思林杰

- 688115

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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:
思林杰(688115)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(%)
0.4013
5863180
0.4013
5863180
0.3913
5717080
0.3913
5717080
0.3255
4755060
0.3255
4755060
0.291
4250720
0.2759
4031050
0.2759
4031050
0.2561
3741830
0.2561
3741830
0.2375
3469320
0.2228
3255720
0.2228
3255720
0.1903
2780530
0.1898
2773600
0.1566
2288220
0.1426
2083770
0.1285
1877350
0.1274
1861810
0.1274
1861810
0.1239
1810680
0.1229
1796010
0.1187
1733500
0.1187
1733500
0.1173
1714360
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1641070
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1641070
0.1013
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1358470
0.093
1358470
0.0897
1310420
0.0741
1082710
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1082710
0.0587
857736
0.0587
857736
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853090
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762740
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731398
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731398
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613174
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423667
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17335
0.0003
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0.0003
4992.48
0.0003
4056.39
0.0003
4056.39
0
69.34
0
69.34
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(%)
0.0009
12724
0.0009
12724
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(%)
0.5927
6733710
0.144
1635790
0.1181
1342200
0.1161
1319480
0.1161
1319480
0.102
1158900
0.102
1158900
0.0839
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0.0839
952925
0.0704
800027
0.0497
564616
0.0497
564616
0.0482
547464
0.0482
547464
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348249
0.0307
348249
0.0088
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0.0088
100206
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0.0025
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28624.8
0.0023
26191.1
0.0021
24336.9
0.0021
24336.9
0
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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(%)
3.5818
22489100
3.5818
22489100
3.0858
19375000
3.0858
19375000
2.5228
15840200
2.2034
13834900
2.2034
13834900
2.1591
13556200
2.1591
13556200
2.0269
12726400
1.7898
11237500
1.7898
11237500
1.5748
9887880
1.5748
9887880
1.5187
9535790
1.5187
9535790
1.4808
9297640
1.4808
9297640
1.115
7000810
1.115
7000810
0.3368
2114550
0.3368
2114550
0.3086
1937500
0.2743
1722440
0.113
709358
0.113
709358
0.0856
537501
0.0515
323175
0.0515
323175
0.0469
294384
0.0469
294384
0.0386
242149
0.0386
242149
0.0309
193750
0.0309
193750
0.0309
193750
0.0309
193750
0.016
100518
0.016
100518
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0.005
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0.0046
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0.0042
26272.5
0.0039
24412.5
0.0039
24412.5
0
77.5
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(%)
0.0069
44352
0.0069
44352
截止日期
2022-07-12
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(%)
0.0139
78455.3
0.0139
78455.3
0.0139
78455.3
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(%)
0.0545
335602
0.0326
201200
0.0326
201200
0.0326
201200
0.0141
82804.4
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82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
86636.7
0.0141
82804.4
0.0141
82804.4
0.0141
86636.7
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
86636.7
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
86636.7
0.0141
86636.7
0.0141
86636.7
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
86636.7
0.0141
86636.7
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
86636.7
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
86636.7
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
82804.4
0.0141
86636.7
0.0141
86636.7
0.0141
82804.4
0.0141
86636.7
0.0135
79496.8
0.0132
77843
0.0132
81445.8
0.0132
81445.8
0.0132
81445.8
0.0132
81445.8
0.0129
79715.4
0.0129
79715.4
0.0129
79715.4
0.0129
79715.4
0.0129
79715.4
0.0127
74535.5
0.0124
76254.8
0.0124
76254.8
0.0124
72881.7
0.0124
72881.7
0.0121
71227.9
0.0121
71227.9
0.0121
71227.9
0.0121
71227.9
0.0121
74524.5
0.0118
72794.2
0.0118
72794.2
0.0118
69574.1
0.0118
69574.1
0.0118
69574.1
0.0118
69574.1
0.0118
69574.1
0.0115
71063.8
0.0115
67920.4
0.0115
71063.8
0.0115
71063.8
0.0113
66266.6
0.0113
66266.6
0.011
64612.8
0.011
64612.8
0.011
64612.8
0.0104
64102.3
0.0101
59613
0.0101
59613
0.0101
59613
0.0098
57959.2
0.0098
57959.2
0.0098
57959.2
0.0096
58911.4
0.0096
58911.4
0.0096
58911.4
0.0096
56305.4
0.0096
56305.4
0.0096
56305.4
0.0096
56305.4
0.0096
56305.4
0.0096
58911.4
0.0096
56305.4
0.0096
56305.4
0.0093
57181
0.0093
54651.7
0.0093
54651.7
0.0093
54651.7
0.0093
54651.7
0.0093
57181
0.009
52997.9
0.009
55450.7
0.0087
51344.1
0.0087
53720.4
0.0087
51344.1
0.0087
51344.1
0.0087
51344.1
0.0087
51344.1
0.0087
53720.4
0.0084
49690.3
0.0084
49690.3
0.0084
49690.3
0.0084
49690.3
0.0084
51990.1
0.0084
51990.1
0.0084
49690.3
0.0082
48036.5
0.0079
46382.8
0.0079
46382.8
0.0079
46382.8
0.0079
46382.8
0.0079
46382.8
0.0079
46382.8
0.0078
48288
0.0076
44729
0.0076
44729
0.0073
43075.2
0.0073
43075.2
0.0073
43075.2
0.007
41421.4
0.007
41421.4
0.0068
39767.6
0.0068
39767.6
0.0065
38113.9
0.0062
36460.1
0.0062
36460.1
0.0059
34806.3
0.0059
34806.3
0.0059
34806.3
0.0059
34806.3
0.0059
34806.3
0.0057
35169.8
0.0057
35169.8
0.0056
33152.5
0.0056
33152.5
0.0056
33152.5
0.0056
33152.5
0.0053
32916.3
0.0053
32916.3
0.0048
28152.7
0.0048
28152.7
0.0045
26498.9
0.0042
24845.2
0.0042
24845.2
0.0038
23138
0.0038
23138
0.0031
18230
0.0031
18230
0.0031
18230
0.0026
16257
0.0014
8329.68
0.0013
8168.72
0.0005
3380.16
0.0005
3380.16
0
120.72
0
120.72
0
80.48
0
80.48
截止日期
2022-06-13
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(%)
0.0141
83148.9
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(%)
0.0141
71221.2
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(%)
0.0141
84526.8
0.0141
84526.8
0.0141
84526.8
0.0141
84526.8
0.0107
69464.6
0.0079
47347.6
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