昀冢科技

- 688260

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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:
昀冢科技(688260)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(%)
0.7989
14855900
0.7989
14855900
0.1014
1885610
0.1014
1885610
0.0771
1434480
0.0771
1434480
0.0294
546000
0.0294
546000
0.0146
270598
0.0146
270598
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(%)
1.8004
37159700
1.4409
29739500
1.4409
29739500
1.394
28771900
1.1498
23730500
1.1227
23171700
1.0792
22273000
1.0792
22273000
0.9067
18712700
0.9067
18712700
0.8339
17212100
0.8042
16598600
0.8042
16598600
0.7763
16021700
0.5485
11320600
0.5485
11320600
0.4906
10126600
0.4906
10126600
0.3931
8114250
0.3931
8114250
0.3802
7847310
0.3757
7754220
0.3757
7754220
0.3757
7754220
0.3377
6969000
0.3377
6969000
0.3067
6329370
0.3067
6329370
0.2997
6185380
0.2585
5334530
0.2008
4145100
0.1881
3881400
0.1881
3881400
0.1791
3696270
0.1791
3696270
0.1588
3277700
0.1588
3277700
0.1474
3041570
0.1374
2834990
0.1206
2488390
0.1206
2488390
0.1168
2411580
0.1168
2411580
0.1052
2170420
0.1052
2170420
0.1028
2121000
0.1028
2121000
0.0914
1886050
0.0914
1886050
0.0742
1531940
0.0733
1512580
0.0733
1512580
0.0723
1492430
0.0723
1492430
0.069
1425100
0.0688
1419710
0.0688
1419710
0.0645
1331810
0.0645
1331810
0.0643
1326870
0.0643
1326870
0.0643
1326870
0.0623
1286080
0.0605
1247780
0.0605
1247780
0.0594
1225270
0.0594
1225270
0.0533
1100100
0.0533
1100100
0.0504
1039290
0.0504
1039290
0.049
1011900
0.049
1011900
0.0458
946178
0.0458
946178
0.044
909000
0.044
909000
0.0346
715141
0.0346
715141
0.0333
687174
0.0333
687174
0.033
681992
0.033
681992
0.0317
653874
0.0317
653874
0.0279
575700
0.0279
575700
0.0278
572882
0.0278
572882
0.0261
537674
0.0261
537674
0.024
495587
0.024
495587
0.0233
480164
0.0233
480164
0.0213
439350
0.0213
439350
0.0196
403808
0.0176
363600
0.0176
363600
0.015
309060
0.015
309060
0.0147
303000
0.0147
303000
0.0126
260580
0.0116
239976
0.0095
196950
0.0075
155621
0.0075
155621
0.0068
140774
0.0068
140774
0.0044
90597
0.0037
75810.6
0.0037
75810.6
0.0034
70205.1
0.0034
70205.1
0.0029
60600
0.0012
24240
0.0012
24240
0.0001
3030
0.0001
3030
0
90.9
0
90.9
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(%)
1.8004
22541100
1.5223
19059300
1.4675
18372300
0.8339
10440900
0.8042
10068700
0.8042
10068700
0.7763
9718770
0.3067
3839400
0.3067
3839400
0.2619
3279070
0.2619
3279070
0.1898
2375630
0.1187
1485580
0.069
864467
0.0565
707226
0.0565
707226
0.0145
181962
0.0103
128660
0.0103
128660
0.0075
94399.7
0.0075
94399.7
0.0066
82985.7
0.0066
82985.7
0.0049
61867.1
0.0049
61867.1
0.0048
60654
0.0044
54956.2
0.0044
54956.2
0.0044
54956.2
0.0044
54956.2
0.0017
20751
0.0017
20751
0.0001
1838
0.0001
1838
0.0001
1654.2
0.0001
1654.2
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(%)
1.841
17059100
1.1557
10708900
1.1557
10708900
1.1408
10571300
1.1408
10571300
1.0897
10097700
0.8527
7901640
0.8223
7620040
0.8223
7620040
0.7938
7355180
0.4576
4240020
0.4576
4240020
0.3682
3412290
0.3136
2905660
0.3136
2905660
0.194
1797880
0.0706
654229
0.0515
477113
0.0432
400608
0.0432
400608
0.0302
280203
0.0302
280203
0.0284
262899
0.0284
262899
0.0254
235482
0.0254
235482
0.0237
219778
0.0237
219778
0.0181
167977
0.0105
97370
0.0105
97370
0.0077
71441.8
0.0077
71441.8
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0045
41590.9
0.0038
34928
0.0037
33856.9
0.0037
33856.9
0.0034
31186.2
0.0034
31186.2
0.0005
4173
0.0005
4173
0.0004
3394.04
0.0004
3394.04
0.0002
1391
0.0002
1391
0.0001
1251.9
0.0001
1251.9
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(%)
0.3266
3520570
0.3266
3520570
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(%)
0.9111
9759550
0.9111
9759550
0.7757
8309690
0.7757
8309690
0.194
2078360
0.1354
1449890
0.0173
185499
0.0173
185499
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0045
48079.2
0.0003
3055.2
0.0001
1447.2
0.0001
1447.2
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(%)
3.6087
17134400
0.0344
163268
0.0344
163268
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
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0.0105
49813.4
0.0105
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0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0105
49813.4
0.0007
3165.4
0.0003
1499.4
0.0003
1499.4
0.0001
249.9
0
49.98
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(%)
0.011
50740.3
0.011
50740.3
0.011
50740.3
0.011
50740.3
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(%)
0.0733
428800
0.011
49065.9
0.011
49065.9
0.011
58095.7
0.011
49065.9
0.011
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0.011
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0.011
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0.011
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0.011
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0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
58095.7
0.011
58095.7
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
58095.7
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
58095.7
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
64105.6
0.011
64105.6
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
64105.6
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
58095.7
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.011
49065.9
0.0102
59410.2
0.0102
59410.2
0.01
44651.6
0.0093
41697.8
0.0082
36791.2
0.0071
31884.6
0.0004
2144
0.0004
2144
0.0004
2079.68
0.0003
1929.6
0.0003
1929.6
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
28793.7
0
28793.7
0
28793.7
0
28793.7
0
28793.7
0
28793.7
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