威腾电气

- 688226

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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:
威腾电气(688226)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(%)
1.1686
15701600
1.1686
15701600
0.5715
7678140
0.5715
7678140
0.4719
6340000
0.4719
6340000
0.2395
3218440
0.2395
3218440
0.1416
1902950
0.1416
1902950
0.118
1585000
0.092
1236300
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(%)
3.6051
57108900
3.6051
57108900
1.9772
31320800
1.9772
31320800
1.5832
25080700
1.1054
17510200
0.9183
14546600
0.9033
14309100
0.9033
14309100
0.7614
12061000
0.7614
12061000
0.7521
11914500
0.7521
11914500
0.6122
9698540
0.6122
9698540
0.5934
9400000
0.5934
9400000
0.5225
8276890
0.5225
8276890
0.4724
7483510
0.4724
7483510
0.356
5640000
0.356
5640000
0.3523
5580370
0.3523
5580370
0.2976
4714800
0.2976
4714800
0.2972
4707520
0.2972
4707520
0.2972
4707520
0.2918
4621920
0.2351
3724280
0.2351
3724280
0.2153
3410400
0.2153
3410400
0.1908
3022780
0.1908
3022780
0.18
2850720
0.18
2850720
0.1714
2714950
0.1714
2714950
0.1627
2577650
0.1627
2577650
0.1529
2422620
0.1529
2422620
0.1424
2256000
0.1268
2008650
0.1268
2008650
0.1187
1880000
0.1187
1880000
0.1118
1770960
0.1118
1770960
0.1076
1705310
0.1058
1675310
0.1058
1675310
0.1041
1648950
0.1041
1648950
0.1025
1624320
0.1025
1624320
0.0955
1513400
0.0955
1513400
0.0949
1504000
0.0926
1467360
0.0926
1467360
0.0911
1443050
0.0823
1304020
0.0823
1304020
0.0776
1229650
0.0776
1229650
0.0761
1205080
0.0761
1205080
0.0759
1201560
0.0759
1201560
0.0756
1197750
0.0756
1197750
0.0612
970080
0.0612
970080
0.0611
967335
0.0611
967335
0.0482
764126
0.0459
727203
0.0459
726846
0.0415
657248
0.0415
657248
0.0409
648205
0.0387
613124
0.0387
613124
0.0323
511416
0.0301
477445
0.0301
477445
0.0291
460224
0.0291
460224
0.0275
435408
0.0275
435408
0.0268
424880
0.0261
413299
0.0256
406080
0.0256
406080
0.025
396680
0.0247
391905
0.0247
391905
0.0241
382016
0.0241
382016
0.0233
368800
0.0233
368800
0.022
348026
0.0197
312080
0.0197
312080
0.0192
304240
0.0192
304240
0.0185
293280
0.0185
293280
0.018
285760
0.018
285760
0.0178
281248
0.0152
241279
0.0152
241279
0.0151
238760
0.0151
238760
0.0147
233120
0.0147
233120
0.013
205597
0.013
205597
0.0087
137240
0.0087
137240
0.0083
131769
0.0082
129476
0.0082
129476
0.0081
127840
0.0081
127840
0.0075
119136
0.0075
119136
0.0075
118854
0.0075
118854
0.0069
109040
0.0066
104603
0.0066
104603
0.0057
90240
0.0057
90240
0.0051
80840
0.0051
80840
0.0049
77963.6
0.0045
71440
0.0045
71440
0.0045
71270.8
0.0045
71270.8
0.004
63920
0.004
63920
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.0032
50628.4
0.003
47150.4
0.003
47150.4
0.003
47000
0.0027
42995.6
0.0027
42995.6
0.0024
38013.6
0.0024
38013.6
0.002
31960
0.0019
29591.2
0.0019
29591.2
0.0018
28294
0.0018
28294
0.0017
26827.6
0.0017
26827.6
0.0016
25455.2
0.0016
25455.2
0.0015
24440
0.0015
24440
0.0012
18800
0.0012
18800
0.001
16299.6
0.001
16186.8
0.001
16186.8
0.0005
7520
0.0005
7520
0.0004
6711.6
0.0004
5640
0.0004
5640
0.0001
1767.2
0.0001
1767.2
0
507.6
0
507.6
0
225.6
0
225.6
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(%)
2.334
33295600
2.334
33295600
0.9854
14057700
0.9854
14057700
0.122
1740400
0.122
1740400
0.0293
418171
0.0293
418171
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(%)
4.378
79282400
4.378
79282400
1.4608
26454000
1.4608
26454000
1.259
22800000
1.1719
21223200
1.1719
21223200
1.0046
18192000
1.0046
18192000
0.9698
17561800
0.9468
17145200
0.9468
17145200
0.8421
15250000
0.8421
15250000
0.6811
12335000
0.6811
12335000
0.6165
11164000
0.6165
11164000
0.5886
10658800
0.5886
10658800
0.5195
9407260
0.5195
9407260
0.482
8728000
0.346
6266090
0.346
6266090
0.3258
5900280
0.3258
5900280
0.2892
5236800
0.2892
5236800
0.2841
5145640
0.2841
5145640
0.2618
4740420
0.2007
3634560
0.2007
3634560
0.1833
3319830
0.1833
3319830
0.1772
3209570
0.1772
3209570
0.1737
3144870
0.1689
3058510
0.1678
3038060
0.1678
3038060
0.1651
2989340
0.1651
2989340
0.1518
2749320
0.1518
2749320
0.1515
2744320
0.1515
2744320
0.1416
2564940
0.1416
2564940
0.1414
2560230
0.1414
2560230
0.1277
2311720
0.1265
2291100
0.1265
2291100
0.1205
2182000
0.1205
2182000
0.1205
2182000
0.0896
1622600
0.0896
1622600
0.0843
1527400
0.0843
1527400
0.0843
1527400
0.0843
1527400
0.0843
1527400
0.0724
1311320
0.0724
1311320
0.0723
1309200
0.0723
1309200
0.0714
1292530
0.0714
1292530
0.0713
1291740
0.0713
1291740
0.0612
1108390
0.0612
1108390
0.0508
920651
0.0508
920651
0.0482
872800
0.0482
872800
0.0482
872800
0.0465
842470
0.0465
842470
0.0323
584034
0.0323
584034
0.0271
490950
0.0271
490950
0.0254
460860
0.0254
460860
0.0251
454860
0.0251
454860
0.0227
410500
0.0227
410500
0.0209
378250
0.017
307989
0.016
290097
0.016
290097
0.0151
273688
0.0129
233932
0.0113
205108
0.0113
205108
0.0112
202751
0.0112
202751
0.0106
192671
0.0106
192671
0.0104
188874
0.0104
188874
0.0075
135153
0.0075
135153
0.0064
115253
0.0064
115253
0.0056
101812
0.0056
101812
0.0055
100241
0.0055
100241
0.005
91120.3
0.005
91120.3
0.0047
85316.2
0.0047
85316.2
