药易购

- 300937

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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:
药易购(300937)项目:基金持股
截止日期
2024-03-31
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(%)
0.1451
3433910
0.1451
3433910
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(%)
1.5637
22802400
1.5637
22802400
0.463
6752320
0.463
6752320
0.3602
5252150
0.2579
3761420
0.2579
3761420
0.2577
3758280
0.2577
3758280
0.1281
1868130
0.1193
1739180
0.0518
754800
0.0129
188700
0.0129
188700
0.0043
62900
0.0032
47175
0.0015
22015
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0005
7673.8
0.0004
6290
0.0004
5503.75
0.0004
5503.75
0.0001
1383.8
0.0001
1383.8
0.0001
1383.8
0.0001
1383.8
0.0001
1383.8
0.0001
1383.8
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(%)
0.9259
13647400
0.9259
13647400
0.8282
12207400
0.8282
12207400
0.6423
9467060
0.6423
9467060
0.3198
4714460
0.3198
4714460
0.0817
1204840
0.0628
925089
0.0418
616726
0.0418
616726
0.039
575399
0.039
575399
0.0384
565862
0.0384
565862
0.0304
448239
0.0304
448239
0.0104
152592
0.0104
152592
0.0028
41327
0.0028
41327
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0005
7756.76
0.0004
6358
0.0004
6358
0.0001
1398.76
0.0001
1398.76
0.0001
1398.76
0.0001
1398.76
0.0001
1398.76
0.0001
1398.76
0.0001
1398.76
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(%)
0.3518
4707070
0.3518
4707070
0.1036
1386550
0.1031
1379510
0.0334
447330
0.019
253968
0.019
253968
0.0183
245310
0.0091
121212
0.0091
121212
0.0052
70245.2
0.0052
70245.2
0.0052
70245.2
0.0052
70245.2
0.0052
70245.2
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0005
7041.84
0.0004
5772
0.0004
5772
0.0001
1269.84
0.0001
1269.84
0.0001
1269.84
0.0001
1269.84
0.0001
1269.84
0.0001
1269.84
0.0001
1269.84
0.0001
1269.84
0.0001
1269.84
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(%)
0.2021
3000270
0.2021
3000270
0.073
1083680
0.0628
931782
0.0511
758874
0.0511
758874
0.0075
112070
0.0075
112070
0.0052
77936.7
0.0052
77936.7
0.0052
77936.7
0.0052
77936.7
0.0052
77936.7
0.0052
77936.7
0.0052
77936.7
0.0052
77936.7
0.0052
77936.7
0.0009
13896.7
0.0009
13896.7
0.0009
13896.7
0.0009
13896.7
0.0009
13896.7
0.0009
12808
0.0009
12808
0.0007
10694.7
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0005
7812.88
0.0002
2945.84
0.0002
2945.84
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
0.0001
1408.88
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(%)
0.276
3006300
0.276
3006300
0.1204
1311840
0.0533
580489
0.0422
460055
0.0422
460055
0.0102
110869
0.0102
110869
0.0102
110869
0.0102
110869
0.0102
110869
0.0102
110869
0.0102
110869
0.0102
110869
0.0102
110869
0.0102
110869
0.0102
110869
0.0018
19768.7
0.0018
19768.7
0.0018
19768.7
0.0018
19768.7
0.0018
19768.7
0.0014
15213.7
0.001
11114.2
0.001
11114.2
0.001
11114.2
0.001
11114.2
0.001
11114.2
0.001
11114.2
0.001
11114.2
0.001
11114.2
0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
11114.2
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
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0.001
11114.2
0.001
11114.2
0.001
11114.2
0.0008
8472.3
0.0006
6559.2
0.0005
4964.95
0.0005
4964.95
0.0002
2004.2
0.0002
2004.2
0.0002
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0.0002
2004.2
0.0002
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0.0002
2004.2
0.0002
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0.0002
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0.0002
2004.2
0.0002
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0.0002
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0.0002
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0.0002
2004.2
0.0002
2004.2
0.0002
2004.2
0.0002
2004.2
0.0002
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0.0002
2004.2
0.0002
2004.2
0.0002
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0.0002
2004.2
0.0002
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0.0002
2004.2
0.0002
2004.2
0.0002
2004.2
0.0002
2004.2
0.0001
1548.7
0.0001
1548.7
0.0001
1548.7
0.0001
1548.7
0.0001
1548.7
0.0001
1548.7
0.0001
1548.7
0.0001
1548.7
截止日期
2021-09-30
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(%)
0.273
2724320
0.273
2724320
截止日期
2021-09-26
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(%)
0.001
11145.9
截止日期
2021-08-02
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(%)
0.001
11914.5
0.001
11914.5
0.001
11914.5
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(%)
0.0491
612823
0.0107
133587
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
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0.0107
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0.0107
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0.0107
133599
0.0107
133599
0.0107
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0.0107
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0.0107
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0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0107
133599
0.0098
122595
0.0098
122595
0.0085
106089
0.0081
100587
0.0032
39638
0.0032
39638
0.0028
34563
0.0021
26530.1
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26530.1
0.0021
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0.002
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0.0015
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0.0015
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