首都在线

- 300846

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首都在线(300846)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(%)
0.2088
13925600
0.2088
13925600
0.0889
5933210
0.0889
5933210
0.0809
5398760
0.0741
4945770
0.0741
4945770
0.022
1466150
0.0199
1327540
0.0199
1327540
0.0169
1128910
0.0169
1128910
0.0095
631618
0.0095
631618
0.0051
340102
0.0051
340102
0.005
334386
0.0047
312951
0.0029
192915
0.0029
192915
0.0025
167193
0.0017
111462
0.0017
111462
0.001
68592
0.0008
52873
0.0008
52873
0.0008
51444
0.0008
51444
0.0007
47157
0.0006
42870
0.0006
42870
0.0006
41441
0.0006
41441
0.0004
28580
0.0002
11432
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(%)
0.7429
39437200
0.7429
39437200
0.694
36840000
0.4203
22311200
0.3912
20768600
0.2951
15663100
0.2951
15663100
0.2818
14958600
0.2818
14958600
0.1485
7883760
0.1485
7883760
0.0938
4981080
0.0681
3616460
0.055
2921100
0.055
2921100
0.0514
2727700
0.0514
2727700
0.0469
2489770
0.0469
2489770
0.0434
2302500
0.0285
1511980
0.0256
1356940
0.0256
1356940
0.0221
1172740
0.0221
1172740
0.0217
1149720
0.0217
1149720
0.0217
1149720
0.0217
1149720
0.0206
1094460
0.0193
1026920
0.0193
1026920
0.0159
845785
0.0159
845785
0.0129
683075
0.0129
683075
0.0106
563345
0.01
533244
0.01
533244
0.01
532645
0.01
532645
0.0074
394495
0.0065
343840
0.0029
156570
0.0029
156570
0.0025
130475
0.0023
122800
0.0023
122800
0.0005
24560
0.0005
24560
0
475.85
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(%)
0.1836
6177580
0.1836
6177580
0.1601
5387500
0.1001
3368530
0.0944
3175870
0.0941
3167120
0.0879
2956950
0.0784
2637800
0.0701
2359520
0.0357
1199710
0.0357
1199710
0.02
673316
0.0176
592557
0.008
267575
0.0079
266602
0.0067
224763
0.0067
224763
0.0064
216979
0.006
201411
0.006
201411
0.0059
199465
0.003
100219
0.0027
90489
0.0027
90489
0.0023
75894
0.002
66164
0.002
66164
0.0007
23352
0.0007
23352
0.0003
10703
0.0003
10703
0
301.63
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(%)
0.0731
2871650
0.0383
1504780
0.0327
1285750
0.0285
1118100
0.0253
995072
0.0253
995072
0.025
981552
0.011
432640
0.0103
402896
0.0082
321776
0.008
315016
0.008
313664
0.0074
292032
0.0062
244712
0.0054
212264
0.0037
146016
0.0035
136552
0.0023
91936
0.0023
91936
0.0021
82472
0.0021
82472
0.0015
60840
0.0015
60840
0.0012
47320
0.0007
28392
0.0006
21632
0.0002
6760
0
419.12
0
419.12
0
419.12
0
419.12
0
419.12
0
419.12
0
419.12
截止日期
2021-12-31
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(%)
0.1036
4548530
0.0846
3714980
0.0652
2863730
0.0652
2863730
0.0506
2222640
0.0258
1134000
0.024
1055380
0.0173
760536
0.0173
759024
0.0114
501984
0.0114
501984
0.0104
458136
0.0104
458136
0.0104
456624
0.0063
276696
0.0061
267624
0.0059
258552
0.003
133056
0.0029
128520
0.0022
96768
0.002
89208
0.002
89208
0.0019
83160
0.0019
83160
0.0009
40824
0.0009
39312
0.0006
27216
0.0005
22680
0.0001
6048
0
1512
0
1512
0
468.72
0
468.72
0
468.72
0
468.72
0
468.72
0
468.72
0
468.72
截止日期
2021-06-30
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(%)
0.2739
2489370
0.1128
1025350
0.0926
841734
0.058
527220
0.0368
334512
0.0272
247248
0.0172
156348
0.0158
143622
0.01
90900
0.0062
56358
0.0038
34542
0.0023
20561.6
0.0023
20561.6
0.0022
19998
0.0018
16362
0.0012
10908
0.0012
10908
0.0008
7272
0.0002
1818
0.0001
563.58
0.0001
563.58
0.0001
563.58
0.0001
563.58
0.0001
563.58
0.0001
563.58
0.0001
563.58
0.0001
563.58
截止日期
2020-12-31
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(%)
0.4199
4658320
0.1436
1593240
0.1436
1593240
0.1436
1593240
0.126
1397970
0.0892
989674
0.0314
348383
0.0266
295127
0.012
133140
0.0112
124264
0.0044
48818
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0023
25096.9
0.0016
17752
0.001
11095
0.001
11095
0.0008
8876
0.0004
4438
0.0004
4438
0.0004
4438
0.0001
687.89
0.0001
687.89
0.0001
687.89
0.0001
687.89
0.0001
687.89
0.0001
687.89
0.0001
687.89
截止日期
2020-07-23
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(%)
0.0023
25266.5
截止日期
2020-06-30
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
4310.23
0
4310.23
0
3811.47
0
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