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烟台氨纶(002254)首次公开发行股票网下配售结果公告

[日期:2008-06-21] 指数期货网http://www.zsqhw.com  来源:  [字体: ]


                          烟台氨纶股份有限公司 

                首次公开发行股票网下配售结果公告 

               保荐人(主承销商):光大证券股份有限公司 

       重要提示 

     1、烟台氨纶股份有限公司(以下简称“发行人”)首次公开发行不超过3,200 

万股人民币普通股(A股)(以下简称“本次发行”)的申请已获中国证券监督管理委员会证监许可[2008]756号文核准。 

     2、本次发行采用网下向询价对象配售(以下简称“网下配售”)与网上向社会公众投资者定价发行(以下简称“网上发行”)相结合的发行方式。本次网下配售由光大证券股份有限公司(以下简称“光大证券”、“保荐人(主承销商)”)负责组织实施。 

     3、根据初步询价结果,发行人和保荐人(主承销商)协商确定本次发行价格为18.59元/股,发行数量为3,200万股,其中,网下配售数量为640万股,占本次发行数量的20%;网上定价发行数量为2,560万股,占本次发行总量的80%。 

     4、本次发行的网下配售工作已于2008年6月16日结束。经深圳南方民和会计师事务所有限责任公司验资,参与网下申购的配售对象已全额缴付申购资金。本次发行的配售过程已经上海祝跃光律师事务所见证,并对此出具了专项法律意见书。 

     5、根据2008年6月13日公布的《烟台氨纶股份有限公司首次公开发行股票网下向询价对象配售和网上向社会公众投资者定价发行公告》(以下简称“《网下网上发行公告》”),《烟台氨纶股份有限公司首次公开发行股票网下配售结果公告》(以下简称“本公告”)一经刊出亦视同向网下申购获得配售的所有配售对象送达获配通知。 

     一、网下申购情况 

     本次发行的保荐人(主承销商)根据《证券发行与承销管理办法》(中国证券监督管理委员会令第37号)的要求,按照在中国证券业协会登记备案的询价 

                                          - 1 - 

  对象名单,对参与网下申购的配售对象的资格进行了核查和确认。  

        根据网下发行电子平台最终收到的配售对象提交的申购单和资金有效申购 

  结果,保荐人(主承销商)做出最终统计如下: 

        参与本次网下申购的配售对象共197家,均参与了初步询价,其申购总量为 

  112,810万股,实际冻结资金总额为2,109,035.50万元人民币。经核查,本次有 

  效申购的配售对象为197家,有效申购总量为112,810万股,有效申购资金总额 

  为2,097,137.90万元人民币。 

        二、本次网下申购获配情况 

        本次发行中通过网下配售向配售对象配售的股票为640万股,有效申购为 

  112,810万股,有效申购获得配售的配售比例为0.56732559% ,认购倍数为 

  176.27倍。 

        三、网下配售结果 

        所有获得配售的配售对象、获配股数及应退金额列示如下: 

序号                      配售对象名称                        获配股数(股)        退款金额(元)  

    1  宝盈资源优选股票型证券投资基金                                 7,942        ¥25,878,358.22 

    2  宝盈泛沿海区域增长股票证券投资基金                            36,308      ¥118,301,034.28 

    3  北京国际信托有限公司自营账户                                  36,308      ¥118,301,034.28 

    4  兵器财务有限责任公司自营账户                                  36,308      ¥118,301,034.28 

    5  全国社保基金一零八组合                                        36,308      ¥118,301,034.28 

    6  全国社保基金五零一组合                                        36,308      ¥118,301,034.28 

    7  博时新兴成长股票型证券投资基金                                36,308      ¥118,301,034.28 

    8  全国社保基金四零二组合                                        36,308      ¥118,301,034.28 

    9  渤海财产保险股份有限公司进取型组合                            36,308      ¥118,301,034.28 

   10  渤海国际信托有限公司自营账户                                  25,529        ¥83,180,415.89 

   11  渤海证券有限责任公司自营账户                                  36,308      ¥118,301,034.28 

   12  财富证券有限责任公司自营账户                                  36,308      ¥118,301,034.28 

   13  德邦证券有限责任公司自营账户                                  36,308      ¥118,301,034.28 

   14  第一创业证券有限责任公司自营账户                              31,770      ¥103,513,395.70 

   15  东北证券股份有限公司自营账户                                  36,308      ¥118,301,034.28 

   16  东方证券股份有限公司自营账户                                  36,308      ¥118,301,034.28 

        东方红 3 号集合资产管理计划(网下配售资格截至 

   17                                                                36,460      ¥118,298,208.60 

