鸿泉技术

- 688288

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鸿泉技术(688288)项目:基金持股
截止日期
2025-09-30
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(%)
0.2707
8038720
0.2707
8038720
0.0223
663425
0.0223
663425
截止日期
2025-06-30
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(%)
0.5356
15636700
0.3279
9572230
0.3279
9572230
0.3163
9235940
0.3163
9235940
0.3163
9235940
0.3163
9235940
0.2402
7011720
0.2402
7011720
0.2262
6604820
0.2262
6604820
0.2254
6580630
0.2254
6580630
0.198
5780790
0.1631
4761530
0.1631
4761530
0.1444
4215100
0.1444
4215100
0.1383
4036510
0.1383
4036510
0.1316
3841620
0.1316
3841620
0.0962
2807960
0.0954
2784960
0.0911
2660740
0.0911
2660740
0.082
2393790
0.082
2393790
0.0805
2349810
0.0805
2349810
0.0623
1820410
0.0623
1820410
0.0596
1740600
0.0596
1740600
0.0499
1458270
0.0496
1449220
0.0467
1363470
0.0467
1363470
0.0441
1288040
0.0441
1288040
0.0411
1199040
0.0411
1199040
0.0404
1180710
0.0404
1180710
0.0397
1160400
0.0397
1160400
0.0388
1131390
0.0388
1131390
0.0381
1111080
0.0381
1111080
0.0373
1088800
0.0373
1088800
0.036
1051150
0.036
1051150
0.036
1049670
0.0314
916716
0.0298
868966
0.0283
825625
0.028
816951
0.0259
757451
0.025
728905
0.0248
724728
0.0244
712486
0.0236
690438
0.0228
665170
0.0228
665170
0.0217
632418
0.0217
632418
0.0215
626616
0.0215
626616
0.0213
622410
0.0213
622410
0.0202
588903
0.0202
588903
0.0199
580200
0.0197
574398
0.0197
574398
0.0196
571004
0.0196
571004
0.0188
548289
0.0181
529171
0.0181
527982
0.0181
527982
0.018
526967
0.018
526967
0.0178
519917
0.0171
498508
0.0127
371328
0.0127
371328
0.0123
359724
0.0123
359724
0.0121
353632
0.0121
353632
0.0119
347859
0.0116
338808
0.0116
338083
0.0115
335356
0.0112
327813
0.0112
327813
0.011
321808
0.011
321808
0.0107
312322
0.0107
312322
0.0099
290100
0.0099
290100
0.0094
275595
0.0094
275595
0.0094
274435
0.0093
270228
0.009
262570
0.009
262570
0.0089
259843
0.0089
259843
0.0085
249486
0.0081
237882
0.0081
237882
0.008
234981
0.008
234981
0.0078
229179
0.0078
229179
0.0066
191466
0.0066
191466
0.0064
185664
0.0064
185664
0.0064
185490
0.0064
185490
0.0063
182763
0.0063
182763
0.006
175394
0.0059
171217
0.0054
158598
0.0054
158598
0.0054
156654
0.0054
156654
0.0053
154217
0.0053
154217
0.0052
150852
0.0052
150852
0.0051
147719
0.0051
147719
0.005
145050
0.005
145050
0.0049
142149
0.0049
142149
0.0046
133446
0.0045
131299
0.0045
131299
0.0044
129124
0.0044
129124
0.0042
123757
0.0042
123757
0.0042
121842
0.0042
121842
0.0038
111195
0.0038
111195
0.0033
95733
0.0029
84129
0.0029
83577.8
0.0028
81373
0.0028
81228
0.0028
81228
0.0027
78327
0.0027
78327
0.0027
78327
0.0026
75426
0.0026
75426
0.0026
75426
0.0025
72525
0.0025
72525
0.0025
72525
0.0025
72525
0.0024
71335.6
0.0024
71335.6
0.0024
69624
0.0024
69624
0.0024
69624
0.0024
68811.7
0.0024
68811.7
0.0022
64982.4
0.0022
64982.4
0.0022
63822
0.0022
63822
0.0022
63793
0.0021
60514.9
0.0021
60514.9
0.002
58020
0.002
58020
0.0019
56163.4
0.0019
56163.4
0.0019
55119
0.0019
55119
0.0019
55119
0.0019
55119
0.0019
55119
0.0019
55119
0.0019
55119
0.0019
55119
0.0015
43515
0.0015
43515
0.0013
38467.3
0.0013
38467.3
0.0012
35479.2
0.0012
35479.2
0.0011
31911
0.0011
31243.8
0.0011
31243.8
0.0011
30692.6
0.0011
30692.6
0.001
29010
0.0009
26167
0.0008
23208
0.0008
23208
0.0008
23208
0.0008
23208
0.0008
22250.7
0.0008
22250.7
0.0007
19552.7
0.0007
19552.7
0.0006
17406
0.0006
17406
0.0006
17406
0.0005
14505
0.0005
14505
0.0005
13576.7
0.0005
13576.7
0.0004
11604
0.0004
11604
0.0002
5802
0.0002
5802
0.0002
5802
0.0002
5802
0.0001
1682.58
0.0001
1682.58
0
1334.46
0
1334.46
截止日期
2025-03-31
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(%)
0.3498
12730600
0.3498
12730600
0.3498
12730600
0.2321
8445890
0.2321
8445890
0.2123
7724750
0.1428
5197390
0.1428
5197390
0.1391
5064060
0.1192
4339200
0.067
2436970
0.067
2436970
0.0664
2417910
0.0639
2323820
0.0596
2169600
0.0596
2169600
0.0424
