税友股份

- 603171

-

-  -

-
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:
税友股份(603171)项目:基金持股
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(%)
6.0156
184272000
6.0156
184272000
0.6611
20252500
0.6611
20252500
0.6611
20252500
0.3858
11817000
0.3858
11817000
0.0277
849635
0.0277
849635
截止日期
2023-09-13
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(%)
0.005
158130
0.005
158130
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(%)
4.601
166464000
4.601
166464000
2.3986
86781500
2.3986
86781500
1.8154
65678700
1.8154
65678700
1.515
54810500
1.4428
52201100
1.2809
46340800
0.6775
24511700
0.6775
24511700
0.6488
23472300
0.6488
23472300
0.5564
20129900
0.3906
14132900
0.3906
14132900
0.3635
13150900
0.3261
11798100
0.3261
11798100
0.2622
9487250
0.2622
9487250
0.2213
8007990
0.2114
7648170
0.1943
7028480
0.1813
6560720
0.1813
6560720
0.1788
6468760
0.1788
6468760
0.1677
6068960
0.1647
5957020
0.1647
5957020
0.1644
5949020
0.1644
5949020
0.1596
5773110
0.1536
5557220
0.1536
5557220
0.1534
5551500
0.1534
5551500
0.1503
5437280
0.1503
5437280
0.1382
5001500
0.1309
4737630
0.1309
4737630
0.1298
4697650
0.1298
4697650
0.1254
4537730
0.1254
4537730
0.1249
4517740
0.1191
4309840
0.1191
4309840
0.1135
4105950
0.1115
4033980
0.1102
3986010
0.1102
3986010
0.1086
3930030
0.1025
3710140
0.1
3618190
0.1
3618190
0.0922
3334330
0.0871
3150420
0.0851
3078460
0.0755
2730630
0.0736
2662670
0.0736
2662670
0.0726
2626690
0.0726
2626690
0.0704
2546730
0.0704
2546730
0.0691
2498750
0.068
2458770
0.068
2458770
0.0556
2010990
0.0556
2010990
0.0545
1971010
0.0545
1971010
0.0511
1847080
0.0511
1847080
0.0491
1775110
0.0491
1775110
0.0488
1767120
0.0444
1607200
0.0444
1607200
0.043
1555220
0.043
1555220
0.0378
1367320
0.0378
1367320
0.0355
1283360
0.0355
1283360
0.0355
1283360
0.0329
1191400
0.0329
1191400
0.032
1159420
0.032
1159420
0.0305
1103450
0.0305
1103450
0.0297
1075460
0.0276
999500
0.0276
999500
0.0276
999500
0.0269
971514
0.0269
971514
0.025
903548
0.0245
887556
0.0245
887556
0.0221
799600
0.0221
799600
0.0221
799600
0.0221
799600
0.0221
799600
0.0221
799600
0.0198
715642
0.0198
715642
0.0193
699650
0.0193
699650
0.0193
699650
0.0189
683658
0.0186
671664
0.0182
659670
0.0182
659670
0.0182
659670
0.018
651674
0.018
651674
0.0177
639680
0.0177
639680
0.0173
627686
0.0169
611694
0.0169
611694
0.0166
599700
0.0166
599700
0.0135
487756
0.0135
487756
0.0133
479760
0.0133
479760
0.0128
463768
0.0128
463768
0.0124
447776
0.0124
447776
0.0108
391804
0.0105
379810
0.0105
379810
0.0105
379810
0.0105
379810
0.0097
351824
0.0093
335832
0.0093
335832
0.0092
331834
0.0092
331834
0.0086
311844
0.0084
303848
0.0078
283858
0.0065
235882
0.0065
235882
0.006
215892
0.006
215892
0.0059
211894
0.0059
211894
0.0057
207896
0.0057
207896
0.0046
167916
0.0045
163918
0.0045
163918
0.0042
151924
0.0042
151924
0.0042
151924
0.0042
151924
0.0041
147926
0.0041
147926
0.0039
139930
0.0039
139930
0.0036
131934
0.0036
131934
0.0036
131934
0.0036
131934
0.0036
131934
0.0036
131934
0.0034
123938
0.0034
123938
0.003
107946
0.003
107946
0.0029
103948
0.0028
99950
0.0028
99950
0.0022
79960
0.0022
79960
0.0022
79960
0.002
71964
0.002
71964
0.002
71964
0.0019
67966
0.0019
67966
0.0018
63968
0.0018
63968
0.0018
63968
0.0018
63968
0.0017
59970
0.0017
59970
0.0015
55972
0.0014
51974
0.0013
47976
0.0013
47976
0.0011
39980
0.0011
39980
0.0011
39980
0.0011
39980
0.001
35982
0.001
35982
0.0008
27986
0.0008
27986
0.0008
27986
0.0008
27986
0.0008
27986
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
25467.3
0.0007
23988
0.0007
23988
0.0006
19990
0.0004
15992
0.0004
15992
0.0004
15992
0.0004
15992
0.0003
11994
0.0003
11994
0.0002
7996
0.0002
7996
0.0002
7996
0.0002
7996
0.0002
7996
0.0001
3998
0.0001
3998
0.0001
2598.7
0.0001
2598.7
0
1479.26
0
1479.26
0
1479.26
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(%)