        2011 年 1 月 21 日)  

   18  富国天源平衡混合型证券投资基金                                16,452        ¥53,605,157.32 

   19  汉兴证券投资基金                                              36,308       ¥118,301,034.28 

                                                 - 2 - 

20  富国天惠精选成长混合型证券投资基金(LOF)                         28,366         ¥92,422,676.06 

21  富国天益价值证券投资基金                                          36,308       ¥118,301,034.28 

22  富国天利增长债券投资基金                                          36,308       ¥118,301,034.28 

23  汉鼎证券投资基金                                                  24,962         ¥81,331,956.42 

24  富国天合稳健优选股票型证券投资基金                                36,308       ¥118,301,034.28 

25  富国天瑞强势地区精选混合型开放式证券投资基金                      36,308       ¥118,301,034.28 

26  汉盛证券投资基金                                                  36,308       ¥118,301,034.28 

27  富国天博创新主题股票型证券投资基金                                36,308       ¥118,301,034.28 

28  广州证券有限责任公司自营账户                                      36,308       ¥118,301,034.28 

29  国都 1 号—安心受益集合资产管理计划                               36,308       ¥118,301,034.28 

30  国联信托有限责任公司自营账户                                      36,308       ¥118,301,034.28 

31  全国社保基金一一一组合                                            36,308       ¥118,301,034.28 

32  全国社保基金四零九组合                                            36,308       ¥118,301,034.28 

33  国泰君安证券股份有限公司自营账户                                  36,308       ¥118,301,034.28 

34  国信证券股份有限公司自营账户                                      36,308       ¥118,301,034.28 

     国元黄山1号限定性集合资产管理计划(网下配售资 

35                                                                    36,308       ¥118,301,034.28 

     格截至 2009 年 10 月 9 日)  

36  航天科工财务有限责任公司自营账户                                  18,154         ¥59,150,517.14 

37  航天科技财务有限责任公司自营账户                                  36,308       ¥118,301,034.28 

38  衡平信托有限责任公司自营账户                                      36,308       ¥118,301,034.28 

39  红塔证券股份有限公司自营账户                                      36,308       ¥118,301,034.28 

40  宏源证券股份有限公司自营账户                                      36,308       ¥118,301,034.28 

41  华宝兴业行业精选股票型证券投资基金                                36,308       ¥118,301,034.28 

42  宝康债券投资基金                                                  36,308       ¥118,301,034.28 

43  华宸信托有限责任公司自营账户                                      36,308       ¥118,301,034.28 

44  华泰证券股份有限公司自营账户                                      36,308       ¥118,301,034.28 

45  华泰资产管理有限公司—增值投资产品                                36,308       ¥118,301,034.28 

46  受托管理华泰财产保险股份有限公司稳健型组合                        36,308       ¥118,301,034.28 

47  受托华泰财产保险股份有限公司—传统—理财产品                      36,308       ¥118,301,034.28 

     受托管理华泰财产保险股份有限公司—传统—普通 

48                                                                    36,308       ¥118,301,034.28 

     保险产品  

     受托管理华泰财产保险股份有限公司—投连—理财 

49                                                                    36,308       ¥118,301,034.28 

     产品  

50  受托管理安邦财产保险股份有限公司传统保险产品                      36,308       ¥118,301,034.28 

     新疆电力公司企业年金计划(网下配售资格截至 

51                                                                    36,308       ¥118,301,034.28 

     2010 年 1 月 4 日)  

52  兴华证券投资基金                                                  27,798         ¥90,574,235.18 

53  全国社保基金一零七组合                                            36,308       ¥118,301,034.28 

54  华夏平稳增长混合型证券投资基金                                    36,308       ¥118,301,034.28 

55  华夏蓝筹核心混合型证券投资基金(LOF)                             36,308       ¥118,301,034.28 

56  华夏回报证券投资基金                                              36,308       ¥118,301,034.28 

57  华夏红利混合型开放式证券投资基金                                  36,308       ¥118,301,034.28 

58  华夏复兴股票型证券投资基金                                        36,308       ¥118,301,034.28 

                                                 - 3 - 

59  华夏大盘精选证券投资基金                                          36,308       ¥118,301,034.28 

60  华夏成长证券投资基金                                              36,308       ¥118,301,034.28 

