世华科技

- 688093

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世华科技(688093)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(%)
0.2903
13429500
0.2903
13429500
0.1942
8983250
0.1942
8983250
0.0941
4353760
0.0941
4353760
0.072
3329370
0.072
3329370
0.0653
3020770
0.0653
3020770
0.065
3005320
0.065
3005320
0.0572
2648080
0.0572
2648080
0.045
2081370
0.0403
1863500
0.0403
1863500
0.0394
1821000
0.0394
1821000
0.0336
1555130
0.0336
1555130
0.0327
1514250
0.0327
1514250
0.0278
1285630
0.0278
1285630
0.0274
1265600
0.0274
1265600
0.0219
1014300
0.0219
1014300
0.0199
921426
0.0199
921426
0.0197
912321
0.0192
887592
0.0185
854960
0.0185
854960
0.0175
809689
0.0175
809689
0.0144
664556
0.0144
664556
0.0134
619377
0.0134
619377
0.0113
522518
0.0113
522518
0.0107
497133
0.0107
497133
0.0106
490960
0.0092
426187
0.0087
404262
0.0087
404262
0.0081
372540
0.0081
372540
0.008
371484
0.008
371484
0.0079
364200
0.0079
364200
0.0077
355095
0.0077
355095
0.0076
353274
0.0076
353274
0.0076
351089
0.0076
351089
0.0075
347811
0.0075
347811
0.0072
330858
0.0072
330858
0.0066
307421
0.0066
307421
0.0055
256761
0.0055
256761
0.0055
256051
0.0055
256051
0.0055
253137
0.0055
253137
0.0051
234909
0.0044
202131
0.0044
202131
0.0042
196103
0.0041
187563
0.0039
181845
0.0034
157844
0.0034
157844
0.0032
149486
0.0028
129910
0.0028
129910
0.0028
129327
0.0028
129327
0.0024
111081
0.0024
111081
0.0021
98516.1
0.002
94072.9
0.002
94072.9
0.0018
81945
0.0018
81945
0.0014
63735
0.0014
63735
0.0012
56451
0.0012
56451
0.0011
53100.4
0.0011
53100.4
0.0011
49713.3
0.0011
49713.3
0.0011
48857.4
0.0011
48857.4
0.001
46854.3
0.001
46854.3
0.001
45525
0.0009
39515.7
0.0009
39515.7
0.0006
29682.3
0.0006
29682.3
0.0005
22434.7
0.0005
22434.7
0.0005
21852
0.0005
21852
0.0004
18210
0.0004
18210
0.0004
18210
0.0004
18210
0.0002
9105
0.0002
9105
0.0001
3642
0.0001
3642
0.0001
2676.87
0.0001
2676.87
0.0001
2676.87
0.0001
2531.19
0.0001
2531.19
0
983.34
0
983.34
0
291.36
0
18.21
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(%)
0.9706
12160400
0.9706
12160400
0.739
9258550
0.739
9258550
0.3202
4012000
0.3202
4012000
0.1491
1867590
0.1491
1867590
0.1314
1646040
0.1314
1646040
0.1217
1524560
0.1217
1524560
0.0688
862580
0.0688
862580
0.0549
688058
0.0544
682040
0.0544
682040
0.054
676965
0.0536
672170
0.0536
672170
0.0405
507458
0.0344
431109
0.0338
423868
0.0338
423868
0.0338
423727
0.0338
423727
0.0327
409846
0.032
401541
0.032
401541
0.025
312936
0.0245
306918
0.0211
264792
0.0211
264792
0.017
212656
0.017
212656
0.017
212636
0.017
212636
0.0153
191954
0.0153
191954
0.0153
191754
0.0153
191754
0.0131
164673
0.0098
122968
0.0098
122968
0.0093
116348
0.0093
116348
0.0091
113660
0.0091
113660
0.009
112336
0.009
112336
0.0083
103750
0.0083
103750
0.0078
98053.3
0.0078
98053.3
0.0067
84252
0.0067
84252
0.0064
80179.8
0.0064
80179.8
0.0031
38314.6
0.0031
38314.6
0.0026
32096
0.0026
32096
0.0019
24072
0.0016
20060
0.0016
20060
0.0016
20060
0.0016
20060
0.0008
10330.9
0.0008
10330.9
0.0003
4012
0.0003
4012
0.0003
4012
0.0001
1544.62
0.0001
1544.62
0.0001
1263.78
0.0001
1263.78
0.0001
922.76
0.0001
922.76
0
320.96
0
20.06
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(%)
0.016
214500
0.016
214500
0.016
214500
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(%)
1.7883
19725100
1.7883
19725100
1.4128
15583100
0.9179
10125100
0.2474
2729040
0.2474
2729040
0.2422
2671530
0.2422
2671530
0.1316
1451780
0.1316
1451780
0.1212
1336530
0.1212
