三孚股份

- 603938

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昨收盘:- 今开盘:- 最高价:- 最低价:-
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截至日期:
三孚股份(603938)项目:基金持股
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(%)
0.1854
8334740
0.1032
4640290
0.0857
3854940
0.072
3237120
0.072
3237120
0.0473
2127920
0.0473
2127920
0.0448
2014660
0.0405
1819370
0.0405
1819370
0.0252
1132700
0.0252
1132700
0.0252
1132700
0.0172
774795
0.0172
774795
0.0165
740250
0.0165
740250
0.016
721215
0.01
451106
0.01
451106
0.0072
323125
0.0072
323125
0.0032
145700
0.0032
145700
0.0026
116325
0.0026
116325
0.0023
101520
0.0023
101520
0.0022
97760
0.0021
95175
0.0021
95175
0.0019
85775
0.0019
85775
0.0019
84600
0.0019
84600
0.0018
82485
0.0018
82250
0.0015
65800
0.0015
65800
0.0013
58750
0.0013
58750
0.0013
56400
0.0013
56400
0.0013
56400
0.0013
56400
0.0009
41360
0.0005
21103
0.0005
21103
0.0003
11985
0.0003
11985
0.0003
11750
0.0003
11750
0
940
0
940
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(%)
0.0678
4663650
0.0613
4217030
0.0555
3820390
0.0518
3562520
0.0359
2468650
0.0359
2468650
0.0351
2413200
0.0351
2413200
0.0344
2365450
0.0187
1283410
0.016
1101100
0.016
1101100
0.0139
956536
0.01
690288
0.01
690288
0.0076
525016
0.0076
525016
0.0043
294872
0.0043
294872
0.0032
220075
0.0031
215760
0.0031
210726
0.0026
179800
0.0026
179800
0.0025
172608
0.0025
172608
0.002
134850
0.002
134850
0.0018
126220
0.0014
93496
0.0014
93496
0.0013
91698
0.0013
91698
0.0011
75516
0.0011
75516
0.001
70481.6
0.0007
46748
0.0005
35960
0.0005
35960
0.0004
26970
0.0004
26970
0.0003
23374
0.0003
23374
0.0003
20137.6
0.0003
20137.6
0.0003
17620.4
0.0003
17620.4
0
359.6
0
359.6
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(%)
0.0656
4970020
0.0578
4377550
0.0337
2550140
0.0328
2480080
0.0295
2237460
0.0213
1612880
0.0213
1612880
0.0213
1612880
0.0149
1130330
0.0149
1130330
0.01
759778
0.01
759778
0.0055
413611
0.0055
413611
0.005
378781
0.0048
362157
0.0048
362157
0.004
300808
0.004
300808
0.0032
239855
0.002
152383
0.002
152383
0.002
148425
0.002
148425
0.0017
131406
0.0017
127448
0.0017
127448
0.0013
96971
0.0013
96971
0.0011
87076
0.0011
87076
0.0006
41954.8
0.0004
27706
0.0004
27706
0.0003
22164.8
0.0003
22164.8
0.0003
20185.8
0.0003
20185.8
0.0003
19394.2
0.0003
19394.2
0.0002
15832
0.0002
15832
0
3562.2
0
3562.2
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(%)
0.2195
20695900
0.1043
9829740
0.1043
9829740
0.0673
6344550
0.0673
6344550
0.0673
6344550
0.0669
6306600
0.0607
5727000
0.0607
5727000
0.0451
4253850
0.045
4246950
0.0409
3860550
0.0406
3826050
0.0392
3698400
0.0392
3698400
0.0366
3450000
0.0366
3450000
0.0363
3422400
0.0352
3322350
0.0352
3322350
0.0321
3024960
0.0321
3024960
0.0269
2532300
0.0269
2532300
0.0135
1273050
0.0135
1273050
0.01
946094
0.01
946094
0.0089
834900
0.0089
834900
0.0083
786600
0.0083
786600
0.0074
700350
0.0074
700350
0.0049
465750
0.0049
465750
0.0038
358800
0.0038
358800
0.0031
293250
0.003
279450
0.0029
272550
0.0028
265650
0.0028
265650
0.0024
227700
0.0024
227700
0.0019
175950
0.0018
165600
0.0017
162150
0.0014
134550
0.0014
134550
0.0012
110400
0.0008
79350
0.0008
79350
0.0008
79350
0.0006
58650
0.0006
58650
0.0005
44505
0.0004
41400
0.0004
41400
0.0003
27600
0.0003
27600
0.0003
27600
0.0003
27600
0.0003
24150
0.0003
24150
0.0001
10350
0.0001
6900
0
3450
0
3450
0
3450
0
3450
