近岸蛋白

- 688137

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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:
近岸蛋白(688137)项目:基金持股
截止日期
2024-03-31
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(%)
0.0007
7982.95
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(%)
2.6885
44066900
2.6885
44066900
1.1817
19369500
1.1817
19369500
1.1159
18290400
1.1159
18290400
0.8928
14634100
0.8928
14634100
0.5995
9826120
0.5995
9826120
0.5984
9808480
0.5984
9808480
0.4555
7465780
0.4555
7465780
0.4146
6795300
0.4146
6795300
0.3065
5024210
0.3065
5024210
0.2979
4882240
0.2979
4882240
0.2609
4275680
0.2609
4275680
0.2594
4252320
0.2594
4252320
0.2582
4231960
0.2582
4231960
0.2542
4166380
0.2542
4166380
0.2248
3685310
0.2248
3685310
0.1993
3267110
0.1594
2612110
0.1594
2612110
0.1052
1724980
0.1052
1724980
0.089
1458900
0.089
1458900
0.0876
1436270
0.0876
1436270
0.0738
1209460
0.0738
1209460
0.066
1081250
0.066
1081250
0.0638
1046460
0.0528
865488
0.0528
865488
0.0516
846292
0.0516
846292
0.0395
646675
0.0395
646675
0.023
377319
0.023
377319
0.0215
352132
0.0183
299592
0.0183
299592
0.015
246498
0.0125
205276
0.0125
205276
0.0114
186635
0.0114
186635
0.0108
176593
0.0108
176593
0.0088
143582
0.0088
143582
0.0088
143582
0.0088
143582
0.0088
143582
0.0088
143582
0.0088
143582
0.0088
143582
0.0088
143582
0.0086
141751
0.0086
141751
0.0081
132098
0.0081
132098
0.0072
117729
0.007
114400
0.0068
112014
0.0068
112014
0.0068
110960
0.0068
110960
0.0058
94759.8
0.0058
94759.8
0.0053
86160.4
0.0053
86160.4
0.005
82609.7
0.005
82609.7
0.0046
75009
0.0046
75009
0.0044
71791.1
0.004
66076.7
0.004
66076.7
0.004
66076.7
0.0039
63191.7
0.0039
63191.7
0.0037
60306.8
0.0037
60306.8
0.0028
45937.4
0.0028
45937.4
0.0019
31457.2
0.0017
28183.8
0.0016
25853.7
0.0016
25853.7
0.0012
20139.2
0.001
16255.6
0.0007
11096
0.0007
11096
0.0007
11096
0.0007
11096
0.0007
10707.6
0.0007
10707.6
0.0007
10707.6
0
332.88
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(%)
5.1963
44309900
5.1963
44309900
2.2831
19468300
2.2831
19468300
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(%)
4.2423
37809300
4.2423
37809300
1.6508
14712700
1.6508
14712700
1.2115
10797400
1.2115
10797400
0.9057
8072060
0.9057
8072060
0.5516
4916340
0.5516
4916340
0.4451
3967410
0.4451
3967410
0.3837
3419610
0.3837
3419610
0.3401
3031550
0.272
2423780
0.272
2423780
0.1167
1040510
0.1167
1040510
0.0884
787644
0.0884
787644
0.0728
648648
0.0728
648648
0.0346
308520
0.0346
308520
0.0184
163861
0.0184
163861
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0149
133230
0.0139
123552
0.0139
123552
0.0139
123552
0.0139
123552
0.0138
122574
0.0138
122574
0.0123
109241
0.0114
101261
0.0105
93281.8
0.0099
87927.8
0.0099
87927.8
0.009
79948.4
0.009
79948.4
0.0087
77271.5
0.0072
63938.2
0.0072
63938.2
0.0072
63938.2
0.0069
61776
0.0069
61312.7
0.0069
61312.7
0.0069
61312.7
0.0069
61312.7
0.0069
61312.7
0.0069
61312.7
0.0066
58635.7
0.0066
58635.7
0.0063
55958.8
0.0063
55958.8
0.0054
47979.4
0.0054
47979.4
0.0054
47979.4
0.0054
47979.4
0.0051
45302.4
0.0048
42625.4
0.0048
42625.4
0.0045
40000
0.0045
40000
0.004
36036
0.004
36036
0.0036
31969.1
0.0027
23989.7
0.0027
23989.7
0.0021
18687.2
0.0015
13333.3
0.0015
13333.3
0.0003
3037.32
0
102.96
0
102.96
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(%)
0.0108
124784
0.0108
124784
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(%)
3.3817
41800000
3.3817
41800000
2.4594
30400000
2.4594
30400000
1.5371
18983200
1.5371
18983200
1.4142
17480000
1.4142
17480000
0.7191
8888880
0.7191
8888880
0.6485
7998750
0.6485
7998750
0.6149
7600000
0.6149
7600000
0.6149
7600000
0.5702
7031110
0.5674
7013280
0.5674
7013280
0.4919
6080000
0.4836
5978160
0.4836
5978160
0.4611
5700000
0.4565
5642920
0.4565
5642920
0.4063
5022380
0.4063
5022380
0.3965
4900400
0.3965
4900400
0.3677
4544420
0.3624
4479740
0.3473
4292400
0.3473
4292400
0.2379
2940440
0.2379
2940440
0.2214
2737140
0.2214
2737140
0.2214
2737140
0.2167
2678390
0.2167
2678390
0.1302
1593090
0.1302
1593090
0.1255
1551840
0.1255
1551840
0.102
1260610
0.102
1260610
0.0809
999780
0.0809
999780
0.0731
904096
0.0731
904096
0.0731
903032
0.0646
798000
0.0646
798000
0.046
568784
0.046
568784
0.0384
474620
0.0384
474620
0.0293
362748
0.0221
273600
0.0203
250800
0.0203
250800
0.02
247000
0.02
247000
0.02
232793
0.02
232793
0.0182
224352
0.0177
218424
0.0177
218424
0.0159
179866
0.0159
179866
0.0159
196688
0.0159
179866
0.0159
196688
0.0159
179866
0.0159
179866
0.0159
196688
0.0159
179866
0.0159
196688
0.0159
196688
0.0159
179866
0.0159
179866
0.0159
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0.0159
196688
0.0159
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179866
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179866
0.0159
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0.0159
180617
0.0159
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0.0159
196688
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0.0159
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0.0159
