邦彦技术

- 688132

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邦彦技术(688132)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(%)
3.0334
69638500
3.0334
69638500
1.4002
32145400
1.4002
32145400
1.029
23621900
1.029
23621900
0.8362
19196800
0.8362
19196800
0.5721
13134900
0.5193
11922700
0.5193
11922700
0.3394
7791950
0.3394
7791950
0.3348
7685980
0.3348
7685980
0.3201
7347750
0.3201
7347750
0.2683
6158580
0.2683
6158580
0.1526
3503660
0.1526
3503660
0.1475
3387080
0.1309
3004530
0.1309
3004530
0.1309
3004530
0.1114
2556600
0.1114
2556600
0.109
2503020
0.109
2503020
0.0952
2184640
0.0933
2143000
0.0933
2143000
0.0807
1851550
0.0807
1851550
0.0456
1046490
0.0456
1046490
0.0442
1015780
0.0442
1015780
0.0365
837913
0.0365
837913
0.0278
637971
0.0278
637971
0.0255
584825
0.0255
584825
0.023
527178
0.0222
509755
0.0211
484661
0.0211
484661
0.021
482389
0.021
482389
0.0203
465031
0.0203
465031
0.0187
429200
0.0187
429200
0.0184
422171
0.0184
422171
0.0177
407170
0.0177
407170
0.017
390026
0.017
390026
0.0166
380768
0.0166
380768
0.0159
364310
0.0159
364310
0.0153
351452
0.0153
351452
0.0136
312878
0.0136
312878
0.013
299249
0.013
299249
0.0112
257160
0.0112
257160
0.0111
255017
0.0111
254524
0.0111
254524
0.0082
188777
0.0078
180162
0.0078
180162
0.0078
178469
0.0078
178469
0.0059
134795
0.0059
134795
0.0054
123308
0.0048
109293
0.0048
109293
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0045
103807
0.0041
93992
0.0041
93992
0.0038
88227.3
0.0038
88227.3
0.0036
83041.2
0.0035
80169.6
0.0035
80169.6
0.0035
80169.6
0.0035
79291
0.0035
79291
0.003
69197.5
0.003
69197.5
0.0027
60839.8
0.0027
60839.8
0.0024
54496.5
0.0024
54496.5
0.0021
47146
0.0017
38916.9
0.0017
38916.9
0.0017
38059.7
0.0015
35466.6
0.0015
35466.6
0.0014
31716.4
0.001
22672.9
0.0009
21430
0.0009
21430
0.0008
19244.1
0.0008
19244.1
0.0005
10393.5
0.0005
10393.5
0.0004
8572
0.0004
8572
0.0004
8572
0.0003
6407.57
0.0003
6407.57
0
1007.21
0
278.59
0
278.59
0
150.01
0
150.01
0
128.58
0
128.58
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(%)
1.029
24316300
1.029
24316300
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(%)
3.1299
29960000
3.1299
29960000
2.5436
24347700
2.5436
24347700
2.2717
21745200
2.2717
21745200
1.7404
16659100
1.7154
16420400
1.7154
16420400
1.5798
15121700
1.5798
15121700
1.3126
12564800
1.3126
12564800
1.0184
9748240
1.0184
9748240
0.516
4939500
0.516
4939500
0.3378
3233500
0.3378
3233500
0.3264
3124610
0.3245
3106620
0.3245
3106620
0.3127
2993390
0.3127
2993390
0.2599
2488080
0.1966
1882300
0.1966
1882300
0.1285
1230220
0.1022
978344
0.1022
978344
0.0636
608832
0.0636
608832
0.0492
471410
0.0337
322817
0.0337
322817
0.0304
290826
0.0304
290826
0.0244
233748
0.0244
233748
0.0199
190260
0.0199
190260
0.0142
135900
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0138
131660
0.0128
122310
0.0127
121794
0.0117
111900
0.0117
111900
0.0117
111737
0.0115
109726
0.0115
109726
0.011
105322
0.011
105322
0.0108
103121
0.0108
103121
0.0097
92412
0.0097
92412
0.0097
92384.8
0.0092
87764.2
0.0092
87764.2
0.0085
81567.2
0.0085
81567.2
0.0074
70668
0.0072
69118.7
0.0072
69118.7
0.0068
65232
0.0068
65232
0.0065
62514
0.0065
62514
0.0057
54360
0.0057
54360
0.0054
51642
0.0052
49358.9
0.0052
49358.9
0.005
48271.7
0.0047
44982.9
0.0047
44982.9
0.0042
40579.7
0.0042
40579.7
0.0023
21744
0.0023
21744
0.0014
13182.3
0.0014
13182.3
0.0004
4267.26
0
163.08
0
163.08
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(%)
3.1299
29629300
3.1299
29629300
1.3337
12625600
1.3337
12625600
1.2871
12184600
1.2871
12184600
0.0337
319254
0.0337
319254
0.0093
87897.6
0.0064
60372.5
0.0064
60372.5
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(%)
3.3067
26895600
3.3067
26895600
2.6079
21211800
2.6079
21211800
1.8387
14955200
1.5
12200300
1.5
12200300
1.219
9915060
1.219
9915060
1.2046
9797500
1.11
9028000
0.9774
7949520
0.9774
7949520
0.769
6254400
0.7682
6248350
0.693
5636720
0.693
5636720
0.6145
4990440
0.5467
4447020
0.3965
3225120
0.3965
3225120
0.3215
2614780
0.2568
2084190
0.2568
2084190
0.2525
2053650
0.2525
2053650
0.1928
1568070
0.1928
1568070
0.1493
1214680
0.1406
1143730
0.1406
1143730
0.1037
843581
0.1037
843581
0.0676
549976
0.0676
549976
0.0349
283796
0.0216
175485
0.0145
110443
0.0145
118194
0.0145
118194
0.0145
110443
0.0145
110443
0.0145
110443
0.0145
118194
0.0145
110443
0.0145
110443
0.0145
118194
0.0145
118194
0.0145
110443
0.0145
118194
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110443
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0.0145
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118194
0.0145
110443
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0.0145
110443
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110443
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110443
0.0145
110443
0.0145
110443
0.0145
110443
0.0145
110443
0.0145
110443
0.0145
110443
0.0145
118194
0.0145
110443
0.0145
118194
0.0145
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0.0145
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0.0145
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0.005
40382
0.005
40382
0.0047
35887.2
0.0047
35887.2
0.0045
34040.4
0.0045
34040.4
0.0045
34040.4
0.0042
32216.4
0.0042
32216.4
0.0041
31281.6
0.0036
29548.4
0.0027
21667.2
0.0024
18399.6
0.0024
18399.6
0.0015
11834
0.0001
1073.6
0.0001
1073.6
截止日期
2022-11-30
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(%)
0.0145
132387
0.0145
132387
截止日期
2022-11-08
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(%)
0.0145
139701
0.0145
139701
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(%)
0.0145
102499
0.0145
95862.8
0.0145
102499
0.0145
102499
0.0099
65504.9
0.0071
47120
0.0065
43142.2
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