2.2774
90640400
2.2774
90640400
0.308
12257200
0.1187
4723450
0.1187
4723450
0.0221
879600
0.0221
879600
0.0166
659700
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(%)
2.7502
90590400
2.7502
90590400
1.9956
65734600
1.9956
65734600
1.6428
54113900
1.5321
50467900
1.3194
43461600
0.5334
17570300
0.5298
17450400
0.4927
16230800
0.388
12780000
0.388
12780000
0.3752
12358800
0.3752
12358800
0.3002
9889880
0.3002
9889880
0.2822
9296560
0.2822
9296560
0.2553
8409750
0.2553
8409750
0.2254
7425600
0.188
6191090
0.1827
6016920
0.1827
6016920
0.1568
5165160
0.1507
4964960
0.1507
4964960
0.1487
4899440
0.1363
4488120
0.1357
4469920
0.1311
4317040
0.1228
4044040
0.1228
4044040
0.1211
3989440
0.1211
3989440
0.1197
3942120
0.1197
3942120
0.1191
3923920
0.1037
3414320
0.1037
3414320
0.1035
3410680
0.1035
3410680
0.0953
3137680
0.0953
3137680
0.0883
2908360
0.0858
2824640
0.0858
2824640
0.0858
2824640
0.0812
2673110
0.0812
2673110
0.0809
2664480
0.0804
2649920
0.0804
2649920
0.0766
2522520
0.0766
2522520
0.0751
2475200
0.0751
2475200
0.0717
2362360
0.0692
2278640
0.0661
2176720
0.0658
2165800
0.0658
2165800
0.0656
2162160
0.0571
1881880
0.056
1845480
0.056
1845480
0.0509
1678040
0.0509
1678040
0.0509
1678040
0.0482
1587040
0.0445
1466920
0.0445
1466920
0.0387
1274000
0.0387
1274000
0.0358
1179360
0.029
953680
0.0284
935480
0.0284
935480
0.0242
797160
0.0227
746200
0.0222
731640
0.0222
731640
0.0172
567840
0.0169
556920
0.0169
556920
0.0167
549640
0.0167
549640
0.0161
531440
0.0161
531440
0.0158
520520
0.0158
520520
0.0157
516880
0.0157
516880
0.0153
503667
0.0153
503667
0.0137
451360
0.013
429520
0.0116
382200
0.0116
382200
0.0109
360360
0.0106
349440
0.0092
302120
0.0092
302120
0.0087
287560
0.0083
273000
0.0083
273000
0.0073
240240
0.0073
240240
0.0067
219747
0.0067
219747
0.0063
207480
0.0063
207480
0.0055
182000
0.0055
182000
0.0043
141960
0.0043
141960
0.0033
109200
0.0033
109200
0.0032
105560
0.0032
105560
0.0031
101920
0.0029
94640
0.0029
94640
0.0027
87360
0.0027
87360
0.0021
69160
0.0021
69160
0.0018
58240
0.0018
58240
0.0017
54600
0.0017
54600
0.001
32760
0.001
32760
0.0009
29120
0.0009
29120
0.0008
25480
0.0008
25480
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0007
23186.8
0.0004
14560
0.0004
14560
0.0004
14560
0.0004
12048.4
0.0004
12048.4
0.0002
7280
0.0002
7280
0.0002
4986.8
0.0001
3640
0.0001
3640
0.0001
3640
0
1346.8
0
1346.8
0
1346.8
0
1346.8
0
1346.8
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(%)
3.0164
65757200
3.0164
65757200
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(%)
4.024
45701000
4.024
45701000
0.0798
906552
0.0798
906552
0.0739
839400
0.0739
839400
0.0508
576388
0.0436
495246
0.037
419700
0.037
419700
0.0261
296588
0.0261
296588
0.018
204254
0.0096
109122
0.0027
30778
0.0027
30778
0.002
22384
0.002
22384
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.0016
17823.3
0.001
11192
0.001
11192
0.0008
9261.38
0.0008
9261.38
0.0005
5596
0.0003
3833.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
0.0001
1035.26
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(%)
0.1205
1721280
0.0675
964480
0.0617
881478
0.031
443520
0.0251
359040
0.0222
316800
0.0106
151360
0.0079
112640
0.0025
35200
0.0025
35200
0.0025
35200
0.0025
35200
0.002
28160
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.0016
22422.4
0.001
14080
0.0008
11651.2
0.0008
11651.2
0.0007
10560
0.0004
6336
0.0004
6336
0.0003
4822.4
0.0002
3520
0.0002
3520
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
0.0001
1302.4
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(%)
0.0016
20893.6
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(%)
0.0016
23862
0.0016
23862
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
34694.4
0
34694.4
0
24460.8
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
0
12230.4
点击近期部分数据内容 返回页顶