龙腾光电

- 688055

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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:
龙腾光电(688055)项目:基金持股
截止日期
2025-03-31
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(%)
0.0315
3658920
0.0315
3658920
0.0315
3658920
0.005
585273
0.005
585273
截止日期
2024-12-31
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(%)
0.1122
15447000
0.1122
15447000
0.1122
15447000
0.1108
15250600
0.0898
12361900
0.0823
11326800
0.0823
11326800
0.0695
9561180
0.0686
9450770
0.0423
5820410
0.0423
5820410
0.037
5093120
0.037
5093120
0.037
5093120
0.0344
4739590
0.0344
4739590
0.0344
4739590
0.0344
4739590
0.0325
4478840
0.0325
4478840
0.0315
4329890
0.0315
4329890
0.0315
4329890
0.028
3852050
0.028
3852050
0.0269
3696790
0.0218
3007620
0.0175
2409030
0.0142
1961670
0.0086
1184350
0.0086
1184350
0.0078
1079400
0.0078
1079400
0.0059
814857
0.0055
761159
0.0055
761159
0.0052
721936
0.005
683515
0.005
683515
0.0046
629656
0.0044
608762
0.0044
608762
0.0043
590177
0.0043
590177
0.0038
527583
0.0038
527583
0.0038
527583
0.0037
513272
0.0037
513272
0.0033
448518
0.0033
448518
0.0031
429520
0.0031
429520
0.0027
375657
0.0025
351050
0.0025
351050
0.0018
250728
0.0018
250728
0.0017
232812
0.0017
232812
0.0014
195271
0.0014
195271
0.0014
194110
0.0014
194110
0.0014
186792
0.0014
186792
0.0013
182546
0.0013
180068
0.0013
180068
0.0013
178433
0.0013
178433
0.0012
162722
0.0012
162722
0.0011
149688
0.0011
149688
0.0011
149506
0.0011
149506
0.001
143724
0.001
143724
0.0009
119770
0.0009
119770
0.0007
94164
0.0005
72365.9
0.0005
62776
0.0004
57407
0.0004
57407
0.0004
53690
0.0004
53690
0.0004
52451
0.0004
50799
0.0004
50799
0.0003
48064.9
0.0003
47908
0.0003
47908
0.0003
45012.9
0.0003
45012.9
0.0003
37170
0.0003
37170
0.0002
25606
0.0001
16520
0.0001
16520
0.0001
16098.7
0.0001
12629.5
0.0001
12629.5
0.0001
12390
0.0001
12390
0
6608
0
6608
0
6608
0
3304
0
3304
0
2478
0
2478
0
1652
0
1652
0
1652
0
1652
0
128.03
0
128.03
0
49.56
0
49.56
截止日期
2024-09-30
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(%)
0.0069
799217
0.0069
799217
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(%)
0.1
10562200
0.0925
9778870
0.0644
6800300
0.0639
6755540
0.0639
6755540
0.0506
5345390
0.0353
3730320
0.0342
3609620
0.0342
3609620
0.0342
3609620
0.0334
3525900
0.0334
3525900
0.03
3173620
0.0232
2449900
0.0177
1874920
0.0177
1874920
0.0169
1789460
0.0169
1789460
0.0161
1700240
0.0161
1700240
0.0155
1640140
0.0155
1640140
0.01
1058440
0.01
1058440
0.0093
982700
0.0093
982700
0.0092
972413
0.0092
972413
0.0087
916254
0.0087
916254
0.0067
709684
0.0067
709684
0.0067
703971
0.0062
660086
0.0055
585816
0.0055
585816
0.0051
542070
0.0051
542070
0.0049
522299
0.0047
500074
0.0047
500074
0.0046
490700
0.0046
490700
0.0041
433615
0.0031
326672
0.0031
326672
0.0028
300592
0.0028
300592
0.0028
295032
0.0028
295032
0.0025
264391
0.0016
173082
0.0016
173082
0.0014
143373
0.0014
143373
0.0012
127301
0.0012
127301
0.0011
114193
0.0011
114193
0.001
106195
0.001
106195
0.0009
98961.1
0.0009
98961.1
0.0008
83054
0.0008
83054
0.0008
82103
0.0008
82103
0.0006
67204
0.0006
67204
0.0005
56426
0.0005
56426
0.0005
54841
0.0005
50482.2
0.0005
50482.2
0.0003
31383
0.0003
31383
0.0003
30121.3
0.0003
30121.3
0.0003
29798
0.0003
29798
0.0002
16509.4
0.0002
16509.4
0.0001
14385.5
0.0001
10144
0.0001
5636.26
0.0001
5636.26
0
4438
0
4438
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(%)
0.1027
16700800
0.1027
16700800
0.0884
14372700
0.0696
11319600
0.0696
11319600
0.0652
10602300
0.0652
10602300
0.0454
7387150
0.0414
6733600
0.0414
6733600
0.0386
6282640
0.0386
6282640
0.0382
6218980
0.0382
6218980
0.0353
5749130
0.0291
4738970
0.0291
4738970
0.0249
4046340
0.0249
4046340
0.0227
3694160
0.0227
3694160
0.0181
2936300
0.0181
2936300
0.0161
2618610
0.0145
2352160
0.0145
2352160
0.0137
2221360
0.0137
2221360
0.0102
1658960
0.0102
1658960
0.0081
1315160
0.0081
1315160
0.0031
508984
0.0031
508984
0.0014
221552
0.0014
221552
0.0014
220713
0.0014
220713
0.0012
188041
0.0012
188041
0.001
156648
0.001
156648
0.0008
127368
0.0008
127368
0.0008
123332
0.0007
117686
0.0007
117686
0.0006
92832.2
0.0003
44749.6
0.0003
41968
0.0003
41968
0.0002
25795.7
0.0001
21472
0.0001
21472
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(%)
0.0048
683397
0.0048
683397
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(%)
0.2506
18347200
0.2506
18347200
0.0225
1647650
0.0071
517548
0.0043
311719
0.0043
311719
0.0025
183626
0.0025
183626
0.0022
158774
0.0022
158774
0.0018
130464
0.0004
32666.8
0.0004
32666.8
0.0004
25984
0.0004
25984
0
511.56
0
511.56
