斯瑞新材

- 688102

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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:
斯瑞新材(688102)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(%)
1.2793
53976000
1.2793
53976000
1.0408
43909900
1.0408
43909900
0.522
22023600
0.522
22023600
0.4744
20014000
0.4577
19309200
0.4577
19309200
0.4529
19107000
0.4529
19107000
0.45
18984000
0.45
18984000
0.4414
18622600
0.4414
18622600
0.3552
14986900
0.3552
14986900
0.3514
14825000
0.3514
14825000
0.3438
14505600
0.3438
14505600
0.3374
14237200
0.3374
14237200
0.2875
12130700
0.2549
10752900
0.2254
9507910
0.2254
9507910
0.2235
9430470
0.2235
9430470
0.2182
9207370
0.2182
9207370
0.2016
8507710
0.2016
8507710
0.1938
8178260
0.1769
7464800
0.1769
7464800
0.162
6834770
0.162
6834770
0.1388
5856360
0.1163
4908460
0.1163
4908460
0.1151
4856560
0.1151
4856560
0.1139
4804470
0.1139
4804470
0.1105
4663750
0.1105
4663750
0.1048
4421960
0.1048
4421960
0.1007
4247270
0.1007
4247270
0.0836
3526910
0.0836
3526910
0.0731
3086140
0.0731
3086140
0.0688
2903870
0.0653
2754770
0.0589
2486320
0.0589
2486320
0.058
2448450
0.058
2448450
0.0577
2434440
0.0577
2434440
0.0572
2414800
0.0572
2414800
0.0565
2385710
0.0565
2385710
0.0545
2299020
0.0545
2299020
0.051
2152610
0.051
2152610
0.0406
1712060
0.0358
1511070
0.0358
1511070
0.0357
1505320
0.0357
1505320
0.0354
1492570
0.0354
1492570
0.0352
1483940
0.0352
1483940
0.032
1349260
0.032
1349260
0.0265
1117110
0.0265
1117110
0.024
1010660
0.0231
973422
0.0231
973422
0.0208
878902
0.0206
867374
0.0179
754455
0.0179
754455
0.0161
680604
0.0161
680604
0.0146
614087
0.0145
613652
0.0145
613652
0.0145
612016
0.0145
612016
0.012
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0.011
463312
0.0103
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432579
0.01
422080
0.0071
299044
0.0069
290655
0.0069
290655
0.0068
287542
0.0068
287542
0.0065
272413
0.0065
272413
0.0048
203126
0.0046
192574
0.0046
192574
0.0045
189936
0.0045
189936
0.0036
153004
0.0035
147873
0.0035
147873
0.0026
111350
0.0026
111350
0.0026
111350
0.0026
111350
0.0026
111350
0.0026
111350
0.0026
111350
0.0026
111350
0.0026
111350
0.0026
111350
0.0021
89692
0.0021
89692
0.0021
88412.6
0.0021
88412.6
0.002
84429.2
0.0019
79324.7
0.0018
76251.4
0.0018
75183
0.0018
75183
0.0017
69933.4
0.0015
64393.6
0.0015
64393.6
0.0014
60779.5
0.0011
44846
0.0011
44846
0.001
40664.8
0.0007
29018
0.0007
29018
0.0007
29018
0.0006
26380
0.0006
26380
0.0004
15828
0.0001
5276
0.0001
4748.4
0.0001
4748.4
0.0001
4748.4
0.0001
4748.4
0.0001
4748.4
0.0001
4748.4
0.0001
4748.4
0
1239.86
0
540.79
0
540.79
0
263.8
0
263.8
0
52.76
0
52.76
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(%)
0.5087
19621700
0.5087
19621700
0.2489
9602020
0.2489
9602020
0.1644
6342800
0.1644
6342800
0.162
6249230
0.162
6249230
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(%)
0.5831
22808200
0.5831
22808200
0.4016
15710000
0.1616
6321770
0.1616
6321770
0.1421
5557900
0.1072
4193480
0.1072
4193480
0.1026
4013020
0.1026
4013020
0.1023
4001640
0.1023
4001640
0.0643
2516860
0.0643
2516860
0.0476
1860150
0.0476
1860150
0.047
1839110
0.047
1839110
0.0319
1246840
0.0271
1060450
0.0231
902605
0.0231
902605
0.0224
877400
0.0207
809202
