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- 688173

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希荻微(688173)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(%)
0.9327
39284100
0.9327
39284100
0.8963
37750100
0.8963
37750100
0.7269
30614600
0.7269
30614600
0.4176
17590000
0.4176
17590000
0.2937
12367900
0.2937
12367900
0.2307
9716290
0.2307
9716290
0.2034
8565100
0.2034
8565100
0.1812
7633060
0.1812
7633060
0.1784
7512950
0.1696
7017980
0.155
6529440
0.155
6529440
0.1381
5816030
0.1381
5816030
0.1381
5816030
0.1278
5382840
0.1278
5382840
0.1171
4932780
0.1061
4467100
0.1061
4467100
0.095
4001740
0.0946
3983750
0.0881
3712140
0.0881
3712140
0.0763
3214800
0.0763
3214800
0.0756
3183120
0.0728
3011300
0.0728
3011300
0.0674
2839030
0.0674
2839030
0.0665
2800130
0.0623
2622990
0.0623
2622990
0.0572
2409830
0.0572
2409830
0.0566
2383440
0.0551
2280100
0.0504
2121390
0.0504
2121390
0.0477
1973460
0.0477
1973460
0.043
1811770
0.043
1811770
0.0414
1742850
0.0414
1742850
0.0402
1692160
0.0359
1510310
0.0319
1342770
0.0293
1212380
0.0293
1212380
0.027
1138880
0.027
1138880
0.0236
993712
0.0236
993712
0.0235
990317
0.0235
990317
0.0203
855947
0.019
800345
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800345
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777988
0.0185
777988
0.018
756370
0.018
756370
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740785
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740785
0.0157
661384
0.0157
661384
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636617
0.0151
636617
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513628
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513628
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0.0107
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401052
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311343
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284606
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0.0037
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0.0036
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0.0025
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0.0025
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0.0023
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0.0023
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0.0005
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0.0005
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0.0003
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0.0003
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0.0002
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0.0002
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0.0002
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0.0002
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0
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0
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0
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0
1160.94
0
175.9
0
158.31
0
158.31
0
52.77
0
52.77
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(%)
0.7344
28456500
0.5905
22880000
0.5905
22880000
0.4661
18062500
0.4661
18062500
0.4661
18062500
0.2962
11478200
0.2373
9193250
0.2149
8328320
0.2149
8328320
0.1738
6732940
0.1738
6732940
0.1357
5258620
0.1266
4907140
0.1266
4907140
0.1247
4832760
0.1247
4832760
0.1173
4546780
0.114
4418080
0.114
4418080
0.1055
4087540
0.1055
4087540
0.1044
4046140
0.0999
3871340
0.0999
3871340
0.0961
3722420
0.094
3642240
0.0854
3308010
0.0832
3224410
0.0832
3224410
0.0787
3050200
0.0787
3050200
0.0783
3033110
0.0783
3033110
0.0755
2925800
0.0755
2925800
0.0529
2050050
0.0523
2026570
0.051
1977540
0.051
1977540
0.0347
1345120
0.0337
1306240
0.0337
1306240
0.0334
1292560
0.0334
1292560
0.0326
1263780
0.0326
1263780
0.0263
1020220
0.0185
718386
0.0185
718386
0.0184
713513
0.0184
713513
0.0178
690976
0.0178
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0.0168
652080
0.0168
652080
0.0165
641006
0.0165
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0.0148
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0.0148
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475904
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0.0123
475904
0.0107
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0.0107
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0.0096
371914
0.0096
371914
0.0073
283712
0.0073
283712
0.0064
249392
0.0064
249392
0.0064
247401
0.0064
247401
0.0057
221936
0.0052
201092
0.0052
201092
0.0044
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123827
0.0028
109824
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0.0025
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0.0025
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0.0025
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0.0025
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0.0025
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0.0025
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0.0025
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0.0025
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0.0025
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0.0023
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0.0022
86326.2
0.002
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0.002
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0.0019
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0.0019
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0.0019
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0.0016
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0.0016
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0.0016
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0.0015
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0.0015
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0.0014
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0.0013
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0.0013
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0.0013
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0.001
37866.4