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(%)
0.0235
1702870
0.0235
1702870
0.0235
1702870
0.0205
1487400
0.0205
1487400
0.0157
1135900
0.0067
482971
0.0053
381900
0.0025
181817
0.0025
181817
0.0025
181817
0.0025
181817
0.0024
170617
0.0024
170617
0.0022
157210
0.0022
157210
0.0012
89786.7
0.0012
89786.7
0.0009
65212.4
0.0003
19296
0.0003
19296
0.0001
8120.4
0
804
0
804
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(%)
0.0104
999845
0.0082
790535
0.0074
714277
0.0036
347116
0.0036
347116
0.0025
243779
0.0025
243779
0.0025
243779
0.0025
243779
0.0025
243779
0.0025
243779
0.0025
243779
0.0025
243779
0.0025
243779
0.0025
243779
0.0024
228762
0.0024
228762
0.0022
210787
0.0022
210787
0.0021
199010
0.0019
183260
0.0017
165473
0.0017
165473
0.0016
153001
0.0015
148985
0.0014
130098
0.0013
123970
0.0012
113783
0.0009
90562.8
0.0009
83803.7
0.0008
79146.8
0.0008
77675.3
0.0007
71687
0.0005
46876.8
0.0004
42484
0.0004
42484
0.0003
29941.4
0.0003
25333
0.0003
24794
0.0003
24794
0.0002
21560
0.0002
15631
0.0002
15631
0.0001
13043.8
0.0001
10780
0.0001
10241
0
1239.7
0
1239.7
0
1078
0
1078
0
150.92
0
150.92
0
150.92
0
32.34
0
32.34
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(%)
0.0324
3966150
0.0151
1846760
0.0068
835618
0.0053
646140
0.0051
623350
0.0051
623350
0.0049
605060
0.0044
543205
0.0039
476760
0.0039
476760
0.003
367845
0.003
367845
0.0025
309812
0.0025
309812
0.0025
309812
0.0025
309812
0.0025
309812
0.0025
309812
0.0025
309812
0.0025
309812
0.0025
309812
0.0025
309812
0.0024
292495
0.0024
292495
0.0022
267883
0.0021
252916
0.002
244545
0.0019
234270
0.0019
234270
0.0013
165147
0.0013
160913
0.0012
146234
0.0011
138370
0.0011
137685
0.0011
137685
0.0011
130499
0.0007
85686.6
0.0005
63855.7
0.0005
63855.7
0.0004
54991.8
0.0004
54991.8
0.0004
48134.9
0.0003
40243.8
0.0002
24660
0.0002
21714.5
0.0002
21714.5
0.0002
19180
0.0002
18495
0.0002
18495
0.0001
15755
0.0001
13700
0.0001
12330
0.0001
12330
0.0001
6165
0.0001
6165
0
4623.75
0
4623.75
0
3651.05
0
3651.05
0
1541.25
0
1541.25
0
1370
0
1370
0
1370
0
191.8
0
191.8
0
191.8
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(%)
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.016
355944
0.0145
323890
0.013
290576
0
220.36
0
220.36
0
220.36
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(%)
0.016
284484
0.016
284484
0.016
284484
截止日期
2021-02-03
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(%)
0.0168
296696
截止日期
2021-01-27
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(%)
0.0168
318857
截止日期
2021-01-11
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(%)
0.0168
345542
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(%)
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
379011
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
379011
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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379011
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363633
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363633
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379011
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363633
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363633
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379011
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363633
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363633
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363633
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363633
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379011
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
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363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
379011
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0168
363633
0.0164
355698
0.0151
327268
0.0148
320651
0.0146
316688
0.0145
313383
0.0145
313383
0.0143
309082
0.0143
309082
0.0137
296853
0.0134
291233
0.013
280982
0.0122
264460
0.0122
264460
0.0119
257513
0.0079
171236
0.0038
82305.5
0.0038
82305.5
0.0002
4190
0.0002
4190
0
385.48
0
234.64
0
234.64
截止日期
2020-12-08
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(%)
0.0168
427857
截止日期
2020-11-25
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(%)
0.0168
406147
0.0168
406147
0.0168
406147
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(%)
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
451828
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
0.0168
310716
截止日期
2020-08-13
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
55178.2
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