1544760
0.0174
632800
0.0174
632800
0.014
510073
0.014
510073
0.0117
425205
0.0117
425205
0.0011
38944.3
0.0011
38944.3
截止日期
2024-12-31
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(%)
0.4805
7785960
0.4805
7785960
0.0894
1449000
0.0421
682640
0.0421
682640
0.0192
311342
0.0192
311342
0.0178
288190
0.0178
288190
0.0121
196420
0.0121
196420
0.0099
161000
0.0099
161000
0.0096
156170
0.0096
156170
0.0093
151340
0.0089
144208
0.0089
144208
0.0074
120396
0.0074
120396
0.0074
120396
0.007
113537
0.007
113537
0.0037
59570
0.0035
55963.6
0.0035
55963.6
0.003
48300
0.003
48300
0.0028
45321.5
0.0028
45321.5
0.0022
36176.7
0.0022
36176.7
0.0015
24504.2
0.0015
24504.2
0.0012
19320
0.0012
19320
0.001
16100
0.001
16100
0.001
16100
0.0007
11270
0.0007
11270
0.0005
8050
0.0005
8050
0.0002
3220
0.0002
3220
0.0002
3220
0.0002
3220
0
16.1
0
16.1
截止日期
2024-09-30
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(%)
0.149
2362500
截止日期
2024-06-30
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(%)
0.0897
1406700
0.0678
1063730
0.0678
1063730
0.014
218820
0.014
218820
0.0125
195875
0.0029
46030.4
0.0029
46030.4
0.0014
21882
0.0014
21882
0.0013
20319
0.0013
20319
0.0012
18756
0.0001
953.43
0.0001
953.43
0.0001
953.43
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(%)
0.0035
55814.8
0.0035
55814.8
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(%)
1.0365
24712000
0.4588
10938400
0.4588
10938400
0.3836
9144770
0.3836
9144770
0.3066
7309880
0.3066
7309880
0.2977
7096540
0.2977
7096540
0.1789
4264280
0.1789
4264280
0.1717
4094390
0.0835
1990920
0.0835
1990920
0.0676
1610930
0.0676
1610930
0.0659
1570350
0.0632
1505880
0.0632
1505880
0.0588
1402360
0.0588
1402360
0.0519
1237750
0.0519
1237750
0.0449
1069980
0.0395
942488
0.0395
942488
0.0212
504971
0.0212
504971
0.0196
468072
0.0196
468072
0.0163
389664
0.0163
389664
0.0161
383890
0.0161
383890
0.014
334778
0.014
334778
0.0115
275283
0.0115
275283
0.0106
251856
0.0106
251856
0.0101
239976
0.0101
239976
0.0101
239691
0.0101
239691
0.0083
197208
0.0083
197208
0.0065
156151
0.0065
156151
0.0052
124621
0.0052
124621
0.0048
114048
0.0043
101384
0.0041
97416
0.0041
97416
0.004
95040
0.004
95040
0.0038
90359.3
0.0038
90359.3
0.003
71280
0.003
71280
0.0026
61776
0.0026
61776
0.0024
57024
0.0024
57024
0.0023
54077.8
0.0023
54077.8
0.0022
52272
0.0022
52272
0.0018
42934.3
0.0018
42934.3
0.0013
30888
0.0013
30888
0.001
23760
0.001
23760
0.001
23760
0.001
23760
0.0009
21384
0.0009
21384
0.0006
14256
0.0006
14256
0.0006
14256
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(%)
0.4897
12491600
0.4897
12491600
0.4776
12183400
0.4776
12183400
0.3995
10191500
0.3995
10191500
0.3737
9531660
0.3737
9531660
0.1291
3293420
0.1291
3293420
0.1072
2734940
0.1072
2734940
0.081
2066720
0.081
2066720
0.0737
1880750
0.0737
1880750
0.0679
1730800
0.0649
1654690
0.0649
1654690
0.0598
1526550
0.0598
1526550
0.058
1478200
0.058
1478200
0.0467
1190490
0.0386
983754
0.0386
983754
0.0337
859196
0.0309
788833
0.0309
788833
0.0249
635500
0.022
560587
0.022
560587
0.02
510688
0.02
510688
0.0196
501028
0.0196
501028
0.0157
400619
0.0143
364345
0.0143
364345
0.0133
338086
0.0133
338086
0.0093
236406
0.0093
236406
0.0069
175398
0.0049
124558
0.0037
94714.9
0.0034
86428
0.0034
86428
0.0033
83886
0.0033
83886
0.0033
83886
0.0027
68634
0.0027
68634
0.0017
43214
0.0017
43214
0.001
25420
0.001
25420
0.0006
15252
0.0001
3177.5
0.0001
3177.5
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(%)
0.0001
1368
0.0001
1368
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(%)
0.0929
1582540
0.0929
1582540
0.0046
78108
0.0046
78108
0.0034
58224.4
0.0034
58224.4
0.0025
42450
0.0002
3124.32
0.0002
3124.32
0.0001
967.86
0.0001
967.86
0
526.38
0
526.38
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(%)
0.0852
1022770
0.0595
714735
0.0595
714735
0.0535
642218
0.0535
642218
0.0178
213944
0.01
120234
0.0093
111975
0.0093
111952
