星辉环材

- 300834

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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:
星辉环材(300834)项目:基金持股
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(%)
0.4876
6401170
0.4876
6401170
0.448
5881640
0.448
5881640
0.0511
671332
0.0326
427600
0.0326
427600
0.0213
280078
0.0213
280078
0.0148
194558
0.0148
194558
0.0137
179592
0.0137
179592
0.0107
141108
0.0103
135742
0.0103
135742
0.0103
135742
0.0088
115452
0.0088
115452
0.0085
111176
0.0085
111176
0.0062
81244
0.0062
81244
0.0054
70575.4
0.0052
67860.1
0.0052
67860.1
0.0052
67860.1
0.0037
49174
0.0037
49174
0.0036
47057.4
0.0036
47057.4
0.0029
37992.3
0.0029
37992.3
0.0028
36196.3
0.0024
32070
0.0024
32070
0.002
25656
0.002
25656
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.001
13576.3
0.0007
9578.24
0.0007
9578.24
0.0007
9150.64
0.0005
6349.86
0.0005
6349.86
0.0003
4276
0.0003
4276
0.0002
2907.68
0.0002
2351.8
0.0002
2351.8
0.0002
2180.76
0.0001
1817.3
0.0001
1817.3
0.0001
1475.22
0.0001
1475.22
0.0001
1453.84
0.0001
1453.84
0.0001
1282.8
0.0001
1282.8
0.0001
1069
0.0001
1069
0.0001
1047.62
0.0001
748.3
0.0001
748.3
0
534.5
0
448.98
0
448.98
截止日期
2023-09-30
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(%)
0.6709
9446840
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(%)
0.0103
154916
0.0103
154916
0.0103
154916
0.0103
154916
0.0103
154916
0.0103
154916
0.0103
154916
0.0054
80544.4
0.0052
77445.6
0.0052
77445.6
0.0052
77445.6
0.0043
65050.4
0.0038
56778.8
0.0038
56778.8
0.0038
56778.8
0.0036
53704.4
0.0036
53704.4
0.0029
43358.8
0.0029
43358.8
0.0028
41309.2
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.001
15494
0.0009
14030
0.0009
14030
0.0009
13029.6
0.0009
13029.6
0.0008
12712.4
0.0008
12712.4
0.0007
10443.2
0.0007
9930.8
0.0007
9930.8
0.0006
8881.6
0.0005
7954.4
0.0005
7954.4
0.0005
7246.8
0.0005
7246.8
0.0005
6929.6
0.0004
6612.4
0.0002
3318.4
0.0002
3220.8
0.0002
2684
0.0002
2684
0.0002
2488.8
0.0002
2293.6
0.0002
2293.6
0.0001
2074
0.0001
2074
0.0001
1976.4
0.0001
1683.6
0.0001
1683.6
0.0001
1659.2
0.0001
1464
0.0001
1464
0.0001
1415.2
0.0001
1415.2
0.0001
1293.2
0.0001
1220
0.0001
1220
0.0001
1195.6
0.0001
1195.6
0.0001
854
0.0001
854
0.0001
854
0
610
0
610
0
610
0
610
0
512.4
0
512.4
0
219.6
0
146.4
截止日期
2023-03-31
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
157.5
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(%)
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0131
157709
0.0091
109346
0.0091
109346
0.0079
94615.6
0.007
84778.9
0.007
84778.9
0.0068
81996.8
0.0066
78842.2
0.0066
78842.2
0.0066
78842.2
0.0055
66223.4
0.0049
59144
0.0049
59144
0.0048
57802.7
0.0048
57802.7
0.0048
57802.7
0.0047
56759.4
0.0047
56759.4
0.0045
54672.8
0.0045
54672.8
0.0037
44140.7
0.0037
44140.7
0.0035
42054.1
0.0035
42054.1
0.0015
17860
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0013
15773.4
0.0012
14705.3
0.0012
14705.3
0.0012
14630.8
0.0012
14283
0.0012
14283
0.0011
13786.2
0.0011
13786.2
0.0011
13562.6
0.0011
13562.6
0.0011
13264.6
0.0011
13264.6
0.0011
12941.6
0.0011
12941.6
0.0011
12941.6
0.0011
12941.6
0.0011
12941.6
0.0011
12941.6
0.0009
11153.2
0.0009
10730.9
0.0009
10631.5
0.0008
10109.9
0.0008
10109.9
0.0008
9786.96
0.0008
9786.96
0.0008
9041.76
0.0008
9041.76
0.0008
9041.76
0.0007
8420.76
0.0007
8420.76
0.0007
8321.4
0.0007
8321.4
0.0007
8097.84
0.0007
8097.84
0.0006
7452
0.0006
7377.48
0.0006
7377.48
0.0006
7054.56
0.0006
6731.64
0.0005
6433.56
0.0005
6433.56
0.0005
5837.4
0.0005
5837.4
0.0005
5787.72
0.0005
5589
0.0005
5589
0.0004
4943.16
0.0004
4943.16
0.0004
4843.8
0.0004
4421.52
0.0003
3800.52
0.0003
3378.24
0.0003
3378.24
0.0003
3378.24
0.0003
3278.88
0.0003
3278.88
0.0003
3154.68
0.0003
3154.68
0.0003
3154.68
0.0003
3154.68
0.0002
2856.6
0.0002
2856.6
0.0002
2732.4
0.0002
2732.4
0.0002
2732.4
0.0002
2732.4
0.0002
2533.68
0.0002
2210.76
0.0002
2210.76
0.0002
2111.4
0.0002
2111.4
0.0002
2012.04
0.0001
1713.96
0.0001
1713.96
0.0001
1689.12
0.0001
1490.4
0.0001
1440.72
0.0001
1440.72
0.0001
1391.04
0.0001
1391.04
0.0001
1316.52
0.0001
1242
0.0001
1242
0.0001
1217.16
0.0001
1217.16
0.0001
869.4
0.0001
869.4
0.0001
869.4
0.0001
869.4
0.0001
621
0.0001
621
0.0001
621
0.0001
621
0
149.04
截止日期
2022-09-30
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
152.34
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(%)
0.0069
89697.2
0.0069
89697.2
0.0069
89697.2
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(%)
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191962
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
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0.0138
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0.0138
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0.0138
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0.0138
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0.0138
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0.0138
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0.0138
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0.0138
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0.0138
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0.0138
191975
0.0138
191975
0.0138
191975
0.0138
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0.0138
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0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0138
191975
0.0136
189404
0.0136
189404
0.0136
188949
0.0136
188949
0.0129
179154
0.0113
157414
0.0113
157414
0.0107
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0.0107
148433
0.0103
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0.0097
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0.0096
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0.0092
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0.0092
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0.0092
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0.0091
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0.0091
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0.009
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0.009
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0.0088
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0.0087
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0.0087
120283
0.0085
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0.0085
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0.0085
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0.0084
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0.0071
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0.006
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0.006
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0.0014
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0.0014
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0.0014
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0.0014
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0.0014
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0.0014
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0.0014
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