菱电电控

- 688667

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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:
菱电电控(688667)项目:基金持股
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(%)
1.3882
28076200
0.0194
392895
0.0194
392895
0.0037
74663.2
0.0037
74663.2
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(%)
0.8792
20562800
0.0301
704410
0.0301
704410
0.0082
191197
0.0082
191197
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(%)
3.014
98608900
3.014
98608900
1.0487
34311700
1.0487
34311700
1.0078
32971300
0.9743
31875600
0.9714
31783100
0.9714
31783100
0.9477
31005400
0.8969
29343800
0.7734
25302300
0.7734
25302300
0.7159
23423800
0.7159
23423800
0.6557
21452800
0.6557
21452800
0.5963
19509200
0.5884
19251500
0.5884
19251500
0.5825
19056200
0.5587
18278200
0.5205
17028000
0.4954
16207900
0.4954
16207900
0.4284
14014500
0.3728
12195500
0.3728
12195500
0.3699
12102900
0.3601
11782500
0.3601
11782500
0.3571
11683100
0.3455
11302200
0.3199
10464700
0.3199
10464700
0.2756
9016480
0.2649
8665800
0.2609
8536970
0.2609
8536970
0.2583
8451180
0.2398
7844280
0.2398
7844280
0.2302
7530720
0.2277
7450860
0.2259
7389910
0.2259
7389910
0.2222
7270750
0.2222
7270750
0.2219
7259630
0.2219
7259630
0.2212
7237100
0.2207
7221500
0.2207
7221500
0.2186
7152750
0.1942
6354780
0.1942
6354780
0.1733
5670180
0.1733
5670180
0.169
5528350
0.169
5528350
0.163
5334520
0.163
5334520
0.162
5301590
0.137
4483830
0.1324
4331020
0.132
4317880
0.132
4317880
0.1271
4159150
0.1271
4159150
0.1161
3799660
0.1161
3799660
0.1113
3640360
0.1113
3640360
0.1074
3515280
0.1074
3515280
0.0883
2888600
0.0883
2888600
0.0883
2888600
0.0883
2888600
0.0881
2882100
0.0765
2502540
0.0671
2195190
0.0671
2195190
0.0662
2166450
0.0662
2166450
0.0644
2106510
0.0644
2106510
0.0553
1809270
0.0541
1768550
0.0541
1768550
0.053
1732730
0.053
1732730
0.0523
1709910
0.0523
1709910
0.0502
1642170
0.0502
1642170
0.0494
1616170
0.0486
1588730
0.0467
1529220
0.0467
1529220
0.0457
1495570
0.0457
1495570
0.0441
1444300
0.0441
1444300
0.0441
1444300
0.0441
1444300
0.0441
1444300
0.0441
1444300
0.0441
1444300
0.0441
1444300
0.0437
1429860
0.0437
1429860
0.0396
1295830
0.0396
1295830
0.0389
1271710
0.0356
1163960
0.0356
1163960
0.0336
1098250
0.0336
1098250
0.0305
996567
0.0305
996567
0.0301
985301
0.0298
974325
0.0256
837116
0.0221
722150
0.0221
722150
0.0221
722150
0.0215
704385
0.0208
680410
0.0208
680410
0.0205
671455
0.0205
671455
0.0181
592741
0.0181
592741
0.0175
573098
0.0173
564577
0.0153
501750
0.0153
501750
0.0153
501750
0.0142
466076
0.0139
453366
0.0139
453366
0.0124
405993
0.0124
405993
0.0091
296948
0.0091
296948
0.0088
288860
0.0088
288860
0.0082
267484
0.0082
267484
0.0073
240332
0.0073
240332
0.0057
187759
0.0057
187759
0.0057
187759
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0053
172016
0.0052
168983
0.0052
168983
0.0044
144430
0.0043
139953
0.0043
139953
0.0038
123921
0.0038
123921
0.0035
115544
0.0035
115544
0.0022
71781.7
0.0022
71781.7
0.002
65715.6
0.002
65715.6
0.0019
61238.3
0.0019
61238.3
0.0015
49106.2
0.0015
49106.2
0.0014
44195.6
0.0014
44195.6
0.0012
38707.2
0.0012
38707.2
0.001
32352.3
0.001
32352.3
0.001
32352.3
0.001
32352.3
0.001
32352.3
0.0009
28886
0.0009
28886
0.0005
15887.3
0.0005
15887.3
0.0005
15020.7
0.0005
15020.7
0.0004
13287.6
0.0004
13287.6
0.0001
4621.76
0.0001
4621.76
截止日期
2022-03-31
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(%)
0.5162
15377000
0.5162
15377000
0.3241
9655260
0.3241
9655260
0.2424
7219350
0.0713
2123720
0.0256
762700
0.0079
236700
0.0018
52600
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(%)
3.6251
77193300
3.6251
77193300
3.0476
64896100
3.0476
64896100
2.7848
59300500
2.7848
59300500
2.4262
51663600
2.2784
48517700
2.0786
44263400
2.0786
44263400
2.0278
43180000
1.8425
39234400
1.8425
39234400
1.7942
38205400
1.6933
36058700
1.6933
36058700
1.371
29194600
1.0776
22946400
0.8815
18770400
0.8815
18770400
0.8774
18683300
0.8074
17192300
0.8073
17191900
0.7882
16784600
0.7358
15667700
0.7358
15667700
0.5806
12364200
0.5806
12364200
0.5558
11836200
0.5558
11836200
0.5543
11803300
0.5534
11784900
0.5514
11740600
0.5514