     中国石油天然气集团公司企业年金计划(网下配售 

61                                                                    36,308       ¥118,301,034.28 

     资格截至 2008 年 12 月 31 日)  

62  徐州矿务集团有限公司企业年金计划                                  11,346         ¥36,969,077.86 

63  全国社保基金四零三组合                                            36,308       ¥118,301,034.28 

64  淮南矿业(集团)有限责任公司企业年金计划                          30,068         ¥97,968,035.88 

65  广东省粤电集团有限公司企业年金计划                                 1,701          ¥5,545,378.41 

     中国石油天然气集团公司企业年金计划(网下配售 

66                                                                    36,308       ¥118,301,034.28 

     资格截至 2008 年 12 月 31 日)  

67  徐州矿务集团有限公司企业年金计划                                  15,885         ¥51,756,697.85 

68  受托管理联想集团公司企业年金计划(保本)                             2,269          ¥7,393,819.29 

     山西晋城无烟煤矿业集团有限责任公司企业年金计 

69                                                                     6,807         ¥22,181,457.87 

     划  

70  陕西煤业化工集团有限责任公司年金计划                               5,673         ¥18,484,538.93 

71  全国社保基金五零四组合                                            36,308       ¥118,301,034.28 

72  全国社保基金四零六组合                                            36,308       ¥118,301,034.28 

     江苏省电力公司(辅业)企业年金计划(网下配售 

73                                                                    34,039       ¥110,907,214.99 

     资格截至 2009 年 12 月 31 日)  

74  东风汽车公司企业年金计划                                          26,664         ¥86,877,316.24 

75  泰和证券投资基金                                                  36,308       ¥118,301,034.28 

76  全国社保基金六零二组合                                            36,308       ¥118,301,034.28 

77  嘉实主题精选混合型证券投资基金                                    36,308       ¥118,301,034.28 

78  嘉实债券开放式证券投资基金                                        36,308       ¥118,301,034.28 

79  嘉实增长开放式证券投资基金                                        36,308       ¥118,301,034.28 

80  嘉实稳健开放式证券投资基金                                        36,308       ¥118,301,034.28 

81  嘉实沪深 300 指数证券投资基金                                     36,308       ¥118,301,034.28 

82  嘉实成长收益型证券投资基金                                        36,308       ¥118,301,034.28 

83  嘉实优质企业股票型开放式证券投资基金                              36,308       ¥118,301,034.28 

84  嘉实策略增长混合型证券投资基金                                    36,308       ¥118,301,034.28 

85  江苏省国际信托投资有限责任公司自营账户                            36,308       ¥118,301,034.28 

     证券稳健投资(收益可选择)集合资金信托计划(网 

86                                                                    22,125         ¥72,089,696.25 

     下配售资格截至 2009 年 4 月 16 日)  

87  江西国际信托投资股份有限公司自营账户                               6,807         ¥22,181,457.87 

88  金元证券股份有限公司自营账户                                      36,308       ¥118,301,034.28 

89  联合证券有限责任公司自营账户                                      36,308       ¥118,301,034.28 

90  联华国际信托投资有限公司自营账户                                  36,308       ¥118,301,034.28 

91  南京证券有限责任公司自营账户                                      36,308       ¥118,301,034.28 

92  宁波市金港信托投资有限责任公司自营账户                            36,308       ¥118,301,034.28 

93  诺安平衡证券投资基金                                              36,308       ¥118,301,034.28 

94  诺安价值增长股票证券投资基金                                      36,308       ¥118,301,034.28 

95  诺安股票证券投资基金                                              36,308       ¥118,301,034.28 

96  普天债券投资基金                                                  30,635         ¥99,816,495.35 

                                                 - 4 - 

      平衡增长集合资金信托(网下配售资格截至 2008 年 

  97                                                                   36,308        ¥118,301,034.28 

      11 月 10 日)  

      平安价值投资一期集合资金信托计划(网下配售资 

  98                                                                   36,308        ¥118,301,034.28 

      格截至 2011 年 6 月 12 日)  

      山东省国际信托有限公司鲁信汇鑫 1 号新股申购集 

 99  合资金信托计划(网下配售资格截至 2008 年 8 月 15                   27,798         ¥90,574,235.18 

       日)  

100  山西信托有限责任公司自营账户                                       36,308       ¥118,301,034.28 

      保利五号集合资金信托计划(网下配售资格截至 

 101                                                                    10,211        ¥33,272,177.51 

