青云科技

- 688316

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青云科技(688316)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(%)
0.1459
2714620
0.1459
2714620
0.1353
2517930
0.1336
2486230
0.1189
2212000
0.0527
981420
0.0527
981420
0.0458
853137
0.0458
853137
0.0334
621480
0.0334
621480
0.0313
582586
0.0313
582586
0.0278
517900
0.0242
450107
0.0129
239684
0.0128
238027
0.0121
225908
0.0121
225908
0.0112
207937
0.0111
207160
0.0111
207160
0.007
129475
0.007
129475
0.0058
107412
0.0058
107412
0.0055
101923
0.004
73956.1
0.004
73956.1
0.004
73956.1
0.004
73956.1
0.004
73956.1
0.004
73956.1
0.0009
17297.9
0.0003
5955.85
0.0003
5179
0.0003
5179
0.0003
4920.05
0.0003
4764.68
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(%)
1.2311
24714100
1.2311
24714100
0.0237
474895
截止日期
2023-09-27
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(%)
0.0237
460700
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(%)
1.265
22566500
1.265
22566500
0.6111
10902200
0.6111
10902200
0.2789
4975970
0.167
2979000
0.1047
1867440
0.0889
1586760
0.0624
1112810
0.0357
637258
0.0357
637258
0.0332
593119
0.0276
492776
0.0161
287970
0.0161
287970
0.0083
148950
0.0083
148950
0.0067
119160
0.0067
119160
0.0061
109230
0.0061
109230
0.004
70900.2
0.004
70900.2
0.004
70900.2
0.004
70900.2
0.004
70900.2
0.004
70900.2
0.004
70900.2
0.0028
49650
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(%)
0.2466
5803280
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(%)
0.8172
8078980
0.8172
8078980
0.5692
5627190
0.4424
4373250
0.4424
4373250
0.2509
2480090
0.248
2451260
0.248
2451260
0.1958
1935430
0.1876
1854130
0.1876
1854130
0.1714
1694400
0.1714
1694400
0.1634
1615330
0.1634
1615330
0.1248
1233610
0.1248
1233610
0.0426
420776
0.0426
420776
0.0388
384064
0.0388
384064
0.024
237216
0.024
237216
0.0041
40326.7
0.0041
40326.7
0.0041
40326.7
0.0041
40326.7
0.0041
40326.7
0.0041
40326.7
0.0041
40326.7
0.0041
40326.7
0.0041
40326.7
0.0041
40326.7
0.0029
28240
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(%)
1.333
16827400
1.144
14441100
0.3271
4128980
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0041
51493.7
0.0029
36060
0.0017
22068.7
0.0017
22068.7
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(%)
4.4057
25187800
4.0934
23402500
1.4679
8391950
1.4679
8391950
1.2648
7230730
1.0129
5791020
1.0044
5742330
0.4863
2780120
0.0871
498140
0.0526
300900
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0125
71614.2
0.0114
65245.1
0.0114
65245.1
0.0109
62035.6
0.0109
62035.6
0.007
39768.9
0.007
39768.9
0.0067
38164.1
0.0067
38164.1
0.0063
35807.1
0.0063
35807.1
0.0053
30240.4
0.0032
18405.1
0.0023
13239.6
0.001
5566.65
0.001
5566.65
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(%)
0.012
77366.1
截止日期
2021-08-02
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(%)
0.0132
95533.2
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(%)
8.3063
64350000
8.3063
64350000
5.5083
42673100
4.3068
33356200
3.6917
28600000
3.6917
28600000
2.445
18942000
1.1034
8548540
1.0856
8410540
0.751
5818100
0.6548
5072570
0.3797
2932300
0.194
1502930
0.194
1502930
0.057
441870
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
102102
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
102102
0.0132
92791.4
0.0132
92791.4
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
102102
0.0132
102102
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
102102
0.0132
92820
0.0132
102102
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
102102
0.0132
92820
0.0132
92791.4
0.0132
92820
0.0132
92820
0.0132
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0.0132
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0.0132
102102
0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
92791.4
0.0132
102102
0.0132
92820
0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
92820
0.0132
92791.4
0.0132
92791.4
0.0132
92820
0.0132
102102
0.0132
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0.0132
102102
0.0132
102102
0.0132
102102
0.0132
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0.0132
102102
0.0132
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0.0132
92791.4
0.0132
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0.0132
92820
0.0132
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0.0132
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0.0132
102102
0.0132
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102102
0.0132
102102
0.0132
102102
0.0132
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0.0132
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102102
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102102
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0.0132
102102
0.0132
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0.0132
92820
0.0132
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0.0132
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0.0132
102102
0.0132
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0.0132
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0.0132
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102102
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102102
0.0132
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0.0132
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0.0132
92820
0.0132
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0.0132
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0.0132
102102
0.0132
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0.0132
102102
0.0132
92820
0.0132
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0.0132
92820
0.0132
92820
0.0132
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0.0132
102102
0.0132
92820
0.0132
102102
0.0132
92791.4
0.0132
92820
0.0132
92820
0.0132
92820
0.0132
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0.0132
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0.0132
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0.0132
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0.0132
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0.0132
102102
0.0132
92820
0.0132
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0.0132
92791.4
0.0132
92791.4
0.0132
92791.4
0.0132
92820
0.0132
92820
0.0132
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0.0132
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0.0132
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0.0132
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92791.4
0.0132
102102
0.0132
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0.0132
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102102
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0.0132
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0.0132
92820
0.0132
102102
0.0132
102102
0.0132
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0.0132
102102
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0.0132
102102
0.0132
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0.0129
90740
0.0129
90712.1
0.0129
90712.1
0.0129
90712.1
0.0129
90740
0.0129
90740
0.0126
88632.7
0.0126
88660
0.0126
97526
0.0123
86645
0.0123
86645
0.012
84565
0.012
84565
0.012
84565
0.012
84565
0.0117
82485
0.0117
82485
0.0117
90733.5
0.0117
90733.5
0.0117
82485
0.0114
80405
0.0114
80405
0.0114
80405
0.0111
78390
0.0111
86229
0.0111
86229
0.0111
78390
0.0111
78390
0.0108
76310
0.0105
74230
0.0105
74230
0.0105
74230
0.0102
72150
0.01
70135
0.01
70135
0.01
70135
0.0088
61880
0.0088
61880
0.0085
59781.6
0.0085
59781.6
0.0085
59781.6
0.0085
59800
0.0085
59800
0.0085
59800
0.0082
57702.2
0.0082
57702.2
0.0082
57720
0.0082
57702.2
0.0079
55705
0.0076
53625
0.0076
53625
0.0076
58987.5
0.0076
58987.5
0.0073
56699.5
0.0073
51545
0.0073
51545
0.0073
56699.5
0.0073
51545
0.0073
51545
0.007
49465
0.007
49465
0.007
49465
0.007
49465
0.007
49465
0.0067
52195
0.0067
47450
0.0067
47450
0.0067
47450
0.0066
51051
0.0066
51051
0.0064
45370
0.0064
45370
0.0059
41275
0.0056
39195
0.0047
33020
0.0044
30940
0.0024
18876
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(%)
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
78197.3
0.0132
80310.7
0.0126
74692.6
0.0117
69490.4
0.0088
52131.5
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