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(%)
0.004
395280
0.004
395280
0.0014
139080
0.0014
139080
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(%)
0.2586
34937100
0.1768
23884600
0.1768
23884600
0.1683
22732900
0.1683
22732900
0.1517
20488700
0.1517
20488700
0.1371
18525400
0.1371
18525400
0.1326
17908500
0.1249
16878400
0.1249
16878400
0.1199
16195100
0.1199
16195100
0.1021
13794900
0.0939
12691600
0.0939
12691600
0.0888
11995700
0.0888
11995700
0.0705
9523180
0.0705
9523180
0.0613
8279520
0.0613
8279520
0.0604
8158920
0.0486
6568260
0.0486
6568260
0.0455
6151170
0.0445
6013650
0.0434
5867340
0.0434
5867340
0.0395
5336460
0.0389
5257820
0.0389
5257820
0.0385
5204980
0.0385
5204980
0.0351
4739350
0.0351
4739350
0.0333
4505050
0.0323
4359730
0.0323
4359730
0.0313
4232490
0.0313
4232490
0.0305
4117520
0.0305
4117520
0.0289
3906950
0.0289
3906950
0.0285
3847630
0.0285
3847630
0.0271
3661970
0.0271
3661970
0.0243
3284130
0.0243
3284130
0.024
3238650
0.0237
3201090
0.0237
3201090
0.0225
3041920
0.0225
3041920
0.0222
3003470
0.0222
3003470
0.0213
2881770
0.0195
2627900
0.018
2432700
0.0179
2422660
0.0166
2239180
0.0165
2232260
0.0165
2232260
0.0164
2221380
0.0164
2221380
0.0161
2173240
0.0154
2076550
0.0154
2076550
0.0146
1977200
0.0141
1898110
0.0141
1898110
0.014
1893170
0.014
1893170
0.0139
1883280
0.0128
1730050
0.0128
1730050
0.0127
1722140
0.0127
1722140
0.0116
1565940
0.0116
1565940
0.0114
1539250
0.0114
1539250
0.011
1482900
0.011
1482900
0.0101
1371190
0.0101
1371190
0.01
1355520
0.01
1355520
0.0098
1324430
0.0098
1324430
0.0097
1309900
0.0097
1309900
0.0091
1235750
0.0091
1235750
0.0088
1190270
0.0088
1190270
0.008
1082520
0.008
1082520
0.007
952022
0.0056
751336
0.0056
751336
0.0055
741450
0.0055
741450
0.0053
716735
0.0053
713769
0.0052
706849
0.0052
706849
0.0052
699929
0.0052
699929
0.005
673237
0.005
673237
0.004
543730
0.004
543730
0.004
539776
0.004
539776
0.0039
532855
0.0034
464642
0.0034
464642
0.0033
444870
0.0033
444870
0.0032
434984
0.0032
434984
0.003
405326
0.003
405326
0.0027
369588
0.0027
369588
0.0025
340078
0.0025
340078
0.0022
302512
0.0022
302512
0.0022
296580
0.0022
296580
0.0019
252093
0.0019
252093
0.0018
247150
0.0016
217492
0.0016
217492
0.0015
207606
0.0015
207606
0.0015
202663
0.0015
202663
0.0012
163119
0.0012
163119
0.0011
143347
0.0011
143347
0.0011
143347
0.0011
143347
0.0009
123575
0.0009
123575
0.0009
123575
0.0009
123575
0.0009
123575
0.0008
103803
0.0008
103803
0.0005
74145
0.0005
74145
0.0005
64259
0.0005
64259
0.0004
49430
0.0002
29658
0.0002
29658
0.0002
29658
0.0002
29658
0.0002
24715
0.0002
24715
0.0001
19277.7
0.0001
14829
0.0001
14829
0.0001
12851.8
0.0001
9886
0.0001
9886
0.0001
9886
0
988.6
0
988.6
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(%)
1.1737
117630000
1.1737
117630000
0.7042
70582200
0.7042
70582200
0.2998
30044200
0.2998
30044200
0.2238
22430400
0.2238
22430400
0.2096
21003200
0.2096
21003200
0.0448
4487120
0.0448
4487120
0.0342
3424380
0.0342
3424380
0.0342
3424380
0.0108
1078140
0.0041
410720
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(%)
0.0815
5854650
0.0697
5007120
0.0697
5007120
0.0604
4337540
0.0553
3973320
0.0426
3060930
0.0381
2737180
0.0365
2619450
0.0342
2453890
0.0333
2395030
0.0271
1949870
0.0264
1894680
0.024
1721770
0.0215
1541500
0.0215
1541500
0.0202
1453200
0.018
1291330
0.018
1291330
0.018
1291330
0.0172
1236140
0.0172
1236140
