九联科技

- 688609

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九联科技(688609)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(%)
0.2594
15665500
0.2594
15665500
0.2431
14681100
0.2072
12515500
0.2072
12515500
0.1417
8557800
0.1417
8557800
0.1415
8548640
0.1415
8548640
0.0765
4618440
0.0537
3243020
0.0537
3243020
0.0325
1964750
0.0325
1964750
0.0325
1964120
0.0325
1964120
0.0242
1459220
0.0242
1459220
0.0185
1118280
0.0185
1118280
0.0133
803779
0.0133
803779
0.0128
774606
0.0128
774606
0.0084
507396
0.0084
507396
0.0018
111510
0.0018
111510
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(%)
1.5238
66130900
0.5581
24222900
0.5581
24222900
0.4621
20056600
0.4621
20056600
0.3625
15730600
0.2805
12172400
0.2805
12172400
0.2617
11355800
0.2617
11355800
0.2129
9240000
0.1303
5655960
0.1286
5582360
0.1255
5447480
0.1255
5447480
0.1025
4449480
0.1025
4449480
0.0882
3828000
0.0882
3828000
0.0819
3556360
0.0819
3556360
0.0778
3377230
0.0778
3377230
0.0741
3213820
0.0741
3213820
0.07
3036000
0.07
3036000
0.0651
2827040
0.0651
2827040
0.0572
2484390
0.0572
2484390
0.0547
2376000
0.0503
2184750
0.0503
2184750
0.0469
2034420
0.0469
2034420
0.046
1996290
0.046
1996290
0.0454
1969270
0.0454
1969270
0.0395
1716000
0.0395
1716000
0.0352
1526690
0.0306
1328490
0.0281
1220800
0.0281
1220800
0.0271
1176280
0.0269
1166960
0.0249
1079510
0.0249
1079510
0.0236
1023630
0.0236
1023630
0.0234
1014430
0.0232
1007990
0.0228
990000
0.0228
990000
0.0196
852548
0.0196
852548
0.0173
750829
0.0173
750829
0.0159
690980
0.0159
690980
0.0143
620400
0.0143
620400
0.0122
528000
0.0122
528000
0.0112
488057
0.0112
488057
0.011
477536
0.011
477536
0.0091
396000
0.0091
396000
0.0065
283840
0.0065
283840
0.0065
281160
0.0058
250325
0.0052
227396
0.0052
227396
0.0049
214130
0.0049
214130
0.0043
187664
0.0037
161344
0.0037
161344
0.0036
156367
0.0036
156367
0.0035
149794
0.0035
149794
0.0033
145279
0.0032
136910
0.0032
136910
0.0032
136910
0.0032
136910
0.0031
136660
0.0031
136660
0.003
130693
0.0018
76560
0.0017
75240
0.0016
68904
0.0016
68904
0.0015
66000
0.0015
66000
0.0015
65736
0.0015
65736
0.0015
64204.8
0.0013
58238.4
0.0011
48866.4
0.001
42240
0.001
42240
0.0009
39613.2
0.0009
37474.8
0.0004
15840
0.0003
14520
0.0003
14520
0.0002
10560
0.0002
6877.2
0.0002
6877.2
0
132
0
132
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(%)
1.8221
71287800
1.1179
43736600
0.713
27894600
0.713
27894600
0.5808
22722700
0.5808
22722700
0.5274
20634800
0.5163
20198300
0.4031
15771100
0.3945
15433900
0.3945
15433900
0.351
13734800
0.2194
8582090
0.2194
8582090
0.2033
7952600
0.2033
7952600
0.179
7002220
0.1556
6086170
0.1556
6086170
0.1228
4803850
0.1228
4803850
0.1138
4450600
0.1138
4450600
0.1089
4260510
0.1074
4201710
0.0917
3586810
0.0917
3586810
0.068
2658690
0.068
2658690
0.0632
2473830
0.0632
2473830
0.0616
2410250
0.0599
2344300
0.0599
2344300
0.0595
2326060
0.0459
1795880
0.0459
1795880
0.0311
1218580
0.0304
1190000
0.0304
1190000
0.0299
1168650
0.0265
1038300
0.0265
1038300
0.0188
735718
0.0188
735718
0.0167
651632
0.0167
651632
0.016
627130
0.016
627130
0.0152
595000
0.0146
572450
0.0146
572450
0.0124
484330
0.0124
484330
0.0116
455770
0.0116
455770
0.0098
384072
0.0098
384072
0.007
273700
0.0045
177227
0.0045
177227
0.0037
142812
0.0032
123427
0.0032
123427
0.0032
123427
0.0032
123427
0.0032
123427
0.0029
113050
0.0029
113050
0.0027
103958
0.0011
44744
0.0004
14280
0.0004
14280
0.0002
9520
0.0002
9520
0
583.1
0
583.1
0
309.4
0
119
0
119
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(%)
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0032
68351.5
0.0002
3420.21
0
659
0
659
0
322.91
0
322.91
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(%)
0.184
4968970
0.0509
1374430
0.0509
1374430
0.0191
516730
0.0191
516730
0.0153
412830
0.0123
331098
0.0123
331098
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0032
86502.5
0.0021
57345.8
0.0021
57345.8
0.0017
45236.2
0.0009
25020
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(%)
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0122
130895
0.0064
68450.9
0.0061
65447.3
0.0061
65447.3
0.0001
908.64
0.0001
908.64
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(%)
0.0122
138051
0.0122
138051
截止日期
2021-08-10
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(%)
0.0128
161699
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(%)
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
179228
0.0128
179228
0.0128
158588
0.0128
158588
0.0128
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0.0128
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0.0128
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0.0128
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0.0128
179228
0.0128
158484
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158484
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158588
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
158588
0.0128
158588
0.012
148741
0.0118
164989
0.0113
139414
0.0113
139414
0.0111
136830
0.0111
136830
0.011
136310
0.011
136310
0.011
152963
0.011
152963
0.0106
147658
0.0106
147658
0.0094
116097
0.0094
115577
0.0094
115577
0.0084
117746
0.0084
117746
0.0082
101587
0.0077
95363.7
0.0076
93299.6
0.0067
82933
0.0064
89614.1
0.0064
89614.1
0.0026
36529.9
0.0026
36529.9
0.0025
35130.2
0.0025
35130.2
0.0022
31155.8
0.0022
31155.8
0.0002
3456
0.0002
3456
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(%)
0.0128
71048.2
0.0128
94488.9
0.0128
71048.2
0.0128
71048.2
0.0128
71048.2
0.0128
71048.2
0.0128
71048.2
0.0128
71048.2
0.0128
71048.2
0.0128
94488.9
0.0128
94488.9
0.0128
71048.2
0.0128
71048.2
0.0113
62458.3
0.0113
62458.3
0.011
61067.8
0.011
61067.8
截止日期
2021-03-16
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
41384.3
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