      2010 年 2 月 3 日)  

      保利四号集合资金信托计划(网下配售资格截至 

 102                                                                    14,183        ¥46,211,338.03 

      2010 年 1 月 15 日)  

      保利二号集合资金信托计划(网下配售资格截至 

 103                                                                    14,183        ¥46,211,338.03 

      2009 年 2 月 9 日)  

      保利一号集合资金信托计划(网下配售资格截至 

 104                                                                    14,750        ¥48,059,797.50 

      2009 年 1 月 17 日)  

105  山西证券股份有限公司自营账户                                       36,308       ¥118,301,034.28 

106  上海国际信托有限公司自营账户                                       36,308       ¥118,301,034.28 

107  申万巴黎新经济混合型证券投资基金                                  36,308        ¥118,301,034.28 

108  申万巴黎新动力股票型证券投资基金                                  36,308        ¥118,301,034.28 

109  申万巴黎盛利精选证券投资基金                                       36,308       ¥118,301,034.28 

       申银万国 1 号价值成长集合资产管理计划(网下配 

 110                                                                     1,134          ¥3,696,918.94 

      售资格截至 2010 年 4 月 7 日)  

      中国太平洋人寿保险股份有限公司—传统—普通保 

 111                                                                   36,308        ¥118,301,034.28 

      险产品  

      中国太平洋财产保险股份有限公司-传统-普通保险 

 112                                                                   36,308        ¥118,301,034.28 

      产品  

      中国太平洋人寿保险股份有限公司—万能—团体万 

 113                                                                   36,308        ¥118,301,034.28 

      能  

      中国太平洋人寿保险股份有限公司—万能—个人万 

 114                                                                   36,308        ¥118,301,034.28 

      能  

      中国太平洋人寿保险股份有限公司—分红—团体分 

 115                                                                   36,308        ¥118,301,034.28 

      红  

      中国太平洋人寿保险股份有限公司—分红—个人分 

 116                                                                   36,308        ¥118,301,034.28 

      红  

      受托管理中国太平洋保险(集团)股份有限公司—集 

 117                                                                   36,308        ¥118,301,034.28 

      团本级-自有资金  

      受托管理华安财产保险股份有限公司投资型保险产 

 118                                                                   36,308        ¥118,301,034.28 

      品  

119  受托管理华安财产保险股份有限公司传统保险产品                      36,308        ¥118,301,034.28 

      泰康资产管理有限责任公司—开泰—稳健增值投资 

 120                                                                   36,308        ¥118,301,034.28 

      产品  

121  受托管理泰康人寿保险股份有限公司—投连—个险                      36,308        ¥118,301,034.28 

                                                  - 5 - 

      投连  

      受托管理泰康人寿保险股份有限公司-投连-五年保 

122                                                                   36,308       ¥118,301,034.28 

      证收益  

      受托管理泰康人寿保险股份有限公司—万能—团体 

123                                                                   36,308       ¥118,301,034.28 

      万能  

      受托管理泰康人寿保险股份有限公司—万能—个险 

124                                                                   36,308       ¥118,301,034.28 

      万能  

      受托管理泰康人寿保险股份有限公司-分红-个人分 

125                                                                   36,308       ¥118,301,034.28 

      红  

      受托管理泰康人寿保险股份有限公司-分红-团体分 

126                                                                   36,308       ¥118,301,034.28 

      红  

      受托管理泰康人寿保险股份有限公司—传统—普通 

127                                                                   36,308       ¥118,301,034.28 

      保险产品  

128  天弘永利债券型证券投资基金                                       27,798         ¥90,574,235.18 

129  五矿集团财务有限责任公司自营账户                                 36,308       ¥118,301,034.28 

      天天盈证券投资集合资金信托计划(网下配售资格 

130                                                                   36,308       ¥118,301,034.28 

      截至 2009 年 4 月 25 日)  

131  厦门国际信托有限公司自营账户                                     36,308        ¥118,301,034.28 

132  新华人寿保险股份有限公司-万能-得意理财                           36,308       ¥118,301,034.28 

133  新华人寿保险股份有限公司-分红-团体分红                           36,308       ¥118,301,034.28 

134  新华人寿保险股份有限公司-分红-个人分红                           36,308       ¥118,301,034.28 

135  新华人寿保险股份有限公司-传统-普通保险产品                       36,308       ¥118,301,034.28 

136  兴业社会责任股票型证券投资基金                                   36,308        ¥118,301,034.28 

