京源环保

- 688096

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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:
京源环保(688096)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(%)
0.9309
13188300
0.9309
13188300
0.7756
10988300
0.7756
10988300
0.5212
7383180
0.5212
7383180
0.471
6672680
0.471
6672680
0.3684
5219750
0.3684
5219750
0.2677
3792060
0.2677
3792060
0.2623
3715650
0.2623
3715650
0.253
3584330
0.253
3584330
0.2061
2919650
0.2061
2919650
0.1517
2148500
0.1517
2148500
0.0675
955740
0.0649
920134
0.0649
920134
0.0573
811442
0.0573
811442
0.054
765529
0.054
765529
0.0442
625597
0.0406
575318
0.0406
575318
0.0335
474647
0.0335
474647
0.0304
430083
0.0304
430083
0.0296
419776
0.0296
419776
0.0208
294218
0.0204
289533
0.0204
289533
0.0194
274541
0.0194
274541
0.0134
189274
0.0129
182715
0.0129
182715
0.0121
171471
0.0121
171471
0.0117
165849
0.0117
165849
0.0117
165849
0.0112
159290
0.0112
159290
0.0108
153668
0.0108
153668
0.01
142049
0.01
142049
0.01
142049
0.01
142049
0.01
141487
0.01
141487
0.0099
140550
0.0099
140550
0.0095
133991
0.0095
133991
0.0087
122747
0.0087
122747
0.0085
120957
0.0085
120957
0.0083
116881
0.0077
108692
0.0077
108692
0.0075
106818
0.0075
106818
0.007
99322
0.007
99322
0.0067
95574
0.0067
95574
0.0062
87141
0.0062
87141
0.0058
82727.7
0.0058
82727.7
0.0043
60905
0.0043
60905
0.0042
58834.2
0.0039
55639.1
0.0039
55639.1
0.0037
52472
0.0037
52472
0.0035
49661
0.0012
16866
0.0012
16866
0.0012
16866
0.0012
16866
0.0011
15469.9
0.0011
15469.9
0.0011
14992
0.0011
14992
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(%)
0.7674
11417400
0.7674
11417400
0.3862
5746240
0.3862
5746240
0.3256
4843840
0.3256
4843840
0.1194
1776710
0.1194
1776710
0.0735
1093420
0.0735
1093420
0.0646
961712
0.0552
821050
0.0493
733670
0.0493
733670
0.0251
373920
0.0251
373920
0.0193
287879
0.0193
287879
0.0055
82557.6
0.0055
82557.6
0.0051
75768
0.0042
61785.4
0.0038
56904.7
0.0038
56481.6
0.0038
56481.6
0.0022
33062.4
0.002
29815.2
0.002
29815.2
0.0019
27552
0.0017
24787
0.0017
24787
0.0013
18961.7
0.0013
18961.7
0.0011
16245.8
0.0011
16245.8
0.0003
3936
0.0003
3936
0.0001
1279.2
0.0001
1279.2
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(%)
1.2429
12045000
1.2429
12045000
1.1214
10867400
1.1214
10867400
0.1687
1635150
0.1687
1635150
0.1183
1146120
0.1183
1146120
0.0858
830995
0.0858
830995
0.0546
528666
0.0546
528666
0.0371
359686
0.0371
359686
0.0341
330718
0.0315
305093
0.0311
301750
0.0311
301750
0.0291
282438
0.0166
161014
0.0166
161014
0.0158
153506
0.0158
153506
0.0119
115112
0.0112
108690
0.0112
108690
0.0073
70754.3
0.0056
54327.1
0.0056
54133.9
0.0042
41038
0.0042
41038
0.0018
17561.8
0.0018
17561.8
0.0015
14484
0.0015
14484
0.0001
579.36
0.0001
579.36
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(%)
0.2569
2772940
0.2569
2772940
0.1128
1217690
0.1128
1217690
0.018
193908
0.018
193908
0.0157
169229
0.0157
169229
0.0134
145092
0.0056
60816.6
0.0052
55596
0.0052
55596
0.0002
1749.24
0.0002
1749.24
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(%)
0.0922
988201
0.0922
988201
0.0603
646912
0.0603
646912
0.0471
505400
0.0471
505400
0.0471
505400
0.024
257032
0.0234
251256
0.0234
251256
0.0138
148053
0.0138
148053
0.006
64763.4
0.006
64763.4
0.006
64763.4
0.006
64763.4
0.0029
31147.1
0.0029
31147.1
0.0012
12996
0.0012
12996
0.0002
1862.76
0.0002
1862.76
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(%)
0.006
68620.5
0.006
68620.5
0.006
68620.5
0.006
68620.5
0.0002
1973.7
0.0002
1973.7
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(%)
0.1232
594886
0.0318
153414
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0176
84945.9
0.0154
74472.1
0.0154
74472.1
0.0098
47122.7
0.0098
47122.7
0.0035
16951.3
0.0032
15549.7
截止日期
2020-11-30
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(%)
0.011
65738.4
0.011
65738.4
0.011
65738.4
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(%)
0.0184
113650
0.0184
113650
0.0184
113650
0.0184
113650
0.0173
107315
0.0173
107315
0.0031
18929
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(%)
0.0184
114906
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
114906
0.0184
96068.7
0.0184
114906
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
108627
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
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0.0184
96068.7
0.0184
96068.7
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96068.7
0.0184
96068.7
0.0184
114906
0.0184
96068.7
0.0184
114906
0.0184
96068.7
0.0184
114906
0.0184
108627
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
114906
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