1336530
0.0799
881216
0.0799
881216
0.0599
660749
0.0599
660749
0.0484
533685
0.0484
533685
0.0432
476802
0.0432
476802
0.0408
450330
0.0371
408723
0.0368
406003
0.0368
406003
0.0324
356962
0.0324
356962
0.0306
337536
0.0306
337536
0.0244
268856
0.0226
249006
0.0226
249006
0.0216
238728
0.019
209677
0.019
209677
0.016
176600
0.016
176600
0.0159
175593
0.0159
175593
0.0151
166763
0.0151
166763
0.015
165510
0.015
165510
0.0143
157880
0.0103
113607
0.0103
113607
0.0103
113607
0.0103
113536
0.0103
113536
0.01
110481
0.01
110481
0.0083
91337.5
0.0083
91337.5
0.0069
76556.1
0.0069
76556.1
0.0039
42525.3
0.0039
42525.3
0.0031
33854.2
0.0002
2578.36
0.0002
2578.36
0.0002
1889.62
0
282.56
0
17.66
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(%)
1.1691
16180700
1.1691
16180700
0.521
7210980
0.521
7210980
0.4616
6388680
0.4616
6388680
0.3306
4575220
0.1699
2351280
0.1699
2351280
0.1396
1932240
0.1396
1932240
0.0934
1292040
0.0887
1227670
0.0404
558720
0.0404
558720
0.0219
302477
0.0219
302477
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(%)
5.5627
63891000
5.5627
63891000
5.3668
61641200
5.0558
58068400
5.0558
58068400
5.0558
58068400
3.2694
37551000
2.8885
33176100
0.3822
4389500
0.3822
4389500
0.2994
3438730
0.2994
3438730
0.2133
2449330
0.2133
2449330
0.1766
2028600
0.1766
2028600
0.1728
1984780
0.1728
1984780
0.1689
1940480
0.1689
1940480
0.1163
1335900
0.1163
1335900
0.0943
1082890
0.0884
1015300
0.0561
644902
0.0416
478363
0.0416
478363
0.0237
272412
0.016
183540
0.016
183540
0.0153
175812
0.0153
175812
0.0108
124286
0.0108
124286
0.0108
124286
0.0093
107168
0.009
103787
0.009
103787
0.0089
102782
0.0088
101604
0.0088
101604
0.0088
101604
0.0088
100870
0.0088
100870
0.0088
100734
0.0087
99691.2
0.0087
99691.2
0.003
34776
0.0021
24053.4
0.0021
24053.4
0.0021
23782.9
0.0021
23782.9
0.0009
10819.2
0.0009
10819.2
0.0002
2569.56
0.0002
2067.24
0
309.12
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(%)
0.6558
7828130
0.6558
7828130
0.1774
2118000
0.1774
2118000
0.1736
2072250
0.1736
2072250
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(%)
7.8296
123445000
7.8296
123445000
7.8296
123445000
5.5883
88107600
5.5883
88107600
5.3916
85005100
3.2845
51783900
2.7054
42654000
1.6045
25297000
1.6045
25297000
0.5514
8693100
0.3781
5961550
0.343
5408500
0.243
3830520
0.2366
3730000
0.2366
3730000
0.2147
3384490
0.1869
2946700
0.1869
2946700
0.1774
2797500
0.1774
2797500
0.1736
2737070
0.1736
2737070
0.1732
2730960
0.1656
2611000
0.1656
2611000
0.0975
1537390
0.0882
1389840
0.0882
1389840
0.0755
1189870
0.0755
1189870
0.0672
1059280
0.0672
1059280
0.0672
1059280
0.0642
1012470
0.0629
992478
0.0629
992478
0.0483
761517
0.0483
761517
0.0355
559500
0.0355
559500
0.0279
440140
0.022
346890
0.022
346890
0.0193
304443
0.0118
186500
0.0118
186500
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0109
171394
0.0098
153788
0.0098
153788
0.0094
148156
0.0079
125030
0.0079
125030
0.0071
111900
0.0071
111900
0.0021
33570
0.0021
33159.7
0.0021
33159.7
0.0021
32786.7
0.0021
32786.7
0.0007
11190
0.0007
11190
0.0002
3543.5
0.0002
2834.8
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(%)
2.0842
31185900
0.1934
2893770
0.1934
2893770
0.1894
2834430
0.1894
2834430
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(%)
5.3641
87122900
5.3641
87122900
5.3641
87122900
1.9584
31808000
1.9584
31808000
0.7775
12627600
0.7416
12044300
0.7416
12044300
0.6439
10458400
0.6439
10458400
0.6124
9946480
0.5636
9154060
