中辰股份

- 300933

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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:
中辰股份(300933)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(%)
2.1996
34441600
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(%)
2.0479
45432800
0.3671
8143060
0.3056
6779430
0.3056
6779430
0.0604
1340010
0.0604
1340010
0.0157
348705
0.0157
348705
0.0113
250425
0.011
243810
0.0099
219240
0.0099
219240
0.0038
84105
0.0037
82215
0.0037
82215
0.0033
73710
0.003
66150
0.0026
56700
0.0026
56700
0.0017
37800
0.0017
37800
0.0016
35910
0.0005
10508.4
0.0005
10508.4
0.0005
10508.4
0.0005
10508.4
0.0005
10508.4
0.0005
10508.4
0.0005
10508.4
0.0005
10508.4
0.0004
9450
0.0004
9450
0.0003
7389.9
0.0003
7389.9
0.0003
6615
0
113.4
0
113.4
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(%)
0.0557
1007160
0.0557
1007160
0.0377
682220
0.0377
682220
0.0263
475090
0.0263
475090
0.0072
130130
0.0072
130130
0.006
108570
0.0005
8600.9
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0.0005
8562.4
0
200.2
0
200.2
0
92.4
0
92.4
0
92.4
0
92.4
0
92.4
0
92.4
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(%)
0.0342
596688
0.0342
596688
0.0077
134664
0.0077
134664
0.0047
82710.5
0.0047
82710.5
0.0047
82710.5
0.0047
82710.5
0.0047
82710.5
0.0047
82710.5
0.0047
82710.5
0.0047
82710.5
0.0005
8310.48
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0.0005
8273.28
0
193.44
0
193.44
0
89.28
0
89.28
0
89.28
0
89.28
0
89.28
0
89.28
0
89.28
0
89.28
0
89.28
0
89.28
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(%)
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0047
90603.5
0.0029
54605
0.0029
54605
0.0019
36675
0.0005
9918.55
0.0005
9918.55
0.0005
9918.55
0.0005
9918.55
0.0005
9918.55
0.0005
9103.55
0.0005
9103.55
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0.0005
9062.8
0
211.9
0
211.9
0
138.55
0
138.55
0
138.55
0
97.8
0
97.8
0
97.8
0
97.8
0
97.8
0
97.8
0
97.8
0
97.8
0
97.8
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(%)
0.0896
1004480
0.0896
1004480
0.0896
1004480
0.0121
135850
0.0121
135850
0.0121
135850
0.0121
135850
0.0121
135850
0.0121
135850
0.0121
135850
0.0121
135850
0.0121
135850
0.0121
135850
0.0121
135850
0.0109
122408
0.0109
122408
0.0061
67918.8
0.0061
67918.8
0.0013
14871.7
0.0013
14871.7
0.0013
14871.7
0.0013
14871.7
0.0013
14871.7
0.0012
13649.7
0.0012
13649.7
0.0012
13649.7
0.0012
13649.7
0.0012
13649.7
0.0012
13649.7
0.0012
13649.7
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0012
13588.6
0.0009
10093.7
0.0007
7478.64
0.0007
7478.64
0.0007
7478.64
0.0007
7478.64
0.0006
6256.64
0.0001
1368.64
0
207.74
0
207.74
0
207.74
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
0
146.64
截止日期
2021-09-26
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(%)
0.0012
13888.9
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(%)
0.0012
11375.8
0.0012
11375.8
0.0012
11375.8
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(%)
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0129
117462
0.0128
116404
0.0128
116404
0.0127
115346
0.0127
115346
0.0116
105824
0.0116
105824
0.0104
94186.2
0.0104
94186.2
0.0094
85722.2
0.0094
85722.2
0.0084
76200.2
0.0077
70412.9
0.0077
70412.9
0.0066
60405.8
0.0033
29648.2
0.0022
20126.2
0.0017
15693.2
0.0017
15693.2
0.0017
15587.4
0.0017
15587.4
0.0017
15534.5
0.0017
15534.5
0.0015
13778.2
0.0015
13725.3
0.0014
12720.2
0.0014
12720.2
0.0014
12720.2
0.0014
12720.2
0.0014
12720.2
0.0014
12720.2
0.0014
12720.2
0.0014
12720.2
0.0014
12191.2
0.0014
12191.2
0.0013
12006
0.0013
12006
0.0013
11662.2
0.0013
11662.2
0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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0.0013
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