金冠电气

- 688517

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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:
金冠电气(688517)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(%)
0.7415
10011100
0.7415
10011100
0.6472
8737210
0.6472
8737210
0.6388
8623930
0.6388
8623930
0.598
8072970
0.598
8072970
0.4451
6009670
0.4451
6009670
0.3752
5065260
0.3752
5065260
0.2725
3678660
0.2725
3678660
0.2396
3235370
0.2396
3235370
0.2132
2878580
0.2132
2878580
0.2062
2784090
0.2062
2784090
0.2056
2775880
0.2056
2775880
0.1948
2630580
0.1948
2630580
0.1847
2493240
0.1847
2493240
0.1621
2188160
0.1621
2188160
0.1388
1873880
0.1388
1873880
0.1161
1567900
0.0991
1337270
0.0991
1337270
0.0786
1061090
0.0786
1061090
0.0739
997928
0.0739
997928
0.0726
980559
0.0599
808448
0.0599
808448
0.0494
666338
0.049
660969
0.049
660969
0.0421
568440
0.0421
568440
0.0386
521070
0.0355
479005
0.0352
474679
0.0352
474679
0.0351
473716
0.0351
473716
0.0281
378960
0.0281
378960
0.0263
355307
0.0263
355307
0.0231
312389
0.0231
312389
0.0187
252640
0.0187
252640
0.0147
198954
0.0141
190885
0.0141
190885
0.0133
179264
0.0129
173690
0.0112
151584
0.0112
151584
0.011
148426
0.011
148426
0.008
107372
0.008
107372
0.0077
104214
0.0077
104214
0.0077
104214
0.0077
104214
0.007
94740
0.0068
92118.9
0.0068
92118.9
0.0064
86734.5
0.0064
86734.5
0.0062
84318.6
0.0062
84318.6
0.0058
78255.2
0.0058
78255.2
0.0054
72949.8
0.0054
72949.8
0.0053
71055
0.0053
71055
0.0051
69239.1
0.0051
69239.1
0.0044
59417.8
0.0044
59417.8
0.0041
55265
0.0041
55265
0.0037
50528
0.0037
50528
0.0035
47370
0.0035
47117.4
0.0034
45664.7
0.0034
45664.7
0.0034
45664.7
0.0033
44212
0.003
41054
0.003
41054
0.0028
37896
0.0028
37896
0.0028
37896
0.0028
37896
0.0025
33853.8
0.0025
33853.8
0.0025
33159
0.0025
33159
0.0021
28422
0.0021
28422
0.0013
17369
0.0013
17369
0.0007
10058.2
0.0007
10058.2
0.0007
9474
0
394.75
0
394.75
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(%)
2.3161
43231900
2.3161
43231900
2.0225
37751900
2.0225
37751900
1.5969
29808000
1.5969
29808000
0.9333
17420500
0.9333
17420500
0.8958
16720500
0.8942
16691400
0.845
15773200
0.6531
12190600
0.604
11274300
0.604
11274300
0.5627
10502400
0.5627
10502400
0.5174
9658560
0.5174
9658560
0.4909
9162280
0.4909
9162280
0.423
7896440
0.423
7896440
0.4211
7860300
0.4211
7860300
0.3402
6349210
0.3402
6349210
0.3372
6294830
0.3372
6294830
0.3173
5922720
0.3173
5922720
0.2911
5433980
0.2911
5433980
0.2646
4939860
0.2646
4939860
0.2353
4392000
0.2353
4392000
0.2304
4301130
0.2304
4301130
0.2045
3816580
0.2043
3813950
0.1654
3088080
0.161
3005690
0.161
3005690
0.1344
2508780
0.13
2427150
0.1294
2415600
0.1294
2415600
0.126
2351320
0.126
2351320
0.1142
2131130
0.1141
2130120
0.1141
2130120
0.1141
2130120
0.1141
2130120
0.1078
2011540
0.1078
2011540
0.1028
1919440
0.1028
1919440
0.0996
1859810
0.0996
1859810
0.0969
1808710
0.0969
1808710
0.0941
1756800
0.0941
1756800
0.0867
1618520
0.0867
1618520
0.0713
1330730
0.0713
1330730
0.0711
1326380
0.0711
1326380
0.0605
1130040
0.0605
1130040
0.0596
1113370
0.0596
1113370
0.058
1082630
0.058
1082630
0.0571
1065060
0.0571
1065060
0.0571
1065060
0.0571
1065060
0.0526
981766
0.0526
981766
0.0419
782940
0.0419
782940
0.0412
768600
0.0412
768600
0.0358
669143
0.0358
669143
0.0355
663192
0.0355
663192
0.0273
509472
0.0273
509472
0.0228
426024
0.0228
426024
0.0222
414188
0.0222
414188
0.0191
356125
0.0191
356125
0.0176
328587
0.0176
328587
0.0159
297668
0.0159
297668
0.0147
275247
0.0147
275247
0.0121
226781
0.0118
219600
0.0118
219600
0.0072
134527
0.0072
134527
0.0047
87840
0.0045
84809.5
0.0045
84809.5
0.0035
65880
0.0035
65880
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0034
63508.3
0.0016
30744
0.0016
30744
0.0009
16579.8
0.0009
16579.8
0.0003
6017.04
0.0003
6017.04
0.0002
4392
0.0002
4392
0.0001
2766.96
0.0001
2020.32
0.0001
2020.32
0.0001
1690.92
0
549
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(%)
2.7993
44723700
2.7993
44723700
0.6279
10031600
0.6279
10031600
0.6263
10006700
0.6263
10006700
0.1313
2097390
0.1313
2097390
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(%)
0.2288
2208330
0.2288
2208330
0.1801
1738280
0.1801
1738280
0.1354
1307230
0.1354
1307230
0.1161
1120910
0.0793
765142
0.0793
765142
0.0764
737658
0.0764
737658
0.0554
534791
0.0533
514752
0.0533
514752
0.0462
445812
0.0307
296442
0.0283
273646
0.0283
273646
0.0205
197628
0.0205
197628
0.02
193032
0.0195
188390
0.0195
188390
0.0168
162170
0.0168
162170
0.0139
134341
0.0139
134341
0.008
77201.3
0.008
77201.3
0.0062
59748
0.0062
59748
0.0052
50556
0.0052
50556
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0034
33229.1
0.0032
31023
0.0032
31023
0.0001
1057.08
0.0001
1057.08
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(%)
0.6611
6200650
0.0179
168055
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(%)
0.0351
330751
0.0351
330751
0.0198
186217
0.0198
186217
0.0151
142788
0.0151
142788
0.0049
45826.7
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0036
33662.9
0.0001
1070.88
0.0001
1070.88
0
46.56
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(%)
0.0116
53700.7
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0085
39446.9
0.0003
1254.88
0.0003
1254.88
截止日期
2021-11-25
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(%)
0.0089
43871.6
截止日期
2021-10-22
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(%)
0.0089
34328
0.0089
34328
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(%)
0.0087
39987.2
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(%)
0.0089
32101.2
0.0089
38261.2
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(%)
0.0105
46353
0.0105
46353
0.0093
34357
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
34357
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
38695
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
38695
0.0093
38695
0.0093
38695
0.0093
34357
0.0093
34357
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
34357
0.0093
34357
0.0093
34357
0.0093
34357
0.0093
38695
0.0093
34357
0.0093
34357
0.0093
34357
0.0093
34357
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
38695
0.0093
41095.3
0.0093
41095.3
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
34357
0.0093
41095.3
0.0093
34357
0.0093
34357
0.0093
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