0.0009
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0.0009
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0.0009
34320
0.0008
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0.0008
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0.0007
27570.4
0.0006
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0.0006
22880
0.0005
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0.0005
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0.0003
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0.0003
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0.0003
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0.0003
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0.0003
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0.0002
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0.0001
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0.0001
2974.4
0.0001
2288
0.0001
2288
0.0001
2082.08
0
228.8
0
205.92
0
205.92
0
68.64
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(%)
0.1683
7045200
0.0525
2199830
0.0525
2199830
0.032
1341280
0.032
1341280
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(%)
7.599
59098000
7.599
59098000
1.018
7917200
1.018
7917200
0.3215
2500710
0.1202
934430
0.0922
716882
0.0922
716882
0.0617
480126
0.0242
187977
0.0124
96284.3
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96284.3
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96284.3
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96284.3
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96284.3
0.0124
96284.3
0.0124
96284.3
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0.0115
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0.01
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0.0094
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0.0093
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0.0067
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0.0066
51142.5
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0.0051
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0.0051
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0.0048
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0.0005
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0.0004
2954.9
0.0003
2068.43
0
227.3
0
204.57
0
204.57
0
181.84
0
181.84
0
68.19
截止日期
2022-07-12
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(%)
0.013
117337
0.013
117337
0.013
117337
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(%)
7.7144
80520000
7.7144
80520000
0.2459
2566540
0.1402
1463590
0.0631
658754
0.0631
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0.0136
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142118
0.0136
133942
0.0136
133942
0.0136
142118
0.0136
133942
0.0136
133942
0.0136
142118
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
142118
0.0136
133942
0.0136
142118
0.0136
133942
0.0136
142118
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
142118
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
142118
0.0136
142118
0.0136
133942
0.0136
142118
0.0136
133942
0.0136
142118
0.0136
142118
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
142118
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
133942
0.0136
142118
0.0136
142118
0.0136
133942
0.0136
133942
0.0136
142118
0.0136
133942
0.0134
131855
0.0134
131855
0.0134
131855
0.0134
131855
0.0133
130564
0.0133
130564
0.0133
130564
0.0131
128725
0.0128
125595
0.0128
125595
0.0128
125595
0.0128
125595
0.0128
125595
0.0127
132120
0.0127
132120
0.0127
132120
0.0126
123476
0.0126
123476
0.0126
123476
0.0122
127691
0.0122
120346
0.0121
126584
0.0119
116993
0.0119
117215
0.0119
117215
0.0119
117215
0.0119
124370
0.0119
117215
0.0118
116172
0.0117
115128
0.0117
115128
0.0117
115128
0.0117
115128
0.0117
115128
0.0112
109880
0.0112
109880
0.011
107793
0.011
114372
0.011
107793
0.0106
104662
0.0106
110346
0.0106
110346
0.0105
103587
0.0105
103587
0.0105
103587
0.0103
107696
0.0103
107696
0.0103
107696
0.0102
100457
0.01
98369.8
0.01
98369.8
0.0099
97326.4
0.0098
96282.9
0.0098
96282.9
0.0098
96100.2
0.0098
96100.2
0.0096
94196
0.0096
94196
0.0096
94196
0.0096
94196
0.0095
93120.9
0.0089
87903.6
0.0089
87903.6
0.0088
92161.9
0.0086
84612.4
0.0086
84612.4
0.0083
81611.2
0.0081
79524.3
0.0081
79524.3
0.0081
79524.3
0.0081
79524.3
0.0079
82164
0.0079
77437.4
0.0079
77437.4
0.0079
82164
0.0076
74307
0.0076
74307
0.0074
73263.5
0.0074
73263.5
0.0074
77735.4
0.0073
72188.5
0.0073
76594.6
0.0073
76594.6
0.0073
72188.5
0.0072
71145
0.0072
75487.5
0.0072
75487.5
0.0072
71145
0.0072
71145
0.0072
75319.8
0.0072
75319.8
0.0071
70101.5
0.0071
70101.5
0.0069
67885.6
0.0069
68014.6
0.0069
68014.6
0.0069
67885.6
0.0069
68014.6
0.0069
68014.6
0.0068
66971.2
0.0068
66844.1
0.0066
64884.2
0.0066
64884.2
0.0066
64884.2
0.0066
64884.2
0.0065
63840.8
0.0065
63840.8
0.0065
63840.8
0.0063
65489.6
0.0063
65489.6
0.0062
60563.6
0.0062
60678.8
0.0062
60678.8
0.0062
60678.8
0.0061
59635.3
0.0061
59635.3
0.0056
55461.5
0.0056
55461.5
0.0056
55461.5
0.0056
55461.5
0.0055
54418
0.0055
54418
0.0055
57471.1
0.0055
57471.1
0.0055
57471.1
0.0055
57471.1
0.0055
57471.1
0.0055
57471.1
0.0055
57471.1
0.0055
57471.1
0.0054
53374.6
0.0054
53374.6
0.0053
52331.1
0.0053
52331.1
0.0053
52331.1
0.0051
50212.6
0.0049
48125.6
0.0048
47082.2
0.0047
46038.7
0.0044
42826.9
0.0044
42826.9
0.0044
42908.3
0.0044
42908.3
0.0043
41864.9
0.0043
41864.9
0.0041
40789.8
0.0041
43212.4
0.0041
43212.4
0.0039
38702.9
0.0039
38702.9
0.0038
39958.1
0.0038
37659.4
0.0037
36616
0.0037
36616
0.0037
36616
0.0036
35572.5
0.0036
35572.5
0.0034
33485.6
0.0034
33485.6
0.0033
32442.1
0.0026
26806.4
0.0023
23019.4
0.0015
15701.4
0.0005
5468.65
0.0004
4361.5
0.0003
3053.05
0
335.5
0
335.5
0
301.95
0
301.95
0
268.4
0
234.85
0
234.85
0
67.1
0
67.1
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(%)
0.0136
92683.7
0.0136
92683.7
0.0136
92683.7
0.0133
92751.5
0.0117
79665.1
0.0117
79665.1
0.0095
64436.6
0.0083
56472.3
0.0068
46341.8
0.0056
38377.5
0.0056
38377.5
0.0048
32579.3
0.0043
28969.1
0.0037
25337
0.0023
15928.6
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