迈拓股份

- 301006

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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:
迈拓股份(301006)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(%)
0.1002
1631920
0.1002
1631920
0.0342
557613
0.0342
557613
0.0317
516698
0.0317
516698
0.0287
467600
0.0287
467600
0.0154
251335
0.0154
251335
0.0136
222110
0.0136
222110
0.0129
210420
0.0129
210420
0.0095
154308
0.0095
154308
0.0067
108834
0.0067
108834
0.0065
106379
0.0065
106379
0.0053
86506
0.0053
86506
0.0039
63126
0.0039
63126
0.0036
59046.2
0.0036
59046.2
0.0027
44422
0.0027
44422
0.0027
43253
0.0027
43253
0.0014
23380
0.0014
23380
0.0004
7014
0.0004
7014
0.0003
4676
0.0003
4676
0.0001
2338
0.0001
2338
0
596.19
0
596.19
0
596.19
0
596.19
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(%)
1.3399
17305900
1.3399
17305900
0.9236
11929100
0.9236
11929100
0.4079
5268200
0.4079
5268200
0.2963
3826640
0.2963
3826640
0.2478
3200040
0.2478
3200040
0.1376
1776590
0.1376
1776590
0.1286
1660690
0.1286
1660690
0.1072
1384530
0.1072
1384530
0.1053
1360060
0.1053
1360060
0.0796
1028650
0.0796
1028650
0.0429
554166
0.0429
554166
0.0425
548733
0.0425
548733
0.0423
546922
0.0423
546922
0.0421
543300
0.0421
543300
0.0358
461805
0.0358
461805
0.0303
391176
0.0303
391176
0.0299
385743
0.0299
385743
0.0243
313303
0.0243
313303
0.0194
249918
0.0194
249918
0.0139
179289
0.0139
179289
0.0137
177478
0.0137
177478
0.0133
172045
0.0133
172045
0.013
168423
0.013
168423
0.0128
164801
0.0128
164801
0.0126
162990
0.0126
162990
0.0111
143069
0.0108
139447
0.0108
139447
0.0105
135825
0.0105
135825
0.0095
123148
0.0095
123148
0.0081
105038
0.0081
105038
0.0071
91473.6
0.0071
91473.6
0.0071
91473.6
0.0071
91473.6
0.0052
67007
0.0052
67007
0.0048
61574
0.0048
61574
0.0034
43464
0.0034
43464
0.0024
30787
0.0024
30787
0.0021
27165
0.0021
27165
0.0017
21732
0.0017
21732
0.0014
18110
0.0014
18110
0.0011
14488
0.0011
14488
0.001
12677
0.001
12677
0.0008
10866
0.0008
10866
0.0001
923.61
0.0001
923.61
0.0001
923.61
0.0001
923.61
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(%)
0.2963
4175290
0.2963
4175290
0.1157
1630200
0.1157
1630200
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(%)
3.1935
59557000
3.1935
59557000
1.1225
20933100
1.1225
20933100
1.116
20812700
1.116
20812700
0.4167
7771780
0.4167
7771780
0.3392
6325680
0.2736
5101860
0.2661
4963270
0.2661
4963270
0.2265
4223220
0.2265
4223220
0.2126
3964340
0.0928
1731130
0.0928
1731130
0.0727
1355880
0.0727
1355880
0.0674
1257820
0.0674
1257820
0.0674
1257820
0.0674
1257820
0.0638
1189820
0.0638
1189820
0.0419
781885
0.0419
781885
0.0337
627600
0.0337
627600
0.0337
627600
0.0337
627600
0.0278
517770
0.0278
517770
0.0182
339950
0.0182
339950
0.0168
313800
0.0168
313800
0.014
261500
0.0135
251040
0.0135
251040
0.0129
240580
0.0123
230120
0.0123
230120
0.0121
224890
0.0121
224890
0.0093
172590
0.0093
172590
0.0071
132084
0.0071
132084
0.0071
132084
0.0071
132084
0.0038
70605
0.0038
70605
0.0032
60145
0.0032
60145
0.0029
54915
0.0027
49685
0.0027
49685
0.0021
39225
0.0021
39225
0.0014
26150
0.0014
26150
0.0003
5230
0.0003
5230
0.0001
2615
0.0001
2615
0.0001
2615
0.0001
1333.65
0.0001
1333.65
0.0001
1333.65
0.0001
1333.65
截止日期
2023-03-31
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(%)
0.1341
2039150
0.1341
2039150
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(%)
0.3076
3424830
0.3076
3424830
0.2831
