锐明技术

- 002970

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-  -

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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:
锐明技术(002970)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(%)
0.0209
951596
0.0209
951596
0.0188
856700
0.0188
856700
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(%)
0.7625
40329300
0.7625
40329300
0.253
13379600
0.253
13379600
0.1844
9752350
0.1844
9752350
0.0889
4701700
0.0889
4701700
0.0873
4620270
0.0873
4620270
0.0723
3823190
0.0723
3823190
0.0585
3094670
0.0531
2806940
0.0509
2690620
0.0509
2690620
0.0509
2690620
0.0464
2451860
0.0399
2112090
0.0399
2112090
0.0373
1974340
0.0373
1974340
0.0373
1974340
0.0373
1974340
0.0359
1900880
0.0359
1900880
0.0288
1524380
0.0288
1524380
0.0212
1120330
0.0212
1120330
0.0193
1019310
0.0193
1019310
0.0184
973398
0.0184
973398
0.0174
918300
0.0174
918300
0.0133
704030
0.0133
704030
0.0091
483638
0.0091
483638
0.0078
413235
0.0078
413235
0.0073
385686
0.0072
382625
0.0072
382625
0.0068
358137
0.0062
327527
0.0062
327527
0.0055
290795
0.0049
257124
0.0045
238758
0.0045
238758
0.0045
235697
0.0043
226514
0.0043
226514
0.0039
205087
0.0037
195904
0.0037
195904
0.0036
192843
0.0036
192843
0.0035
186721
0.0035
186721
0.0034
180599
0.0034
180599
0.0034
180599
0.0027
143867
0.0027
143867
0.0027
143867
0.0024
128562
0.0024
128562
0.0021
110196
0.0021
110196
0.0019
101013
0.0019
101013
0.0019
97952
0.0019
97952
0.0017
88769
0.0016
82647
0.0016
82647
0.0012
61220
0.0012
61220
0.0011
58159
0.001
55098
0.001
55098
0.001
55098
0.0009
48976
0.0008
39793
0.0008
39793
0.0006
33671
0.0006
30610
0.0006
30610
0.0006
30610
0.0006
30610
0.0006
30610
0.0006
30610
0.0006
30610
0.0006
30610
0.0005
27549
0.0005
27549
0.0002
9183
0.0001
6122
0.0001
6122
0.0001
3061
0.0001
3061
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(%)
0.0133
702190
0.0133
702190
0.0087
461003
0.0087
461003
0.0043
228975
0.0043
228975
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(%)
1.0268
55873300
1.0268
55873300
0.5134
27937900
0.5134
27937900
0.2742
14920000
0.2719
14794000
0.2719
14794000
0.2265
12325200
0.2265
12325200
0.199
10828400
0.199
10828400
0.1915
10421300
0.1915
10421300
0.1382
7519810
0.1382
7519810
0.1001
5444620
0.1001
5444620
0.0852
4638480
0.0852
4638480
0.0709
3857520
0.0709
3857520
0.0659
3583560
0.0659
3583560
0.0642
3492240
0.0642
3492240
0.0628
3419810
0.0628
3419810
0.0465
2531800
0.0423
2301920
0.0405
2204300
0.0405
2204300
0.0341
1857910
0.0338
1839020
0.0338
1839020
0.0289
1574500
0.0231
1259600
0.0226
1231260
0.0226
1231260
0.0128
695929
0.0128
695929
0.0119
645545
0.0119
645545
0.01
541628
0.01
541628
0.0079
428264
0.0079
428264
0.0068
371582
0.0063
340092
0.0061
330645
0.0061
330645
0.0058
314900
0.0056
305453
0.0052
283410
0.0052
283410
0.0045
242473
0.004
217281
0.004
217281
0.0038
207834
0.0038
207834
0.0035
192089
0.0035
192089
0.0034
185791
0.0027
144854
0.0027
144854
0.0027
144854
0.0021
113364
0.0017
91321
0.0017
91321
0.0013
72427
0.0013
72427
0.0013
69278
0.0013
69278
0.001
53533
0.001
53533
0.0009
50384
0.0009
50384
0.0009
47235
0.0009
47235
0.0009
47235
0.0009
47235
0.0009
47235
0.0006
34639
0.0006
34639
0.0003
18894
0.0002
12596
0.0002
12596
0.0002
12596
0.0002
12596
0.0002
12596
0.0001
3149
0.0001
3149
截止日期
2023-06-11
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(%)
0.0064
329670
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(%)
0.1473
4914400
0.1473
4914400
0.05
1668380
0.05
1668380
0.0481
1606590
0.0369
