天源环保

- 301127

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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:
天源环保(301127)项目:基金持股
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(%)
0.3136
8570000
0.3136
8570000
0.1876
5125740
0.1876
5125740
0.0901
2462860
0.0901
2462860
0.0749
2047440
0.0749
2047440
0.0539
1471560
0.0539
1471560
0.0438
1198100
0.0438
1198100
0.0403
1102300
0.0403
1102300
0.0402
1097900
0.0402
1097900
0.0385
1051740
0.0253
690172
0.0253
690172
0.0243
664895
0.0236
644014
0.0236
644014
0.0222
605549
0.0222
605549
0.015
408828
0.015
408828
0.014
383551
0.014
383551
0.0127
348383
0.0118
322007
0.0118
322007
0.008
219800
0.008
217602
0.008
217602
0.0075
204414
0.0075
204414
0.007
191226
0.007
191226
0.0068
185105
0.0068
185105
0.0068
185105
0.0067
182434
0.0067
182434
0.0063
172543
0.0063
172543
0.006
163949
0.0051
139573
0.0049
134078
0.0049
134078
0.0047
127484
0.0047
127484
0.0043
116494
0.0043
116494
0.0041
110999
0.0038
103306
0.0038
103306
0.0037
100482
0.0035
94514
0.0035
94514
0.0034
93415
0.0034
93415
0.0032
87920
0.0032
87920
0.0032
86821
0.0032
86821
0.0029
80227
0.0029
80227
0.0025
67039
0.0025
67039
0.0024
65148.7
0.0016
43960
0.0016
43960
0.0016
43960
0.0016
43960
0.0016
43960
0.0014
39564
0.0014
39564
0.0014
37366
0.0014
37366
0.0013
36267
0.0013
36267
0.0013
36267
0.0013
36267
0.0012
31871
0.001
27475
0.001
27475
0.0007
20254.6
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0007
18518.2
0.0006
15979.5
0.0006
15451.9
0.0006
15451.9
0.0006
15221.2
0.0005
12990.2
0.0005
12990.2
0.0005
12473.7
0.0004
12089
0.0004
11429.6
0.0004
11429.6
0.0004
9836.05
0.0004
9836.05
0.0003
7539.14
0.0003
7539.14
0.0002
6594
0.0002
5396.09
0.0002
5396.09
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(%)
0.3168
7595880
0.2139
5128670
0.2139
5128670
0.114
2733070
0.114
2733070
0.0972
2329880
0.0972
2329880
0.0564
1352750
0.0564
1352750
0.0472
1131090
0.0419
1004540
0.0419
1004540
0.0069
165230
0.0069
165230
0.0069
165230
0.0069
165230
0.0069
165230
0.0061
146346
0.0057
137340
0.0057
137340
0.005
119898
0.005
119898
0.0037
89692.8
0.0008
18079.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
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0.0007
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0.0007
16529.8
0.0007
16529.8
0.0007
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0.0007
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0.0007
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0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0007
16529.8
0.0006
14862.2
0.0006
14862.2
0.0006
14263.7
0.0006
14087.2
0.0006
13792.9
0.0006
13792.9
0.0006
13596.7
0.0006
13596.7
0.0006
13586.8
0.0005
12605.8
0.0005
12605.8
0.0005
11134.3
0.0004
10202.4
0.0004
10202.4
0.0004
8779.95
0.0004
8779.95
0.0003
6729.66
0.0003
6729.66
0.0003
6278.4
0.0003
6278.4
0.0002
4816.71
0
833.85
0
833.85
0
833.85
0
833.85
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(%)
0.312
7283780
0.312
7283780
0.1729
4037420
0.1702
3972800
0.1218
2843040
0.1218
2843040
0.0965
2251890
0.0965
2251890
0.0909
2122960
0.0069
160851
0.0069
160851
0.0069
160851
0.0069
160851
0.0069
160851
0.0061
142467
0.005
116720
0.005
116720
0.0037
87315.6
0.0022
51025.6
0.0012
28172.5
0.0012
28172.5
0.0009
20866.8
0.0009
20866.8
0.0008
17600.7
0.0007
16263.7
0.0007
16091.8
0.0007
16091.8
0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
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0.0007
16091.8
0.0007
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0.0007
16091.8
0.0006
14468.2
0.0006
14468.2
0.0006
14391.8
0.0006
14391.8
0.0006
13885.7
0.0006
13790.2
0.0006
13790.2
0.0006
13713.8
0.0006
13427.3
0.0006
13427.3
0.0006
13236.3
0.0006
13236.3
0.0006
13226.8
0.0005
11813.3
0.0005
11813.3
0.0005
11488.7
0.0005
11316.8
0.0005
11316.8
0.0005
10839.2
0.0004
9932
0.0004
8547.25
0.0004
8547.25
0.0003
8002.9
0.0003
8002.9
0.0003
6551.3
0.0003
6551.3
0.0003
6532.2
0.0003
6112
0.0003
6112
0.0003
6026.05
0.0003
6026.05
0.0002
4689.05
0.0001
1766.75
0
955
0
955
0
811.75
0
811.75
0
811.75
0
811.75
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(%)
0.4564
4889410
0.1695
1815300
0.1166
1248790
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
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0.0175
187463
0.0175
187463
0.0175
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0.0175
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0.0175
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0.0175
187463
0.0175
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0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
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0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0175
187463
0.0172
184780
0.0168
179961
0.0155
166037
0.0131
140861
0.0127
136031
0.0127
136031
0.0103
110866
0.01
107649
0.01
107649
0.0097
103899
0.0097
103899
0.0095
101762
0.0089
95328.5
0.0056
59467.6
0.0054
57842.6
0.0031
32833.5
0.0031
32833.5
0.0019
20512.6
0.0019
20512.6
0.0019
19867.1
0.0019
19867.1
0.0018
19399.6
0.0018
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0.0018
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0.0018
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0.0018
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0.0018
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