3151420
0.2831
3151420
0.213
2371160
0.213
2371160
0.1758
1957490
0.06
668108
0.06
668108
0.0278
309078
0.0257
285663
0.0257
285663
0.014
156100
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0071
78846.1
0.0068
75724.1
0.0068
75724.1
0.0066
73367
0.0066
73367
0.0064
71041.1
0.0064
71041.1
0.0051
56992.1
0.0051
56992.1
0.0031
34342
0.0031
34342
0.0001
1561
0.0001
796.11
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(%)
0.2875
3854960
0.2875
3854960
0.2484
3330440
0.2484
3330440
0.2458
3295640
0.2458
3295640
0.1203
1613040
0.028
376000
0.0194
259440
0.0194
259440
0.0175
235000
0.0175
235000
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0071
94958.8
0.0068
91198.8
0.0068
91198.8
0.0064
85558.8
0.0064
85558.8
0.0052
70180.4
0.0038
50760
0.0034
45120
0.0034
45120
0.0034
45120
0.0033
43766.4
0.0033
43766.4
0.0004
5640
0.0004
5640
0.0001
958.8
0.0001
958.8
0.0001
958.8
0.0001
958.8
0.0001
958.8
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(%)
1.9811
16617800
1.9811
16617800
1.1631
9756450
1.0489
8798680
1.0489
8798680
0.8761
7348680
0.8761
7348680
0.5889
4939680
0.5889
4939680
0.5746
4820000
0.5698
4779430
0.5034
4222980
0.5034
4222980
0.4153
3483410
0.3909
3279160
0.1373
1151500
0.1373
1151500
0.0706
592614
0.0706
592614
0.0534
448074
0.0534
448074
0.0517
433620
0.0414
346896
0.0414
346896
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0145
121679
0.0136
114452
0.0136
114452
0.0107
89928
0.0067
56081.5
0.0067
56081.5
0.0055
46541.9
0.004
33726
0.002
16863
0.002
16863
0.0001
1228.59
0.0001
1228.59
0.0001
1228.59
0.0001
1228.59
0.0001
1228.59
0.0001
1228.59
0.0001
1228.59
0.0001
1035.87
0.0001
1035.87
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(%)
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0153
130821
0.0137
117172
0.0137
117172
0.0116
98963.9
0.01
85314.6
0.0048
40947.9
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(%)
0.0153
124255
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(%)
6.2268
62752000
6.2268
62752000
4.5942
46298600
4.5942
46298600
3.3501
33761100
0.0527
530700
0.0527
530700
0.0527
530700
0.0306
251439
0.03
301950
0.03
301950
0.0153
154056
0.0153
154056
0.0153
143145
0.0153
143145
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
143145
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
143145
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
143145
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
143145
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
143145
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
143145
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
143145
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
154056
0.0153
125719
0.0153
143145
0.0153
143145
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
125719
0.0153
154056
0.0153
125719
0.0153
154056
0.0153
125719
0.0148
148688
0.0144
118078
0.0137
137982
0.0137
112602
0.0133
133956
0.0133
133956
0.0126
103841
0.0116
95104.7
0.0113
113856
0.0112
104546
0.01
81987.7
0.0078
64490
0.007
71004
0.007
71004
0.0058
48087.5
0.0057
53505.9
0.0048
39351.1
0.0021
21350
0.0021
21350
0.0005
4605.5
0.0005
4605.5
0.0002
1555.5
0.0002
1555.5
0.0002
1555.5
0.0002
1555.5
0.0002
1555.5
0.0002
1555.5
0.0002
1555.5
0.0002
1555.5
0.0001
1311.5
0.0001
1311.5
截止日期
2021-06-04
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
72835.4
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