月 |
B8807424317002,213 24,409.39 122.05 24,531.44 A | |
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B8811881017002,213 24,409.39 122.05 24,531.44 A128 | |
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华夏基金管理有限公司 | 复旦大学附属中山医院企业年金计划 | B881197189 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8814674907002,213 24,409.39 122.05 24,531.44 A | |
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B8818120567002,213 24,409.39 122.05 24,531.44 A | |
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B8819620557002,213 24,409.39 122.05 24,531.44 A | |
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宁夏电力公司企业年金计划B8820748477002,213 24,409.39 122.05 24,531.44 A | |
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B8823514777002,213 24,409.39 122.05 24,531.44 A444 | |
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中国国际金融股份有限公司 | 中金先锐指数增强股票型养老金产品 | B882352876 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8824120957002,213 24,409.39 122.05 24,531.44 A504 | |
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博时基金管理有限公司 | 云南省农村信用社企业年金计划 | B882412980 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8825994737002,213 24,409.39 122.05 24,531.44 A | |
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南方基金管理股份有限公司 | 鞍钢集团有限公司企业年金计划 | B882728315 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
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太平养老保险股份有限公司 | 湖北省(陆号)职业年金计划 | B882767380 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8828044417002,213 24,409.39 122.05 24,531.44 A | |
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工银瑞信基金管理有限公司 | 安徽省柒号职业年金计划 | B882830989 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
941 | |
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工银瑞信基金管理有限公司 | 工银瑞信瑞益混合型养老金产品 | B882870002 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
1028 | |
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工银瑞信基金管理有限公司 | 天津市肆号职业年金计划 | B882916078 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8829350277002,213 24,409.39 122.05 24,531.44 A | |
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1189 | |
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太平养老保险股份有限公司 | 重庆市壹拾壹号职业年金计划 | B882986138 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8830288447002,213 24,409.39 122.05 24,531.44 A1272 | |
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中信证券股份有限公司 | 辽宁省拾壹号职业年金计划中信组合 | B883029311 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8830798617002,213 24,409.39 122.05 24,531.44 A1343 | |
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太平养老保险股份有限公司 | 河北省肆号职业年金计划 | B883080090 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
1422 | |
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建信养老金管理有限责任公 | 四川省叁号职业年金计划建信组合 | B883101901 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8832188767002,213 24,409.39 122.05 24,531.44 A1494 | |
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工银瑞信基金管理有限公司 | 中国兵器工业集团公司企业年金计划 | B883219733 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
B8833362267002,213 24,409.39 122.05 24,531.44 A1568 | |
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银华基金管理股份有限公司 | 银华蓄利股票型养老金产品 | B883337845 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
1657 | |
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博时基金管理有限公司 | 山东省(拾号)职业年金计划 | B883538645 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
浙江省拾号职业年金计划B8837143067002,213 24,409.39 122.05 24,531.44 A | |
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D8900008317002,213 24,409.39 122.05 24,531.44 A | |
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D8900034817002,213 24,409.39 122.05 24,531.44 A | |
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工银瑞信基金管理有限公司 | 工银瑞信聚焦30股票型证券投资基金 | D890007354 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
D8900220957002,213 24,409.39 122.05 24,531.44 A | |
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D8900298517002,213 24,409.39 122.05 24,531.44 A | |
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D8900346787002,213 24,409.39 122.05 24,531.44 A | |
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D8900407187002,213 24,409.39 122.05 24,531.44 A | |
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D8900571557002,213 24,409.39 122.05 24,531.44 A | |
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D8900629987002,213 24,409.39 122.05 24,531.44 A | |
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D8900686357002,213 24,409.39 122.05 24,531.44 A | |
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D8900744327002,213 24,409.39 122.05 24,531.44 A2386 | |
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国泰基金管理有限公司 | 金鑫股票型证券投资基金 | D890077922 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
D8900920247002,213 24,409.39 122.05 24,531.44 A | |
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D8900990767002,213 24,409.39 122.05 24,531.44 A | |
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D8901146227002,213 24,409.39 122.05 24,531.44 A | |
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D8901297327002,213 24,409.39 122.05 24,531.44 A | |
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D8901450217002,213 24,409.39 122.05 24,531.44 A | |
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D8901506947002,213 24,409.39 122.05 24,531.44 A | |
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D8901648897002,213 24,409.39 122.05 24,531.44 A | |
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D8901807547002,213 24,409.39 122.05 24,531.44 A | |
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D8901909037002,213 24,409.39 122.05 24,531.44 A | |
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D8901999317002,213 24,409.39 122.05 24,531.44 A | |
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D8902072397002,213 24,409.39 122.05 24,531.44 A3060 | |
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嘉实基金管理有限公司 | 嘉实回报精选股票型证券投资基金 | D890207530 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
