龙利得

- 300883

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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:
龙利得(300883)项目:基金持股
截止日期
2024-06-30
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(%)
0.0725
1060880
0.0725
1060880
0.0574
840501
0.0574
840501
0.0399
583317
0.0399
583317
0.039
570627
0.039
570627
0.0354
518598
0.0333
486873
0.0333
486873
0.0267
391275
0.0212
310482
0.0212
310482
0.0175
256761
0.0172
251262
0.0172
251262
0.0152
222075
0.0152
222075
0.0151
221652
0.0151
221652
0.0107
156933
0.0107
156933
0.0088
129015
0.0088
129015
0.0085
124362
0.0085
124362
0.0067
98136
0.0067
98136
0.0029
42300
0.0029
42300
0.0028
40608
0.0016
23265
0.0016
23265
0.0008
10998
0.0006
9306
0.0006
9306
0.0003
5076
0.0003
5076
0.0003
4653
0.0003
4653
0.0002
2538
0.0002
2538
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(%)
0.022
560070
0.0189
481425
0.0087
221970
0.0079
200655
0.006
152145
0.006
152145
0.0059
149940
0.0059
149940
0.0059
149940
0.0059
149940
0.0028
72030
0.0028
72030
0.0026
65495.9
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(%)
0.2532
3744330
0.2532
3744330
0.2228
3294320
0.2228
3294320
0.0419
619000
0.0419
619000
0.0343
507580
0.0343
507580
0.0056
82327
0.0056
82327
0.0037
55159.1
0.0034
50758
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(%)
0.4097
5814070
0.0345
490050
0.0345
490050
0.0049
68904
0.0049
68904
0.0037
52931.3
0.0037
52931.3
0.0037
52931.3
0.0037
52931.3
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(%)
0.0204
336517
0.0041
67027
0.0037
61575
0.0037
61575
0.0037
61575
0.0037
61575
0.0037
61575
0.0037
61575
0.0037
61575
0.0037
61575
0.0037
61575
0.0037
61575
0.0037
61575
0.0022
35932
0.0003
4837
0
76.01
0
76.01
0
76.01
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(%)
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0037
76099.9
0.0004
8540
0
93.94
0
93.94
0
93.94
0
93.94
0
93.94
0
93.94
0
93.94
0
93.94
0
93.94
0
93.94
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(%)
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0103
108536
0.0013
13398
0.0006
6090
0.0001
1218
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
0
133.98
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(%)
0.0103
116645
0.0103
116645
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(%)
0.0111
128052
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
132774
0.0109
132774
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
132774
0.0109
132774
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
132774
0.0109
125200
0.0109
132774
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0109
125200
0.0108
124750
0.0105
120718
0.0105
120718
0.0096
117874
0.0096
117874
0.0048
58273.9
0.0048
58273.9
0
163.9
0
163.9
0
163.9
0
163.9
0
163.9
0
163.9
0
163.9
0
163.9
0
163.9
0
163.9
截止日期
2020-09-30
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(%)
0.0109
116467
0.0109
116467
0.0109
116467
0.0109
116467
0.0109
116467
0.0109
116467
0.0109
116467
0.0109
116467
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