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0032
58761.3
0.0028
50186
0.0028
50186
0.002
37094
0.002
37094
0.0016
28191.4
0.0016
28191.4
0.0012
21820
0.0008
14401.2
0.0008
14401.2
0.0006
11150
0.0006
11150
0.0005
8728
0.0005
8728
0.0005
8531.62
0.0005
8531.62
0.0003
5084.06
0.0003
5084.06
0.0002
4385.82
0.0002
4385.82
0.0002
4364
0.0001
1876.52
0.0001
1876.52
0
261.84
0
261.84
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(%)
2.2325
39281300
2.2325
39281300
0.3081
5421460
0.1615
2841750
0.0602
1060000
0.0602
1060000
0.0301
530000
0.0301
530000
0.0169
296800
0.0169
296800
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(%)
2.8411
62273400
2.8411
62273400
2.0314
44526500
2.0314
44526500
2.0222
44324700
2.0222
44324700
1.8099
39672300
1.8099
39672300
1.2935
28351500
1.2935
28351500
1.0803
23678400
1.0803
23678400
1.0374
22739700
1.0374
22739700
0.9056
19849600
0.8554
18750000
0.8554
18750000
0.6933
15195900
0.6933
15195900
0.6788
14879300
0.6788
14879300
0.6735
14762100
0.6167
13517000
0.5038
11042700
0.4736
10380300
0.4707
10317500
0.4579
10037800
0.4579
10037800
0.3408
7471000
0.3408
7471000
0.2968
6505520
0.2558
5607510
0.2519
5521060
0.2519
5521060
0.2381
5218390
0.2381
5218390
0.2264
4962040
0.2121
4648440
0.1841
4034590
0.1647
3610700
0.1577
3455820
0.1368
2999470
0.1282
2809450
0.1147
2514530
0.1147
2514530
0.11
2411140
0.11
2411140
0.1071
2347830
0.1071
2347830
0.1008
2209780
0.1008
2209780
0.0866
1898730
0.0866
1898730
0.0614
1344800
0.0483
1058700
0.0483
1058700
0.0458
1003320
0.0408
893444
0.0408
893444
0.0379
831287
0.0379
831287
0.0323
708022
0.0323
708022
0.0289
634100
0.0289
634100
0.0263
576853
0.0263
576853
0.0257
563067
0.0184
404404
0.0184
404404
0.018
393900
0.0179
391983
0.0157
343087
0.0157
343087
0.0111
244218
0.0111
244218
0.0093
203541
0.0093
203541
0.0081
176730
0.0081
176730
0.0077
168064
0.0074
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0.0074
162812
0.0067
147056
0.0067
147056
0.0034
73528
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0.0032
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0.0032
70718.2
0.0019
42016
0.0019
42016
0
52.52
0
52.52
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(%)
2.9053
36764000
2.9053
36764000
0.0469
593863
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(%)
0.0366
159821
0.0077
33527.9
0.0077
33527.9
0.0077
33527.9
0.0077
33527.9
0.0077
33527.9
0.0077
33527.9
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33527.9
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33527.9
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33527.9
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33527.9
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33527.9
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33527.9
0.0077
33527.9
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33527.9
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0.0077
33527.9
0.0077
33527.9
0.0077
33527.9
0.0077
33527.9
0
24.9
0
24.9
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(%)
0.4751
2397550
0.4751
2397550
0.0085
42441.7
0.0085
42441.7
0.0085
42441.7
0.0085
42441.7
0.0085
42441.7
0.0085
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0.0085
42441.7
0.0085
42441.7
0.0085
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0.0085
42441.7
0.0085
42441.7
0.0085
42441.7
0.0085
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0.0085
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0.0085
42441.7
0.0085
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0.0085
42441.7
0.0085
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0.0085
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0.0085
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0.0085
42441.7
0.0085
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0.0085
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0.0085
42441.7
0.0085
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0.0085
42441.7
0.0085
42441.7
0.0085
42441.7
0.0085
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0.0085
42441.7
0.0085
42441.7
0.0085
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0.0085
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0.0085
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0.0085
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0.0085
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0.0085
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0.0085
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0.0085
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0.0085
42441.7
0.0085
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0.0085
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0.0085
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0.0085
42441.7
0.0085
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0.0085
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0.0085
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0.0085
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0.0085
42791.8
0.0085
42441.7
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