0.0207
809202
0.0206
806420
0.0181
707234
0.0149
583489
0.0149
583489
0.008
313662
0.008
313662
0.0068
267229
0.0068
267229
0.0064
251967
0.0064
251967
0.0063
247660
0.0063
247660
0.0055
215220
0.0055
215220
0.0049
191430
0.0049
191430
0.0046
181390
0.0044
173643
0.0044
173643
0.0028
108580
0.0028
108580
0.0027
103700
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0026
102992
0.0021
81776.6
0.0021
81776.6
0.0018
70528.2
0.0017
64684.4
0.0004
14640
0.0004
14640
0.0002
7320
0.0002
7320
0.0001
4392
0.0001
4392
0.0001
4392
0.0001
4392
0.0001
4392
0.0001
4392
0.0001
4392
0
500.2
0
488
0
488
0
48.8
0
48.8
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(%)
0.2183
7660000
0.2183
7660000
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(%)
5.0303
29032100
5.0303
29032100
3.4132
19699000
2.6857
15500600
2.6857
15500600
1.4734
8503680
1.4734
8503680
0.9067
5233100
0.9067
5233100
0.4857
2803300
0.4857
2803300
0.2907
1677990
0.2656
1532940
0.2656
1532940
0.1056
609503
0.1056
609503
0.0628
362648
0.0628
362648
0.0327
188794
0.0193
111654
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
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99434.7
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99434.7
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99434.7
0.0172
99434.7
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99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0172
99434.7
0.0165
95279.2
0.0165
95279.2
0.0091
52768
0.0091
52768
0.0086
49717.4
0.0007
4237.93
0.0007
4237.93
0.0007
4237.93
0.0007
4237.93
0.0007
4237.93
0.0007
4237.93
0.0007
4237.93
0.0002
1236.75
0.0002
1236.75
0.0001
478.21
0
49.47
0
49.47
截止日期
2022-09-30
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(%)
3.9029
20162200
3.9029
20162200
1.5714
8118000
1.5714
8118000
0.0172
89002.8
0.0172
89002.8
0.0086
44501.4
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(%)
0.1547
655983
0.1547
655983
0.1111
470983
0.1111
470983
0.1097
465057
0.1097
465057
0.0184
73746.9
0.0184
73746.9
0.0184
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0.0184
77847.3
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73746.9
0.0184
77847.3
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
77847.3
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
77847.3
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
77847.3
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
77847.3
0.0184
73746.9
0.0184
73746.9
0.0184
77847.3
0.0184
73746.9
0.0184
73746.9
0.0184
73746.9
0.0184
77847.3
0.0181
72695.1
0.0181
72695.1
0.0178
71643.3
0.0178
71643.3
0.0176
74594
0.0176
74594
0.0164
65846.3
0.0151
60575.2
0.0151
60575.2
0.0148
59523.4
0.0092
36873.4
0.0085
34244
0.0079
31602.3
0.0008
3317.87
0.0008
3317.87
0.0008
3317.87
0.0008
3317.87
0.0008
3317.87
0.0008
3317.87
0.0008
3317.87
0.0002
968.25
0.0002
968.25
0.0001
529.31
0.0001
529.31
0.0001
245.29
0
116.19
0
64.55
截止日期
2022-05-05
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(%)
0.0184
67415.4
截止日期
2022-03-31
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(%)
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0184
68500.8
0.0164
61162.2
0.0148
55289.1
0.0143
63147.8
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