咸亨国际

- 605056

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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:-
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咸亨国际(605056)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(%)
2.2889
57084200
2.2889
57084200
0.3368
8400410
0.3368
8400410
0.2315
5774540
0.1538
3835140
0.1538
3835140
0.0754
1880150
0.0754
1880150
0.0343
854332
0.0343
854332
0.0134
333626
0.0134
333626
0.0039
96658
0.0039
96658
0.0012
29621
0.0012
29621
0.0006
14545.5
0.0006
14545.5
0.0006
14545.5
0.0006
14545.5
0.0006
14545.5
0.0004
10258.2
0.0004
10258.2
0
1044.53
0
1044.53
0
1044.53
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(%)
2.5835
50544400
2.5835
50544400
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(%)
2.5835
57205600
0.3205
7096340
0.3205
7096340
0.1504
3329950
0.1157
2562420
0.1157
2562420
0.0274
606476
0.0136
300404
0.0136
300404
0.0123
272064
0.0069
153036
0.0053
117611
0.0053
117611
0.0013
28340
0.0013
28340
0.0006
13234.8
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0006
13220.6
0.0001
1417
0.0001
1417
0
949.39
0
949.39
0
949.39
0
467.61
0
467.61
0
467.61
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(%)
0.0424
808302
0.0424
808302
0.0255
485958
0.0255
485958
0.0107
203907
0.0107
203907
0.0102
194139
0.0081
155067
0.0072
136752
0.0072
136752
0.0055
105006
0.0045
86691
0.0045
86691
0.0036
69597
0.0036
69597
0.0024
46398
0.0024
46398
0.0015
29304
0.0015
29304
0.0014
26862
0.0008
14652
0.0006
11404.1
0.0006
11404.1
0.0006
11404.1
0.0006
11404.1
0.0006
11404.1
0.0006
11404.1
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0006
11391.9
0.0002
3663
0.0001
1221
0.0001
1221
0
818.07
0
818.07
0
818.07
0
402.93
0
402.93
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(%)
0.015
91020
0.0027
16687
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14168.8
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0023
14153.6
0.0002
1016.39
0.0002
1016.39
0.0002
1016.39
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
0.0001
500.61
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(%)
0.2292
1722130
0.2292
1722130
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17540.5
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0023
17521.7
0.0001
638.52
0.0001
638.52
0.0001
638.52
0.0001
638.52
0.0001
638.52
0.0001
638.52
0.0001
619.74
0.0001
619.74
0.0001
619.74
0.0001
619.74
0.0001
619.74
0.0001
619.74
0.0001
619.74
0.0001
619.74
0.0001
619.74
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(%)
0.0023
23791.5
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