137  兴业全球视野股票型证券投资基金                                   36,308        ¥118,301,034.28 

138  兴业趋势投资混合型证券投资基金(LOF)                            36,308       ¥118,301,034.28 

139  兴业证券股份有限公司自营账户                                     36,308        ¥118,301,034.28 

140  易方达增强回报债券型证券投资基金                                 36,308       ¥118,301,034.28 

141  易方达稳健收益债券型证券投资基金                                 36,308       ¥118,301,034.28 

142  全国社保基金五零二组合                                           36,308        ¥118,301,034.28 

143  全国社保基金四零七组合                                           36,308        ¥118,301,034.28 

144  益民红利成长混合型证券投资基金                                   36,308        ¥118,301,034.28 

145  益民创新优势混合型证券投资基金                                   36,308        ¥118,301,034.28 

146  银河收益证券投资基金                                             36,308        ¥118,301,034.28 

147  银丰证券投资基金                                                 36,308        ¥118,301,034.28 

148  银河银信添利债券型证券投资基金                                   36,308        ¥118,301,034.28 

149  银河稳健证券投资基金                                             36,308        ¥118,301,034.28 

150  银河银泰理财分红证券投资基金                                     36,308        ¥118,301,034.28 

151  友邦华泰盛世中国股票型开放式证券投资基金                         36,308       ¥118,301,034.28 

152  友邦华泰金字塔稳本增利债券型证券投资基金                         36,308       ¥118,301,034.28 

153  友邦华泰积极成长混合型证券投资基金                               36,308        ¥118,301,034.28 

154  社保 110 组合                                                    36,308        ¥118,301,034.28 

155  全国社保基金六零四组合                                           36,308        ¥118,301,034.28 

156  全国社保基金四零八组合                                           36,308        ¥118,301,034.28 

                                                 - 6 - 

      中诚信托证券投资 110 号集合资金信托计划(网下 

157                                                                    36,308        ¥118,301,034.28 

      配售资格截至 2010 年 5 月 28 日)  

      中诚信托投资有限责任公司新股申购资金信托(第4 

158                                                                    36,308        ¥118,301,034.28 

      期))(网下配售资格截至 2010 年 1 月 8 日)  

      中诚信托投资有限责任公司新股申购资金信托(第3 

159                                                                    36,308        ¥118,301,034.28 

      期)(网下配售资格截至 2010 年 1 月 8 日)  

      中诚信托投资有限责任公司新股申购资金信托(第2 

160                                                                    36,308        ¥118,301,034.28 

      期)(网下配售资格截至 2010 年 1 月 8 日)  

      中诚信托投资有限责任公司新股申购资金信托(第1 

161                                                                    36,308        ¥118,301,034.28 

      期)(网下配售资格截至 2010 年 1 月 8 日)  

162  中船重工财务有限责任公司自营账户                                  36,308        ¥118,301,034.28 

163  中国电力财务有限公司自营账户                                       36,308       ¥118,301,034.28 

164  中国对外经济贸易信托有限公司自营账户                              36,308        ¥118,301,034.28 

      中国石油天然气集团公司企业年金计划(网下配售 

165                                                                    36,308        ¥118,301,034.28 

      资格截至 2008 年 12 月 29 日)  

166  徐州矿务集团有限公司企业年金计划                                   17,587        ¥57,302,057.67 

167  全国社保基金四一零组合                                             36,308       ¥118,301,034.28 

      中金策略二号集合资产管理计划(网下配售资格截 

168                                                                    34,039        ¥110,907,214.99 

      至 2011 年 5 月 5 日)  

169  中金短期债券集合资产管理计划                                       36,308       ¥118,301,034.28 

170  中国人寿保险(集团)公司传统普保产品                              36,308        ¥118,301,034.28 

171  中国人寿股份有限公司-传统-普通保险                                 36,308       ¥118,301,034.28 

172  中国人寿股份有限公司-分红-团体分红                                 36,308       ¥118,301,034.28 

173  中国人寿股份有限公司-分红-个人分红                                 36,308       ¥118,301,034.28 

      受托管理生命人寿保险股份有限公司个险投连产品 

174                                                                    36,308        ¥118,301,034.28 

       (网下配售资格截至 2008 年 12 月 31 日)  

175  中国银河证券股份有限公司自营账户                                  36,308        ¥118,301,034.28 

