英方软件

- 688435

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英方软件(688435)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(%)
0.0341
594080
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(%)
4.3451
38418000
2.4058
21271200
2.2046
19492700
1.314
11618200
1.1081
9797710
1.107
9788010
0.8718
7707980
0.8718
7707980
0.8129
7187590
0.7623
6739660
0.5153
4555750
0.5004
4424760
0.5004
4424760
0.4859
4296160
0.4859
4296160
0.4693
4149500
0.4693
4149500
0.4375
3868110
0.4375
3868110
0.3757
3321880
0.3757
3321880
0.2717
2402390
0.2717
2402390
0.26
2299010
0.2493
2204410
0.2493
2204410
0.2132
1885270
0.2132
1885270
0.1757
1553540
0.1757
1553540
0.1629
1440600
0.16
1414380
0.16
1414380
0.1471
1300860
0.1471
1300860
0.141
1246260
0.141
1246260
0.1171
1035410
0.1163
1027870
0.1163
1027870
0.0972
859702
0.0949
838861
0.0949
838861
0.0886
783638
0.0886
783638
0.0869
768320
0.0673
594632
0.0673
594632
0.0638
564283
0.0638
564283
0.0599
529372
0.0599
529372
0.0429
379598
0.0429
379598
0.0416
367929
0.0416
367929
0.0315
278516
0.0315
278516
0.0296
261949
0.0296
261949
0.0292
258108
0.0292
258108
0.0251
222333
0.0251
222333
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0148
130999
0.0129
114096
0.011
97240.5
0.01
88741
0.01
88741
0.0091
80289.4
0.0091
80289.4
0.0081
71741.9
0.0065
57047.8
0.0065
57047.8
0.0055
48644.3
0.0036
31501.1
0.0036
31501.1
0.0034
30444.7
0.0017
14790.2
0.0014
12533.2
0.0011
9604
0.0011
9604
0.0011
9604
0.0011
9604
0.0007
6146.56
0.0007
6146.56
0
384.16
0
384.16
0
384.16
0
288.12
0
288.12
0
96.04
0
96.04
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(%)
3.2089
36319100
0.0099
112490
0.0099
112490
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(%)
7.8301
104895000
3.2922
44103200
2.9972
40151800
2.8778
38551800
2.8778
38551800
2.464
33009000
1.5175
20329100
1.4853
19897600
1.4853
19897600
1.4299
19156100
1.4299
19156100
1.1507
15415300
1.0684
14312600
0.9617
12883400
0.9617
12883400
0.9536
12774700
0.9111
12205600
0.9111
12205600
0.8827
11824500
0.8827
11824500
0.7362
9862920
0.7142
9567730
0.699
9363410
0.699
9363410
0.5681
7610240
0.5681
7610240
0.5252
7035980
0.5252
7035980
0.4957
6640340
0.4819
6455640
0.4819
6455640
0.4606
6170040
0.4606
6170040
0.4572
6125170
0.4572
6125170
0.4312
5776000
0.4312
5776000
0.406
5439520
0.406
5439520
0.3033
4062510
0.3033
4062510
0.2838
3802000
0.2838
3802000
0.2471
3310630
0.2471
3310630
0.2468
3306450
0.2326
3115820
0.2003
2683910
0.2003
2683910
0.1923
2576460
0.1923
2576460
0.1215
1627260
0.1215
1627260
0.1016
1361340
0.0757
1014750
0.0703
942288
0.0703
942288
0.0558
747093
0.0435
582618
0.0435
582618
0.0423
567334
0.0423
567334
0.0412
551290
0.0395
529543
0.0395
529543
0.0234
314121
0.0234
314121
0.0174
232758
0.0174
232758
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
198926
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
198926
0.0155
198926
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
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0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
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199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
207437
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
207437
0.0155
199226
0.0155
207437
0.0155
207437
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0155
199226
0.0154
205916
0.0154
205916
0.015
192799
0.015
192799
0.015
192799
0.0147
197400
0.0145
186373
0.0145
186373
0.0142
190708
0.0142
190708
0.014
179675
0.014
179675
0.014
179946
0.014
179946
0.0135
180671
0.0127
163879
0.0127
163879
0.0125
160666
0.0125
160666
0.0125
167288
0.0125
167288
0.0117
151026
0.0115
147813
0.0115
147813
0.0112
144599
0.0112
144599
0.011
141386
0.011
141386
0.0105
134959
0.0105
134959
0.0102
131746
0.0095
122106
0.0095
122106
0.0092
118893
0.0092
118893
0.0092
118893
0.009
115680
0.009
115680
0.0087
112466
0.0087
112466
0.0085
113604
0.0082
106040
0.0082
106040
0.0072
93186.3
0.0072
93186.3
0.0067
90335.5
0.0067
86759.6
0.0037
49882.2
0.0037
49882.2
0
608.32
0
608.32
0
608.32
0
152.08
0
152.08
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(%)
2.8382
58708100
2.7798
57498800
2.7798
57498800
1.5711
32497300
0.4819
9967870
0.4819
9967870
0.3406
7044600
0.3406
7044600
0.2349
4858310
0.2349
4858310
0.1127
2332000
0.0155
251003
0.0155
251003
0.0155
299834
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
320294
0.0155
320294
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
251003
0.0155
251003
0.015
242906
0.015
242906
0.0102
165986
0.0092
149792
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