1230050
0.0369
1230050
0.0292
975155
0.0292
975155
0.021
700953
0.0155
515577
0.0155
515577
0.0145
482750
0.0145
482750
0.0145
482750
0.0145
482750
0.0099
330201
0.0098
326339
0.0098
326339
0.0096
320546
0.0096
320546
0.0087
291581
0.0083
278064
0.0083
278064
0.0076
253637
0.0056
187307
0.0049
164135
0.0049
164135
0.0047
156411
0.0047
156411
0.0046
152549
0.0039
129377
0.0039
129377
0.0014
46344
0.0014
46344
0.0007
23172
0.0007
23172
0.0001
1931
0.0001
1931
0.0001
1931
0.0001
1931
0.0001
1931
0.0001
1931
0.0001
1931
0.0001
1931
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(%)
0.1655
4306430
0.0888
2310850
0.059
1536800
0.059
1536800
0.053
1378600
0.053
1378600
0.0468
1217580
0.0468
1217580
0.0355
923775
0.0347
904000
0.03
781790
0.0298
776875
0.017
443525
0.0131
341825
0.0113
293800
0.0107
279675
0.0107
279675
0.0098
254250
0.0093
241114
0.0075
194925
0.0067
175150
0.0067
175150
0.0065
169500
0.0031
81925
0.0031
81925
0.0029
76275
0.0016
42375
0.0016
42375
0.0007
16950
0.0007
16950
0.0004
11300
0.0001
2090.5
0.0001
2090.5
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(%)
0.2714
10290000
0.2714
10290000
0.266
10088300
0.1655
6274430
0.1152
4368100
0.0617
2337890
0.0576
2185600
0.0468
1774000
0.0468
1774000
0.0437
1658750
0.0437
1658750
0.0355
1345930
0.0346
1313000
0.0346
1313000
0.0326
1234800
0.0326
1234800
0.03
1139060
0.0297
1127780
0.0236
893172
0.023
872592
0.023
872592
0.0227
860244
0.0227
860244
0.0227
860244
0.0226
856128
0.0225
852012
0.0213
806736
0.0213
806736
0.0212
802620
0.0207
786156
0.0202
765576
0.0202
765576
0.0179
679140
0.0179
679140
0.0171
650328
0.0164
621516
0.0151
572124
0.0151
572124
0.0144
547428
0.0144
547428
0.0144
547428
0.0129
489804
0.0129
489804
0.0126
477456
0.0126
477456
0.0113
428064
0.0113
428064
0.0107
407484
0.0101
384229
0.0091
345744
0.0084
316932
0.0082
312816
0.0072
271656
0.0072
271656
0.0053
201684
0.005
189336
0.0034
127596
0.0034
127596
0.0025
94668
0.0017
65856
0.0017
65856
0.0012
45276
0.0012
45276
0.0011
41160
0.0011
41160
0.0005
20580
0.0003
12348
0.0003
12348
0.0002
8232
0.0002
8232
0.0001
3045.84
0.0001
3045.84
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(%)
0.1427
5628200
0.1427
5628200
0.0977
3852000
0.0977
3852000
0.0506
1994480
0.0506
1994480
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(%)
1.3025
52092000
0.5427
21705000
0.5214
20854200
0.3833
15330200
0.2817
11264900
0.2817
11264900
0.2805
11217500
0.1145
4579760
0.1145
4579760
0.1104
4416580
0.1104
4416580
0.1085
4341000
0.1085
4341000
0.1082
4329060
0.108
4319300
0.108
4317860
0.099
3958470
0.07
2799940
0.07
2799940
0.0526
2105380
0.0506
2022910
0.0506
2022910
0.0452
1805860
0.0452
1805860
0.0392
1567100
0.0308
1232840
0.0287
1146020
0.0287
1146020
0.0265
1059200
0.0264
1054860
0.0259
1037500
0.0251
1002770
0.0203
811767
0.0203
811767
0.0185
737970
0.0185
737970
0.0184
736841
0.0184
736841
0.0168
672855
0.0111
442782
0.0102
408054
0.0093
373326
0.0093
373326
0.0092
368985
0.0092
368985
0.0027
108525
0.0017
68327.3
0.0017
68327.3
0.0017
68327.3
0.0016
65115
0.0015
60774
0.0013
52092
0.001
39069
0.001
39069
0.0009
34728
0.0009
34728
0.0004
17364
0.0001
3212.34
0.0001
3212.34
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(%)
0.2095
9781740
0.2095
9781740
0.1059
4943920
0.0319
1489700
0.0008
35469
0.0008
35469
截止日期
2020-12-31
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(%)
1.4473
70682300
1.3025
63612000
0.8683
42408000
0.6925
33822000
0.6925
33822000
0.6513
31806000
0.6513
31806000
0.5593
27313700
0.4793