0.0128
919750
0.0128
919750
0.0102
735800
0.0102
735800
0.01
720642
0.01
717405
0.01
717405
0.0096
687973
0.0096
687973
0.0092
658541
0.0092
658541
0.0088
632788
0.0088
632788
0.0076
548171
0.0076
548171
0.0076
548171
0.0067
478270
0.0055
397332
0.0055
397332
0.004
286962
0.0038
275925
0.0038
275925
0.0037
268567
0.0037
264888
0.0037
264888
0.0036
257530
0.0036
257530
0.0029
206024
0.0029
206024
0.0027
191308
0.0027
191308
0.0023
161876
0.0023
161876
0.0021
150839
0.0021
150839
0.0012
84617
0.0012
84617
0.0011
77516.5
0.0011
77516.5
0.0009
66222
0.0009
66222
0.0008
58864
0.0008
58864
0.0008
55185
0.0008
55185
0.0007
47827
0.0006
44148
0.0003
22074
0.0003
22074
0.0002
14716
0.0002
14716
0.0002
12876.5
0.0001
7358
0.0001
7358
0.0001
3679
0
2207.4
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(%)
1.5014
138807000
0.8163
75471400
0.7747
71629200
0.311
28753200
0.311
28753200
0.2593
23973600
0.2593
23973600
0.1728
15979300
0.0431
3987710
0.0342
3158910
0.0322
2978940
0.0213
1965440
0.0159
1472900
0.0159
1472900
0.009
833536
0.009
833536
0.0057
525696
0.0057
525696
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(%)
1.5871
104630000
1.4205
93647900
1.4205
93647900
0.436
28744000
0.1858
12252100
0.1749
11532500
0.1749
11532500
0.1374
9060490
0.0361
2379770
0.0361
2379770
0.0342
2256170
0.0325
2143380
0.0314
2071450
0.027
1776980
0.027
1776980
0.0194
1279880
0.0194
1279880
0.0067
439010
0.0057
374847
0.0056
368093
0.0056
368093
0.0011
70241.6
0.0006
37147
0.0006
37147
0.0003
17560.4
0.0002
15196.5
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(%)
0.2111
6866220
0.0039
127794
0.0039
127794
0.0027
88806
0.0027
88806
0.0025
80142
0.0025
80142
0.0011
34656
0.0003
10830
0.0003
8664
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(%)
0.6842
25317600
0.0252
931392
0.0202
749056
0.0041
150304
0.0024
88704
0.0011
39424
0.0003
12320
0.0003
9856
截止日期
2019-12-31
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(%)
0.0382
412638
0.0382
412638
0.0114
123366
0.0114
123366
0.001
10635
0.0001
1403.82
截止日期
2019-06-30
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(%)
0.0012
11118
0.0001
1222.98
0.0001
852.38
0.0001
852.38
截止日期
2018-12-31
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(%)
0.2402
2307600
0.0012
11352
0.0001
870.32
0.0001
870.32
截止日期
2018-06-30
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(%)
0.014
190777
0.0025
33480
0.0025
33480
0.0025
33480
0.0025
33480
0.002
26870
0.0001
1236.02
0.0001
1236.02
0.0001
1236.02
0.0001
1236.02
截止日期
2017-12-31
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(%)
3.7807
58145200
3.4881
53644500
2.1362
32852900
1.3312
20472800
0.6921
10644800
0.2684
4127760
0.2663
4095000
0.2375
3652740
0.1598
2457000
0.1172
1801800
0.0823
1265230
0.0799
1228500
0.0777
1195740
0.0533
819000
0.0341
524160
0.0341
524160
0.0104
159705
0.0053
81900
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0033
51023.7
0.0029
45045
0.0001
1883.7
0.0001
1883.7
0.0001
1883.7
0.0001
1883.7
截止日期
2017-09-30
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(%)
0.9586
10994400
截止日期
2017-07-04
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(%)
0.0033
25331.2
截止日期
2017-06-30
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(%)
0.0099
62613.6
0.0066
41865.6
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
0.0033
20932.8
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