D8902110427002,213 24,409.39 122.05 24,531.44 A | |
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D8902200837002,213 24,409.39 122.05 24,531.44 A | |
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D8902266237002,213 24,409.39 122.05 24,531.44 A | |
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D8902316607002,213 24,409.39 122.05 24,531.44 A | |
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D8902382227002,213 24,409.39 122.05 24,531.44 A | |
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D8902445667002,213 24,409.39 122.05 24,531.44 A3440 | |
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中欧基金管理有限公司 | 中欧睿见混合型证券投资基金 | D890244710 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
D8902504367002,213 24,409.39 122.05 24,531.44 A | |
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D8902562547002,213 24,409.39 122.05 24,531.44 A3569 | |
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鹏华基金管理有限公司 | 鹏华安润混合型证券投资基金 | D890256335 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
D8902605387002,213 24,409.39 122.05 24,531.44 A | |
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D8902657587002,213 24,409.39 122.05 24,531.44 A | |
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3771 | |
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申万菱信基金管理有限公司 | 申万菱信盛利精选证券投资基金 | D890713316 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
D8907557167002,213 24,409.39 122.05 24,531.44 A | |
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D8907661497002,213 24,409.39 122.05 24,531.44 A3929 | |
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银华基金管理股份有限公司 | 银华领先策略混合型证券投资基金 | D890766204 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
D8907775487002,213 24,409.39 122.05 24,531.44 A | |
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4062 | |
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汇添富基金管理股份有限公 | 汇添富社会责任混合型证券投资基金 | D890785680 | 700 | 2,213 | 24,409.39 | 122.05 | 24,531.44 | A |
D8907924417002,213 24,409.39 122.05 24,531.44 A | |
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D8908052107002,213 24,409.39 122.05 24,531.44 A | |
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D8908176317002,213 24,409.39 122.05 24,531.44 A | |
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D8908272887002,213 24,409.39 122.05 24,531.44 A | |
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D8998881847002,213 24,409.39 122.05 24,531.44 A | |
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D8999024917002,213 24,409.39 122.05 24,531.44 A | |
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D8999056357002,213 24,409.39 122.05 24,531.44 A | |
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广发稳鑫17号定向资产管理计划A7147941227007107,831.30 39.167870.46C | |
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B8803933057007107,831.30 39.167870.46C4601 | |
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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 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8807761637007107,831.30 39.167870.46C4666 | |
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上海富善投资有限公司 | 富善投资-优享11号基金 | B880776367 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
4742 | |
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太平洋资产管理有限责任公 | 太平洋卓越八十五号产品 | B881031922 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
4808 | |
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北京泓澄投资管理有限公司 | 泓澄沪港深精选私募证券投资基金 | B881143012 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8812476707007107,831.30 39.167870.46C | |
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B8814100537007107,831.30 39.167870.46C | |
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云南省投资控股集团有限公司B8815254507007107,831.30 39.167870.46C | |
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B8816487297007107,831.30 39.167870.46C | |
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B8817639437007107,831.30 39.167870.46C | |
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青沣有和5期私募证券投资基金B8819113767007107,831.30 39.167870.46C | |
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B8820777197007107,831.30 39.167870.46C5245 | |
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上海宁泉资产管理有限公司 | 宁泉致远6号私募证券投资基金 | B882078642 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
万丰友方量利3号私募证券投资基金B8822067747007107,831.30 39.167870.46C5315 | |
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上海明汯投资管理有限公司 | 明汯中性6号私募证券投资基金 | B882211347 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8823589877007107,831.30 39.167870.46C | |
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B8824204417007107,831.30 39.167870.46C | |
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5512 | |
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民生通惠资产管理有限公司 | 民生通惠汇通2号资产管理产品 | B882587293 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8827000797007107,831.30 39.167870.46C | |
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B8827442777007107,831.30 39.167870.46C | |
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B8827989417007107,831.30 39.167870.46C | |
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昭融长丰1号私募证券投资基金B8828269067007107,831.30 39.167870.46C5787 | |
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上海佳期投资管理有限公司 | 佳期星际私募证券投资基金一期 | B882826980 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8828488857007107,831.30 39.167870.46C | |
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B8828501257007107,831.30 39.167870.46C5861武汉昭融汇利投资管理有限 | |
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责任公司 | |
计划 B8828510327007107,831.30 39.167870.46C 5863 林园投资49号私募证券投资基金B8828710407007107,831.30 39.167870.46C | |
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宁聚映山红8号私募证券投资基金B8828952727007107,831.30 39.167870.46C5997 | |
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上海少薮派投资管理有限公 | 少数派尊享收益68D私募证券投资基 | B882896210 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