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0.0159
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0.0159
179866
0.0159
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0.0159
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0.0159
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0.0159
179866
0.0159
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0.0159
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0.0159
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0.0159
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0.0159
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0.0159
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0.0159
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0.0159
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0.0159
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0.0159
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0.0159
179866
0.015
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0.0146
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0.0146
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0.0143
161866
0.014
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0.014
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0.014
173052
0.0137
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0.0137
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0.0137
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0.0136
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0.0136
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0.0134
165224
0.0134
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0.013
147479
0.0124
140320
0.0124
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0.0121
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0.0121
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0.0118
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0.0115
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129478
0.0115
129478
0.0111
125934
0.0111
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0.0111
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0.0108
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0.0108
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0.0108
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0.0108
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0.0108
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0.0105
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0.0105
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0.0099
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0.0098
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104320
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0.0089
100706
0.0086
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0.0086
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0.0086
106248
0.0086
97161
0.0086
106248
0.0083
102296
0.0083
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0.0083
102296
0.008
89933
0.008
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0.008
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0.008
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0.008
89933
0.008
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0.008
89933
0.0076
86319
0.0076
86319
0.0076
86319
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86319
0.0076
94392
0.0073
90516
0.0073
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0.0073
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0.0073
90516
0.0073
90516
0.0073
90516
0.007
86564
0.007
86564
0.007
79160.5
0.007
79160.5
0.0067
75546.5
0.0067
82612
0.0067
82612
0.0067
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0.0061
75544
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68388
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68388
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0.0057
64774
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0.0054
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61160
0.0051
62928
0.0051
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0.0051
57786.1
0.0051
57786.1
0.0051
62928
0.0048
54001.5
0.0048
59052
0.0048
59052
0.0048
59052
0.0048
59052
0.0045
50597.8
0.0045
50597.8
0.0045
50387.5
0.0045
50387.5
0.0041
46773.5
0.0041
46773.5
0.0038
43159.5
0.0038
43159.5
0.0038
43339.6
0.0038
43339.6
0.0038
43159.5
0.0038
43159.5
0.0035
39615
0.0035
39615
0.0035
43320
0.0035
43320
0.0035
39615
0.0032
36001
0.0032
36001
0.0032
36001
0.0029
35416
0.0029
35416
0.0022
25333.8
0.0021
26296
0.0019
23712
0.0016
18000.5
0.0016
19684
0.0016
19684
0.0001
1824
0.0001
1824
截止日期
2022-11-30
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(%)
0.0159
261699
0.0159
261699
截止日期
2022-10-09
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(%)
0.0115
127914
0.0115
127914
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(%)
0.0159
195420
0.0159
177692
0.0159
195420
0.0159
177692
0.0159
177692
0.013
160232
0.0124
152455
0.0115
127914
0.0115
140675
0.0115
127914
0.0115
127914
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