宏英智能

- 001266

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-  -

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昨收盘:- 今开盘:- 最高价:- 最低价:-
市值:-亿元 流通:- 成交:-手 换手:-
截至日期:
宏英智能(001266)项目:基金持股
截止日期
2024-09-30
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0828
642984
0.0828
642984
截止日期
2024-06-30
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.2274
1741940
0.108
827532
0.0751
575580
0.0751
575580
0.0405
310596
0.0405
310596
0.0264
201996
0.0264
201996
0.0232
178104
0.021
160728
0.0145
110772
0.0122
93396
0.0122
93396
0.0122
93396
0.0122
93396
0.0074
56472
0.0071
54300
0.006
45612
0.006
45612
0.006
45612
0.0031
23892
0.0031
23892
0.0023
17376
0.0017
13032
0.0017
13032
0.0011
8688
0.0011
8688
0.0011
8688
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.001
7515.12
0.0007
5560.32
0.0006
4734.96
0.0006
4344
0.0006
4344
0.0006
4344
0.0002
1433.52
0.0002
1433.52
0.0002
1433.52
0.0002
1433.52
0.0002
1433.52
0.0002
1433.52
0.0002
1433.52
0.0002
1433.52
0.0001
999.12
0.0001
999.12
0.0001
999.12
0.0001
977.4
0.0001
977.4
0.0001
977.4
0.0001
977.4
0.0001
977.4
0.0001
629.88
截止日期
2023-12-31
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.1143
1180790
0.0712
735430
0.023
237330
0.023
237330
0.0096
99620
0.0096
99620
0.0096
99620
0.0096
99620
0.0088
90830
0.0037
38090
0.0026
26370
0.0011
11720
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10137.8
0.001
10108.5
0.001
10108.5
0.001
10108.5
0.0007
7500.8
0.0006
6709.7
0.0006
6387.4
0.0006
5860
0.0005
4717.3
0.0003
2930
0.0003
2930
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1933.8
0.0002
1904.5
0.0002
1904.5
0.0002
1904.5
0.0002
1904.5
0.0001
1347.8
0.0001
1347.8
0.0001
1318.5
0.0001
1318.5
0
205.1
0
205.1
0
175.8
0
175.8
截止日期
2023-06-30
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0817
701325
0.0751
644910
0.0751
644910
0.043
368935
0.043
368935
0.0281
241115
0.0281
241115
0.0189
162680
0.0189
162680
0.0149
127820
0.0149
127820
0.0091
78435
0.0091
78435
0.0088
75530
0.0088
75530
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10051.3
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0012
10022.2
0.0009
7436.8
0.0008
6652.45
0.0007
6332.9
0.0007
6332.9
0.0005
4677.05
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1917.3
0.0002
1888.25
0.0002
1888.25
0.0002
1888.25
0.0002
1888.25
0.0002
1336.3
0.0002
1336.3
0.0002
1336.3
0.0002
1336.3
0.0002
1336.3
0.0002
1307.25
0.0002
1307.25
0
203.35
0
203.35
0
174.3
0
174.3
截止日期
2022-12-31
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
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0.0013
9155.16
0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
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0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9155.16
0.0013
9128.7
0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
9128.7
0.0013
9128.7
0.0011
7594.02
0.0009
6059.34
0.0008
5768.28
0.0008
5768.28
0.0008
5106.78
0.0008
5106.78
0.0006
4260.06
0.0004
3042.9
0.0004
3042.9
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1746.36
0.0003
1719.9
0.0003
1719.9
0.0003
1719.9
0.0003
1719.9
0.0003
1719.9
0.0003
1719.9
0.0003
1719.9
0.0002
1217.16
0.0002
1217.16
0.0002
1217.16
0.0002
1217.16
0
185.22
0
185.22
0
158.76
0
158.76
截止日期
2022-07-12
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0013
10994
0.0013
10994
0.0013
10994
截止日期
2022-06-30
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
1.4406
13169500
1.4406
13169500
1.1212
10249200
1.0546
9640290
1.0546
9640290
0.7242
6620680
0.7242
6620680
0.3977
3635470
0.3649
3335930
0.2761
2524350
0.2064
1887040
0.2064
1887040
0.1634
1493700
0.1634
1493700
0.1465
1339350
0.098
896220
0.0398
363467
0.0381
348530
0.0381
348530
0.0223
204139
0.0223
204139
0.0114
104559
0.0114
104559
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4879.42
0.0005
4481.1
0.0004
4082.78
0.0004
4082.78
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0003
2340.13
0.0001
697.06
0.0001
697.06
0
248.95
0
248.95
截止日期
2022-05-05
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0003
1590.95
截止日期
2022-03-31
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0002
1315.64
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