宁聚满天星3期私募证券投资基金B8829342387007107,831.30 39.167870.46C6072 | |
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河南伊洛投资管理有限公司 | 华中8号伊洛私募证券投资基金 | B882934589 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
玖鹏大鹏精选13号私募证券投资基金B8829780627007107,831.30 39.167870.46C | |
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6213 | |
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上海金锝资产管理有限公司 | 金锝格物质选2号证券投资私募基金 | B883042416 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8831003617007107,831.30 39.167870.46C | |
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6357 | |
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上海聚鸣投资管理有限公司 | 聚鸣涌金18号私募证券投资基金 | B883143319 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
林园投资103号私募证券投资基金B8831766397007107,831.30 39.167870.46C6421 | |
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上海宽远资产管理有限公司 | 宽远优势成长7号私募证券投资基金 | B883176647 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8832014927007107,831.30 39.167870.46C | |
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B8832528757007107,831.30 39.167870.46C | |
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B8832959707007107,831.30 39.167870.46C6642 | |
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深圳诚奇资产管理有限公司 | 诚奇对冲精选2号私募证券投资基金 | B883297388 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8833270867007107,831.30 39.167870.46C | |
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|
6795 | |
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上海呈瑞投资管理有限公司 | 呈瑞和兴11号私募证券投资基金 | B883356962 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
林园投资华阳一号私募证券投资基金B8833811297007107,831.30 39.167870.46C | |
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B8833986217007107,831.30 39.167870.46C | |
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林园投资127号私募证券投资基金B8834144017007107,831.30 39.167870.46C | |
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7099 | |
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上海健顺投资管理有限公司 | 健顺云17号私募证券投资基金 | B883432580 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
7174 | |
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上海一村投资管理有限公司 | 一村扬帆5号私募证券投资基金 | B883451770 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8834711947007107,831.30 39.167870.46C7251 | |
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九坤投资(北京)有限公司 | 九坤策略精选T期私募证券投资基金 | B883471584 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
7332 | |
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招商基金 | 招商基金-锐益AA期集合资产管理计 | B883485389 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
泰润红萝卜3号私募证券投资基金B8834979467007107,831.30 39.167870.46C7403 | |
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上海通怡投资管理有限公司 | 通怡北斗2号私募证券投资基金 | B883498188 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8835158597007107,831.30 39.167870.46C | |
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B8835397147007107,831.30 39.167870.46C7549 | |
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上海石锋资产管理有限公司 | 石锋资产力行3号私募证券投资基金 | B883539803 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
7628 | |
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上海银叶投资有限公司 | 银叶长河1号私募证券投资基金 | B883557584 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8835770977007107,831.30 39.167870.46C | |
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7771 | |
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上海迎水投资管理有限公司 | 迎水嘉泰9号私募证券投资基金 | B883596871 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8836145987007107,831.30 39.167870.46C | |
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凌顶守正三号私募证券投资基金B8836280847007107,831.30 39.167870.46C | |
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B8836426647007107,831.30 39.167870.46C | |
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林园投资163号私募证券投资基金B8836611057007107,831.30 39.167870.46C | |
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B8836931607007107,831.30 39.167870.46C | |
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8189 | |
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上海启林投资管理有限公司 | 启林市场中性21号私募证券投资基金 | B883724898 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
8260 | |
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广州市玄元投资管理有限公 | 玄元科新166号私募证券投资基金 | B883759607 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8837825877007107,831.30 39.167870.46C | |
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8392 | |
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上海石锋资产管理有限公司 | 石锋资产大巧22号私募证券投资基金 | B883801608 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8838411297007107,831.30 39.167870.46C | |
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8535 | |
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鹏华基金管理有限公司 | 鹏华基金阳光4号集合资产管理计划 | B883873312 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
B8885859517007107,831.30 39.167870.46C | |
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D8901997297007107,831.30 39.167870.46C | |
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D8902354287007107,831.30 39.167870.46C | |
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中泰鑫创3号集合资产管理计划D8902429625605686,265.04 31.336296.37C | |
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华泰新悦8号集合资产管理计划D8902497947007107,831.30 39.167870.46C | |
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中泰星汇5号集合资产管理计划D8902596267007107,831.30 39.167870.46C8900 | |
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招商证券资产管理有限公司 | 招商资管鑫融9号集合资产管理计划 | D890259896 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
8969 | |
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财通证券股份有限公司 | 财通证券股份有限公司自营投资账户 | D890767925 | 700 | 710 | 7,831.30 | 39.16 | 7870.46 | C |
齐鲁星河1号集合资产管理计划D8998875287007107,831.30 39.167870.46CC类投资者合计3,125,320 3,169,993 34,965,022.79 174,840.43 35,139,863.22 -网下投资者合计6,285,380 13,136,558 144,896,234.74 724,510.16 145,620,744.90 - | |
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