176  中海能源策略混合型证券投资基金                                     36,308       ¥118,301,034.28 

177  中海稳健收益债券型证券投资基金                                     27,798        ¥90,574,235.18 

178  中山证券有限责任公司自营账户                                       22,693        ¥73,938,137.13 

179  中天证券有限责任公司自营账户                                       36,308       ¥118,301,034.28 

180  中投信托有限责任公司自营账户                                       36,308       ¥118,301,034.28 

181  中信稳定双利债券型证券投资基金                                      5,673        ¥18,484,538.93 

182  中信万通证券有限责任公司自营账户                                  36,308        ¥118,301,034.28 

183  中信信托有限责任公司自营账户                                       36,308       ¥118,301,034.28 

      新股申购投资集合资金信托计划10 期(网下配售资 

184                                                                    36,308        ¥118,301,034.28 

      格截至 2012 年 5 月 30 日)  

☆      新股申购投资集合资金信托计划 9 期(网下配售资 

185                                                                    36,308        ¥118,301,034.28 

      格截至 2012 年 5 月 30 日)  

      新股申购投资集合资金信托计划2期(网下配售资格 

186                                                                     18,721        ¥60,998,976.61 

      截至 2012 年 4 月 18 日)  

187  中信证券股份有限公司自营账户                                       36,308       ¥118,301,034.28 

188  天津农村合作银行企业年金计划(网下配售资格截                         3,971        ¥12,939,179.11 

                                                  - 7 - 

        至 2009 年 1 月 16 日)  

  189  中国国际经济技术交流中心企业年金计划                             2,269         ¥7,393,819.29 

  190  马钢企业年金计划                                                 7,375        ¥24,029,898.75 

  191  江苏交通控股系统企业年金计划(中信证券 1)                        36,308       ¥118,301,034.28 

  192  天津国际投资有限公司企业年金计划                                 1,134         ¥3,696,918.94 

  193  中信理财 2 号集合资产管理计划                                   36,308       ¥118,301,034.28 

  194  中银收益混合型证券投资基金                                       1,134         ¥3,696,918.94 

        新股申购 1 期集合资金信托计划(网下配售资格截 

  195                                                                  36,308       ¥118,301,034.28 

        至 2009 年 11 月 1 日)  

        重庆国际信托有限公司—渝信贰号信托(网下配售 

  196                                                                  36,308       ¥118,301,034.28 

        资格截至 2009 年 4 月 19 日)  

        重庆国际信托有限公司—渝信壹号信托(网下配售 

  197                                                                  35,741       ¥116,452,574.81 

        资格截至 2009 年 4 月 19 日)  

合计                                                               6,400,000  ¥20,852,403,000.00 

   注:1、上表中的“获配股数”是以本次发行网下配售中的配售比例为基础,再根据《网下网上发行公告》 

   规定的零股处理原则进行处理后的最终配售数量。 

       2、配售对象可通过其网下发行电子平台查询应退申购余款金额。如有疑问请配售对象及时与保荐人(主 

   承销商)联系。 

        四、持股锁定期限 

        配售对象的获配股票自本次发行中网上发行的股票在深圳证券交易所上市 

   交易之日起锁定3个月,上市流通前由中国证券登记结算有限责任公司深圳分公 

   司冻结。 

        五、冻结资金利息的处理 

        配售对象申购款(含获得配售部分)冻结期间产生的利息由中国证券登记结 

   算有限责任公司深圳分公司按照《关于缴纳证券投资者保护基金有关问题的通 

   知》(证监发行字[2006]78号)的规定处理。 

        六、保荐人(主承销商)联系方式 

        上述配售对象对本公告所公布的网下配售结果如有疑问,请与本次发行的保 

   荐人(主承销商)联系。具体联系方式如下: 

        联系人:沙金、胡俊 

        联系电话:(021)50818887-278、295 

                                                   - 8 -地址:上海市浦东新区浦电路438号双鸽大厦17楼光大证券A-C座邮编:200122 

                                                 - 9 - 

  (此页无正文,为《烟台氨纶股份有限公司首次公开发行股票网下配售结果公告》之盖章页) 

                                                           发行人:烟台氨纶股份有限公司 

                                                                                2008年6月18日 

                                              - 10 - 

  (此页无正文,为《烟台氨纶股份有限公司首次公开发行股票网下配售结果公告》之盖章页) 

                                          保荐人(主承销商):光大证券股份有限公司 

                                                                                 2008年6月18日 

                                               - 11 -


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