智洋创新

- 688191

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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:
智洋创新(688191)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(%)
1.6774
20936600
0.2675
3338370
0.2675
3338370
0.1058
1320380
0.1058
1320380
0.0119
148900
0.0119
148900
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(%)
3.2817
44418700
3.2817
44418700
1.9372
26221100
0.6587
8916190
0.5673
7679220
0.5404
7313900
0.5258
7116300
0.5258
7116300
0.3423
4632580
0.3423
4632580
0.317
4290150
0.3082
4171490
0.3082
4171490
0.2991
4047800
0.2991
4047800
0.246
3330000
0.1108
1500350
0.1108
1500350
0.0938
1269490
0.0938
1269490
0.0861
1165500
0.0588
795500
0.0588
795500
0.0584
790653
0.0584
790653
0.0547
740000
0.0547
740000
0.0533
721426
0.0533
721426
0.0528
715266
0.0528
715266
0.0457
618973
0.0315
427017
0.0315
427017
0.0315
427017
0.0233
314926
0.0233
314926
0.0233
314926
0.0228
308247
0.0228
308247
0.0202
272782
0.0202
272782
0.0185
249750
0.0096
129500
0.0096
129500
0.009
122100
0.009
122100
0.0049
65712
0.0041
55500
0.0041
55500
0.0038
51800
0.0037
49950
0.0036
48340.5
0.003
40700
0.0022
30136.5
0.0022
30136.5
0.0021
28416
0.0021
28416
0.0019
26159
0.0019
26159
0.0016
21589.5
0.0014
19499
0.0014
18500
0.0014
18500
0.0013
17001.5
0.0005
7400
0
111
0
111
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(%)
1.803
25327400
0.6836
9602320
0.6836
9602320
0.3082
4329330
0.3082
4329330
0.1141
1603200
0.1141
1603200
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(%)
1.7525
23682500
1.7525
23682500
1.2301
16623000
1.2301
16623000
1.2301
16623000
0.9855
13317900
0.5322
7191650
0.5322
7191650
0.3724
5032820
0.3724
5032820
0.2734
3694000
0.2734
3694000
0.2106
2846600
0.2106
2846600
0.205
2770500
0.205
2770500
0.2035
2750570
0.2035
2750570
0.1645
2222350
0.1645
2222350
0.082
1108200
0.082
1108200
0.0612
827604
0.0465
627980
0.0465
627980
0.0384
519376
0.0374
505967
0.0374
505967
0.0373
503825
0.0335
453106
0.0335
453106
0.0335
453106
0.0214
288575
0.0214
288575
0.0089
119833
0.0089
119833
0.006
81175.6
0.006
81175.6
0.0044
59159.4
0.0044
59159.4
0.0004
5467.12
0.0004
5467.12
0.0003
3416.95
0.0003
3416.95
0.0001
1847
0.0001
1847
0
517.16
0
517.16
0
55.41
0
55.41
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(%)
1.3281
17266300
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(%)
1.3999
12647400
0.6873
6209690
0.4242
3832640
0.4242
3832640
0.2125
1919420
0.1682
1519890
0.1682
1519890
0.0249
225336
0.0249
225336
0.0147
133089
0.0147
133089
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0045
40614
0.0042
38040
0.0003
2345.8
0.0003
2345.8
0.0001
1268
0.0001
1268
0
355.04
0
50.72
0
50.72
0
38.04
0
38.04
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(%)
1.1596
10769200
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(%)
1.2069
14535600
1.2069
14535600
0.7405
8918200
0.7405
8918200
0.6913
8325290
0.5457
6571710
0.4016
4836500
0.4016
4836500
0.3301
3975470
0.2649
3189980
0.2649
3189980
0.1939
2335800
0.1939
2335800
0.1804
2172600
0.1804
2172600
0.1276
1536800
0.1276
1536800
0.1107
1333800
0.0613
737766
0.0449
540600
0.0449
540600
0.0353
425000
0.0353
425000
0.0296
357000
0.0296
357000
0.0263
316200
0.0263
316200
0.0263
316200
0.0209
252144
0.0209
252144
0.0198
238000
0.0198
238000
0.0195
234600
0.0195
234600
0.0191
229483
0.0191
229483
0.0138
166600
0.0058
69700
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0045
54451
0.0032
39100
0.0032
39100
0.0031
37400
0.0031
37400
0.0031
37400
0.0022
26775
0.002
23800
0.0006
7616
0.0006
7616
0.0003
3400
0.0003
3400
0.0003
3145
0.0003
3145
0
493
0
51
0
51
0
51
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(%)
3.7886
30484100
2.06
16575000
2.06
16575000
1.9742
15885100
1.9742
15885100
1.8356
14769400
1.8356
14769400
1.0618
8543220
0.8553
6881650
0.7378
5936190
0.2792
2246220
0.2276
1831670
0.2276
1831670
0.2182
1755690
0.2182
1755690
0.1969
1583910
0.1969
1583910
0.0726
584412
0.0578
464675
0.0578
464675
0.0541
435127
0.0444
356893
0.0442
355390
0.0407
327787
0.0407
327787
0.012
96532.8
0.012
96532.8
0.0088
70786.3
0.0088
70786.3
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70786.3
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70786.3
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70786.3
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70786.3