0.4879
7924570
0.3938
6395990
0.3451
5605600
0.2326
3777200
0.2176
3534150
0.1802
2927530
0.1792
2911070
0.1365
2216260
0.1365
2216260
0.1341
2178850
0.1303
2116420
0.1303
2116420
0.1224
1988000
0.1224
1988000
0.1001
1626420
0.0809
1313950
0.0809
1313950
0.0783
1272320
0.0783
1272320
0.0752
1221390
0.0665
1080440
0.0665
1080440
0.0394
640136
0.0394
640136
0.0328
532665
0.0122
198800
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0112
182697
0.0107
173433
0.0107
173433
0.0101
163930
0.0101
163930
0.0097
157927
0.0095
153990
0.0093
150571
0.0093
150571
0.0073
119280
0.007
113515
0.0053
86120.2
0.0024
39760
0.0024
39760
0.0022
35346.6
0.0022
35346.6
0.0022
34949
0.0022
34949
0.0005
7952
0.0005
7952
0.0002
3777.2
0.0002
3021.76
截止日期
2021-03-31
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(%)
0.0112
116299
0.0065
67274
0.0037
38218.1
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(%)
2.1661
21019800
1.3795
13386800
1.3795
13386800
0.2924
2837400
0.211
2047450
0.2106
2043970
0.2106
2043970
0.2104
2042140
0.2104
2042140
0.2104
2041660
0.2104
2041520
0.2104
2041520
0.2103
2041140
0.2103
2041140
0.0453
439137
0.0453
439137
0.0235
217160
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
114002
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108626
0.0117
108626
0.0117
108626
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108626
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108626
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
114002
0.0117
114002
0.0117
114002
0.0117
108626
0.0117
108626
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108626
0.0117
108626
0.0117
108580
0.0117
108626
0.0117
108626
0.0117
114002
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
108580
0.0117
108580
0.0117
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0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108626
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
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0.0117
114002
0.0117
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0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108626
0.0117
108626
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
114002
0.0117
108626
0.0117
108626
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108580
0.0117
108626
0.0117
108580
0.0117
107800
0.0117
107800
0.0116
107044
0.0116
107044
0.0115
106264
0.011
101609
0.011
101609
0.0108
105046
0.0102
93858.4
0.0101
93078.6
0.0101
93078.6
0.01
92298.8
0.0099
96089.1
0.0095
87643.7
0.0095
87643.7
0.009
82988.6
0.0088
81429
0.0087
80649.2
0.0087
80649.2
0.0087
80649.2
0.0084
77553.7
0.0084
77553.7
0.0081
75237.9
0.0081
74458.1
0.0079
72898.5
0.0079
72898.5
0.0073
67463.6
0.0071
65955.6
0.0071
65927.7
0.0071
65927.7
0.007
65147.9
0.0068
62808.5
0.0064
58933.2
0.0064
58933.2
0.0063
58177.1
0.0055
51182.6
0.0052
50488.4
0.0052
50488.4
0.0051
49669.6
0.0039
35696.4
0.0038
34901.5
0.0038
34901.5
0.0034
31026.2
0.0034
31026.2
0.0023
22056.1
0.0023
22056.1
0.0008
7750.64
0.0002
2356.95
0.0001
1339.74
截止日期
2020-12-03
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(%)
0.0039
40754.9
0.0039
40754.9
0.0039
40754.9
截止日期
2020-12-02
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(%)
0.0117
115059
0.0117
115059
0.0117
115059
截止日期
2020-09-30
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
115334
0
115334
0
98868.9
0
98868.9
0
66715.8
0
60726.5
0
60726.5
0
60726.5
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