0.0074
88491
0.0065
77804
0.0062
74877
0.0013
15406.5
0.0013
15406.5
0.0005
6262.44
0.0005
6262.44
截止日期
2022-06-13
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(%)
0.0065
78867
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(%)
0.1435
3047870
0.133
2824330
0.0686
1458010
0.0472
1003500
0.0472
1003500
0.0441
937108
0.0441
937108
0.0434
921695
0.0434
921695
0.0359
762660
0.0359
762660
0.035
742590
0.035
742590
0.0345
733599
0.028
594072
0.0161
341551
0.0141
299766
0.0102
216033
0.0083
176616
0.0065
137640
0.0053
112392
0.0023
48168
0.0013
27255.1
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(%)
0.5233
12867600
0.4359
10718200
0.4359
10718200
0.4264
10486200
0.4217
10370100
0.4217
10370100
0.3981
9789310
0.3981
9789310
0.329
8090300
0.2346
5767810
0.2346
5767810
0.2143
5269020
0.2143
5269020
0.1935
4759000
0.1935
4759000
0.1534
3771840
0.1486
3653770
0.0953
2344430
0.085
2089630
0.0763
1875470
0.0763
1875470
0.0581
1427700
0.054
1327760
0.054
1327760
0.0535
1316100
0.0535
1316100
0.0535
1316010
0.0413
1015950
0.0387
951800
0.0387
951800
0.0325
798227
0.0325
798227
0.0279
685296
0.0267
656742
0.0264
649080
0.0244
599634
0.0243
598159
0.0243
598159
0.019
466382
0.0182
447346
0.0182
447346
0.0147
361684
0.0137
337984
0.0137
337984
0.0066
163186
0.0058
142770
0.0058
142770
0.0053
129254
0.0053
129254
0.0043
104698
0.0039
95180
0.0014
33313
0.0014
33313
0.0013
32313.6
0.001
23937.8
0.001
23795
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(%)
0.6192
11705900
0.6192
11705900
0.1871
3537480
0.1749
3306040
0.1749
3306040
截止日期
2020-12-31
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(%)
0.1948
3833000
0.1568
3083990
0.0889
1748500
0.0889
1748500
0.0067
131434
0.0067
131434
0.0067
131434
0.0013
26026.1
0.001
19280
0.0001
1111.57
截止日期
2020-09-30
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(%)
0.0141
125220
截止日期
2020-06-30
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(%)
2.8771
26405600
1.048
9618410
1.0359
9507200
1.0359
9507200
1.0353
9501800
0.8864
8135700
0.495
4543110
0.4917
4512490
0.4706
4319000
0.4547
4173580
0.3765
3455200
0.3294
3023300
0.3294
3023300
0.2353
2159500
0.2353
2159500
0.208
1909000
0.1882
1727600
0.1882
1727600
0.1882
1727600
0.1533
1407260
0.1355
1243570
0.1355
1243570
0.1225
1124670
0.122
1119660
0.122
1119660
0.0924
848338
0.0441
404820
0.0376
345520
0.0376
345520
0.0334
306649
0.0313
287559
0.0282
259140
0.0282
259140
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.0161
148099
0.016
146846
0.0068
62323.2
0.0032
29498.8
0.0032
29498.8
0.0032
29326
0.0005
4319
0.0005
4319
0.0001
1252.51
截止日期
2020-03-31
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(%)
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
0.0168
99886.8
截止日期
2019-12-31
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(%)
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
110139
0.0168
98755.2
0.0168
98755.2
0.0168
98755.2
0.0168
98755.2
0.0168
98755.2
0.0168
98755.2
0.0168
98755.2
0.0168
98755.2
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
98755.2
0.0168
98755.2
0.0168
97555
0.0168
110139
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
110139
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
110139
0.0168
97555
0.0168
110139
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
110139
0.0168
110139
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
110139
0.0168
110139
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
98755.2
0.0168
97555
0.0168
110139
0.0168
97555
0.0168
110139
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
110139
0.0168
110139
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
98755.2
0.0168
97555
0.0168
98755.2
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
97555
0.0168
110139
0.0168
97555
0.0163
94311.8
0.014
81310.1
0.0034
21938
0.0034
21938
0.0033
21809.5
0.0009
5781.6
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