11740600
0.5133
10930800
0.4768
10153600
0.4756
10128600
0.4651
9903960
0.4448
9472040
0.4448
9472040
0.4205
8954380
0.4205
8954380
0.4174
8888960
0.4174
8888960
0.3805
8102930
0.3805
8102930
0.3459
7366640
0.2286
4866850
0.2157
4592960
0.2007
4273620
0.1784
3797970
0.1784
3797970
0.1684
3585370
0.1603
3414420
0.1492
3176860
0.1492
3176860
0.1438
3061170
0.1213
2582250
0.1213
2582250
0.1079
2298550
0.1076
2290280
0.1076
2290280
0.1012
2156010
0.0927
1974900
0.0927
1974900
0.0897
1910860
0.0897
1910860
0.0754
1605470
0.0754
1605470
0.0674
1434530
0.0647
1377200
0.0629
1338640
0.0629
1338640
0.053
1128790
0.053
1128790
0.0509
1083340
0.0509
1083340
0.0501
1067330
0.0434
924446
0.0404
860750
0.0404
860750
0.0382
812548
0.0381
810999
0.0284
605279
0.0247
525918
0.0202
429342
0.0168
357211
0.0162
344300
0.0162
344300
0.0143
304361
0.0143
304361
0.0129
275440
0.0129
275440
0.0129
275440
0.0129
275440
0.0129
275440
0.0101
214843
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0096
205031
0.0091
194530
0.0078
166813
0.0078
166813
0.0076
161993
0.0076
161993
0.0073
154935
0.0069
147705
0.0069
147705
0.0047
100019
0.0034
71442.2
0.0034
71442.2
0.0028
60252.5
0.0018
38561.6
0.0018
38561.6
0.0018
38561.6
0.0018
38561.6
0.0018
38561.6
0.0016
34430
0
344.3
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(%)
3.0411
39625300
2.7662
36043700
2.3795
31004600
1.3398
17457500
1.2105
15772000
1.2105
15772000
1.1052
14400500
0.9975
12997900
0.4893
6375410
0.2977
3878620
0.2911
3793140
0.2504
3262350
0.2504
3262350
0.2442
3181270
0.1
1302630
0.1
1302630
0.0901
1174360
0.0884
1151580
0.033
429479
0.0188
237691
0.0188
237691
0.0188
244772
0.0188
244772
0.0127
165015
0.0127
165015
0.0127
165015
0.0127
165015
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
131022
0.0101
123650
0.0101
123650
0.0101
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0.0101
123650
0.0101
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0.0101
123721
0.0101
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0.0101
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0.0101
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0.0101
123650
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0.0101
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123650
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123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
131022
0.0101
131022
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
131022
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
131022
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0101
123721
0.0098
120743
0.0098
120812
0.0096
117904
0.0096
117904
0.0094
115099
0.0094
115099
0.0094
115099
0.0091
112126
0.0091
112126
0.0091
112190
0.0089
109282
0.0086
106373
0.0086
106373
0.0082
100602
0.0079
97751.1
0.0079
97694.6
0.0079
97694.6
0.0079
97751.1
0.0079
103519
0.0079
103519
0.0077
94946.3
0.0077
94946.3
0.0075
92037.7
0.0072
89129
0.0072
89129
0.0072
89129
0.0072
89129
0.0072
89129
0.007
91748.3
0.007
91748.3
0.007
86324.3
0.007
86324.3
0.007
86324.3
0.0068
83415.6
0.0065
80507
0.0063
77598.4
0.0063
77598.4
0.0063
77598.4
0.0063
77598.4
0.0063
77598.4
0.0061
74793.6
0.0061
79207.2
0.0061
74750.4
0.0061
74750.4
0.0058
71885
0.0056
73046.6
0.0056
73046.6
0.0051
63262.9
0.0051
63262.9
0.0051
63262.9
0.0051
63262.9
0.0049
64025.8
0.0049
60354.3
0.0049
63915.8
0.0049
63915.8
0.0047
57549.5
0.0047
57549.5
0.0047
57549.5
0.0047
57549.5
0.0047
57549.5
0.0044
54640.9
0.0044
54640.9
0.0042
51732.2
0.0042
51732.2
0.0042
51732.2
0.0042
51702.4
0.004
48823.6
0.0037
46018.8
0.0035
43110.2
0.0035
43110.2
0.0035
43110.2
0.0033
40201.6
0.0033
40201.6
0.0023
28774.8
0.0023
28774.8
0.0023
28774.8
0.0023
28774.8
0.0019
24642.2
0.0019
24642.2
0.0019
24642.2
0.0019
24642.2
0.0019
24642.2
0.0017
22002
0.0017
22002
0.0008
11001
0.0008
11001
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(%)
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
133666
0.0101
153675
0.0101
153675
0.0101
133666
0.0101
133666
0.0098
130523
0.0089
118066
0.0072
96293.3
0.0072
96293.3
0.0051
68348.1
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