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70786.3
0.0088
70786.3
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70786.3
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0.0088
70786.3
0.0088
70786.3
0.0088
70786.3
0.0088
70786.3
0.0088
70786.3
0.0063
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0.0063
51051
0.0044
35382.1
0.0044
35382.1
0.0043
34807.5
0
66.3
0
66.3
0
22.1
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(%)
0.8717
5799540
0.8717
5799540
0.0092
59992.2
0.0092
59992.2
0.0092
59992.2
0.0092
59992.2
截止日期
2021-09-26
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(%)
0.0092
62266.3
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(%)
2.9843
22426000
1.7246
12960000
1.7246
12960000
0.8623
6480000
0.5749
4320000
0.567
4261030
0.4106
3085780
0.4024
3024000
0.4024
3024000
0.3049
2291180
0.2874
2160000
0.2874
2160000
0.2874
2160000
0.2874
2160000
0.1632
1214190
0.1632
1214190
0.1281
962345
0.1274
957053
0.0653
490903
0.0185
126503
0.0185
126503
0.0092
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56821.2
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0.0092
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0.0092
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0.0092
69184.8
0.0092
69184.8
0.0092
69184.8
0.0092
69184.8
0.0092
69184.8
0.0092
69184.8
0.0092
69184.8
0.0092
56821.2
0.0092
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0.0092
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0.0092
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0.0092
56821.2
0.0092
56821.2
0.0092
69184.8
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69184.8
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56821.2
0.0092
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0.0092
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56821.2
0.0092
69184.8
0.0092
69184.8
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69184.8
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56821.2
0.0092
56821.2
0.0092
69184.8
0.0092
69184.8
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
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56821.2
0.0092
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56821.2
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56821.2
0.0092
56821.2
0.0092
69184.8
0.0092
69184.8
0.0092
69184.8
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0092
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56821.2
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56821.2
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69184.8
0.0092
64380.3
0.0092
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0.0092
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0.0092
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0.0092
69184.8
0.0092
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69184.8
0.0092
56821.2
0.0092
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0.0092
56821.2
0.0092
64380.3
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0092
69184.8
0.0092
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0.0092
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0.0092
56821.2
0.0092
69184.8
0.0092
69184.8
0.0092
69184.8
0.0092
56821.2
0.0092
56821.2
0.0092
64380.3
0.0092
56821.2
0.0092
69184.8
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0092
69184.8
0.0092
69184.8
0.0092
56821.2
0.0092
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0.0092
56821.2
0.0092
56821.2
0.0092
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0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0092
69184.8
0.0092
64380.3
0.0092
56821.2
0.0092
56821.2
0.0092
56821.2
0.0089
54923
0.0087
53503.8
0.0087
53503.8
0.0085
64130.4
0.0085
64130.4
0.0084
52084.6
0.0084
52084.6
0.0083
51144.4
0.0079
59184
0.0079
59184
0.0071
43569.4
0.0071
43569.4
0.0059
36473.4
0.0057
35036.5
0.0054
33156.1
0.0051
31257.9
0.0051
31257.9
0.0046
34581.6
0.0046
34581.6
0.0045
34020
0.0044
27000.3
0.0044
27000.3
0.0024
17668.8
0.0018
13262.4
0.0018
13262.4
0.0018
13219.2
0.0018
13219.2
0.0006
4320
0.0006
4320
0.0003
2354.4
0
64.8
0
64.8
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
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
36450.1
0
34936.6
0
34026.2
0
31590.9
0
31590.9
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