晶华微

- 688130

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晶华微(688130)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(%)
1.1414
7541890
1.1414
7541890
0.4407
2911910
0.4407
2911910
0.3333
2202350
0.3333
2202350
0.307
2028450
0.307
2028450
0.1045
690365
0.0754
497962
0.0754
497962
0.044
290893
0.044
290893
0.0387
255925
0.0387
255925
0.0309
203964
0.0309
203964
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0192
127125
0.0186
122877
0.0186
122877
0.0185
122550
0.0185
122550
0.0179
118465
0.0179
118465
0.0177
116954
0.015
99143
0.015
99143
0.0142
94077.5
0.013
85785
0.013
85785
0.0115
76267
0.0115
76267
0.0115
76267
0.0115
76267
0.0108
71201.5
0.0108
71201.5
0.0039
25449.6
0.0039
25449.6
0.0039
25449.6
0.0039
25449.6
0.0025
16340
0.0025
16340
0.0006
3676.5
0.0006
3676.5
0.0002
1266.35
0.0002
1266.35
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(%)
0.052
360562
0.052
360562
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0198
137239
0.0182
126258
0.0154
107031
0.0154
107031
0.0146
101562
0.0119
82334.7
0.0119
82334.7
0.0119
82334.7
0.0119
82334.7
0.0111
76866.3
0.0111
76866.3
0.007
48510
0.007
48510
0.004
27474.3
0.004
27474.3
0.004
27474.3
0.004
27474.3
0.0005
3131.1
0.0002
1367.1
0.0002
1367.1
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(%)
0.021
128899
0.021
128899
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128806
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128806
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
128806
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
132353
0.021
132353
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128806
0.021
128806
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
132353
0.021
132353
0.021
132353
0.021
128899
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
128899
0.021
132353
0.021
128899
0.021
128899
0.021
132353
0.021
128899
0.021
128899
0.021
132353
0.021
128899
0.021
132353
0.021
132353
0.021
128899
0.0206
126290
0.0206
126290
0.0201
127037
0.0201
127037
0.0197
121154
0.0193
121763
0.0189
116017
0.0189
116017
0.0185
113408
0.0176
108272
0.0172
105704
0.0172
105704
0.0172
105704
0.0164
103220
0.0164
103220
0.0159
97958.3
0.0159
100583
0.0159
97958.3
0.0159
97958.3
0.0155
95390.3
0.0151
92755
0.0151
92755
0.0151
92822.2
0.0151
92822.2
0.0147
90212.8
0.0147
90212.8
0.0143
87644.7
0.0143
87644.7
0.0138
85076.7
0.0138
85076.7
0.013
79899.2
0.013
79899.2
0.0126
77331.1
0.0126
77331.1
0.0126
77331.1
0.0126
77331.1
0.0122
74763.1
0.0117
72195.1
0.0117
72195.1
0.0117
74129.8
0.0117
74129.8
0.0117
72195.1
0.0117
72195.1
0.0109
67017.6
0.0109
67017.6
0.0105
64449.5
0.0105
64449.5
0.0105
64449.5
0.0101
61881.5
0.0101
61881.5
0.0101
61881.5
0.0101
61881.5
0.0101
61881.5
0.0092
56662.9
0.0092
56704
0.0092
56704
0.0092
56704
0.0088
55586.7
0.0088
55586.7
0.0084
51567.9
0.008
48999.9
0.0076
46431.8
0.0076
46431.8
0.0059
36118.2
0.0059
36118.2
0.0059
36118.2
0.0055
33508.8
0.0055
33508.8
0.0055
33508.8
0.0042
25786
0.0042
25786
0.0042
25786
0.0042
26496.2
0.0042
25804.7
0.004
25050.2
0.004
25050.2
0.0025
15948.8
0.0007
4253
0.0007
4253
0.0002
1318.43
0.0002
1318.43
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(%)
0.021
116980
0.021
116980
0.0059
32778.5
0.0055
30410.3
0.0055
30410.3
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