23406500
0.4793
23406500
0.3311
16172000
0.3311
16172000
0.2751
13433100
0.131
6398310
0.1085
5301000
0.1085
5301000
0.0999
4876920
0.0751
3668290
0.0734
3583480
0.0709
3461550
0.0709
3461550
0.0697
3403240
0.0658
3212410
0.0658
3212410
0.057
2781750
0.0557
2719410
0.0557
2719410
0.0461
2252920
0.0461
2252920
0.0385
1881860
0.0271
1325250
0.0271
1325250
0.0254
1240430
0.0254
1240430
0.0253
1235130
0.0253
1235130
0.0214
1044300
0.0185
901170
0.0185
901170
0.0184
899792
0.0184
899792
0.0171
837558
0.0107
524799
0.009
439983
0.0084
408177
0.0084
408177
0.0077
376371
0.0072
349866
0.0072
349866
0.0071
344565
0.0071
344565
0.0069
339264
0.0069
339264
0.0066
323361
0.0066
323361
0.0063
307458
0.0059
286254
0.0049
238545
0.0049
238545
0.0045
217341
0.0042
206739
0.0042
206739
0.0033
159030
0.0033
159030
0.003
148428
0.0022
106020
0.0022
106020
0.0017
83437.7
0.0017
83437.7
0.0017
83437.7
0.0017
83437.7
0.0017
83437.7
0.0013
63612
0.0011
53010
0.001
47709
0.0007
31806
0.0005
26505
0.0005
26505
0.0004
21204
0.0003
15903
0.0003
15903
0.0003
15903
0.0003
15903
0.0003
15903
0.0003
15903
0.0003
15903
0.0001
5301
0.0001
5301
0.0001
3922.74
0.0001
3922.74
截止日期
2020-11-18
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(%)
0.0009
28120
0.0009
28120
0.0009
28120
截止日期
2020-11-10
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(%)
0.0167
501120
0.0167
501120
0.0167
501120
截止日期
2020-06-30
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(%)
3.5082
103558000
2.8705
84733600
2.3146
68324500
2.1764
64245400
1.9345
57104700
1.34
39556100
1.2731
37581500
0.8884
26225100
0.8884
26225100
0.856
25268400
0.705
20810900
0.705
20810900
0.6798
20065500
0.3472
10249500
0.3472
10249500
0.3056
9019560
0.2549
7523130
0.2549
7523130
0.2315
6833000
0.2097
6190700
0.1829
5398070
0.1799
5309240
0.1727
5097420
0.169
4988090
0.1447
4270620
0.1204
3553160
0.1178
3478130
0.1157
3416500
0.1157
3416500
0.1093
3225180
0.1062
3133890
0.1062
3133890
0.0942
2781030
0.0917
2705870
0.0764
2254890
0.0764
2254890
0.0754
2225780
0.0741
2186560
0.0741
2186560
0.074
2184780
0.074
2184780
0.0725
2138730
0.0694
2049900
0.0694
2049900
0.0655
1934010
0.0655
1934010
0.0648
1913240
0.0639
1885910
0.0541
1597150
0.0509
1503260
0.0465
1371660
0.0454
1339270
0.0454
1339270
0.0389
1147940
0.0389
1147940
0.038
1120610
0.038
1120610
0.0366
1079610
0.0366
1079610
0.0347
1024950
0.0338
997618
0.0338
997618
0.0278
819960
0.0229
676467
0.0229
676467
0.0229
676467
0.0215
635469
0.015
444145
0.0139
409980
0.013
382648
0.013
382648
0.0123
362149
0.0123
362149
0.0111
327984
0.009
266487
0.009
266487
0.0083
245988
0.0069
204990
0.0056
163992
0.0049
143493
0.0049
143493
0.0046
136660
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0036
107551
0.0032
95662
0.0032
93885.4
0.0027
78579.5
0.0027
78579.5
0.0012
34165
0.0012
34165
0.0012
34165
0.0012
34165
0.0012
34165
0.0005
13666
0.0005
13666
0.0004
11889.4
0.0002
6833
截止日期
2020-03-31
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(%)
0.3796
8023700
0.3796
8023700
0.0884
1868940
截止日期
2019-12-31
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(%)
1.0115
26783800
0.9746
25806300
0.9746
25806300
0.9266
24536300
0.3726
9866900
0.3726
9866900
0.3023
8003530
0.3023
8003530
0.2977
7882290
0.2685
7108630
0.2322
6149110
0.2081
5509070
0.2009
5318810
0.1819
4817790
0.1802
4771080
0.1782
4719720
0.1444
3824810
0.1296
3432520
0.1157
3064750
0.1111
2942160
0.1062
2811230
0.1062
2811230
0.0843
2231140
0.075
1985960
0.075
1985960
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