114906
0.0184
96068.7
0.0184
108627
0.0184
114906
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
114906
0.0184
108627
0.0184
96068.7
0.0184
96068.7
0.0184
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0.0184
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0.0184
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108627
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96068.7
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0.0184
114906
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114906
0.0184
114906
0.0184
108627
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0.0184
96068.7
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0.0184
114906
0.0184
114906
0.0184
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0.0184
114906
0.0184
114906
0.0184
114906
0.0184
96068.7
0.0184
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0.0184
96068.7
0.0184
114906
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108627
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96068.7
0.0184
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0.0184
114906
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
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96068.7
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114906
0.0184
96068.7
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114906
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96068.7
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114906
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96068.7
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108627
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96068.7
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114906
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96068.7
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96068.7
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96068.7
0.0184
114906
0.0184
114906
0.0184
114906
0.0184
108627
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96068.7
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114906
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114906
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96068.7
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114906
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96068.7
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114906
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96068.7
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96068.7
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96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0184
96068.7
0.0175
91784.7
0.0175
91784.7
0.0173
90713.7
0.0173
90713.7
0.0173
90713.7
0.0173
90713.7
0.0169
88593.1
0.0159
83259.5
0.0147
76855
0.0147
76855
0.0143
74713
0.0139
72571
0.0139
72571
0.0133
69379.4
0.0124
65095.4
0.0118
61903.8
0.0118
61903.8
0.0118
61903.8
0.0116
60832.8
0.0112
70198.8
0.0112
70198.8
0.0108
67662.4
0.0104
54428.2
0.0104
54428.2
0.0104
54428.2
0.0098
51236.6
0.0098
51236.6
0.0096
60002
0.0094
55512.2
0.0094
49094.6
0.009
46952.6
0.0036
22468.7
0.0031
16000.7
0.0007
4406.64
0.0006
3996.72
截止日期
2020-03-31
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
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
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0
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0
64314.9
0
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0
64314.9
0
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0
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64314.9
0
64314.9
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64314.9
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0
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64314.9
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0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
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64314.9
0
64314.9
0
64314.9
0
64314.9
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64314.9
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0
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0
64314.9
0
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0
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0
64314.9
0
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0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
64314.9
0
55739.6
0
55739.6
0
55022.6
0
55022.6
0
54305.6
0
54305.6
0
54305.6
0
52871.6
0
50734.9
0
50017.9
0
50017.9
0
50017.9
0
46447.3
0
46447.3
0
46447.3
0
46447.3
0
46447.3
0
46447.3
0
35003.9
0
10712
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