步科股份

- 688160

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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:
步科股份(688160)项目:基金持股
截止日期
2024-03-31
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(%)
1.52
72881600
0.343
16445400
0.343
16445400
0.2509
12027600
0.2509
12027600
0.014
670290
0.014
670290
0.0118
564864
0.0118
564864
0.0111
530844
0.0065
313940
0.0065
313940
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(%)
1.5926
77833600
1.4307
69918000
1.4307
69918000
0.9914
48452100
0.9914
48452100
0.6679
32642600
0.5238
25600200
0.3295
16104000
0.3295
16104000
0.2431
11880100
0.2431
11880100
0.2366
11565300
0.2366
11565300
0.2167
10588800
0.2167
10588800
0.2152
10515600
0.2152
10515600
0.2079
10160500
0.2079
10160500
0.183
8944480
0.183
8944480
0.183
8944480
0.1644
8033730
0.1644
8033730
0.1453
7099760
0.1431
6993580
0.1431
6993580
0.1275
6230850
0.1275
6230850
0.1224
5982940
0.1224
5982940
0.113
5522270
0.113
5522270
0.1123
5489460
0.1123
5489460
0.099
4838830
0.099
4838830
0.094
4595750
0.085
4155970
0.085
4155970
0.081
3956240
0.081
3956240
0.0654
3197400
0.0654
3197400
0.0563
2751330
0.0563
2751330
0.0555
2710660
0.0555
2710660
0.0554
2707170
0.0554
2707170
0.0536
2618100
0.0536
2618100
0.0517
2525420
0.0517
2525420
0.0514
2510470
0.0514
2510470
0.0507
2478580
0.0507
2478580
0.0476
2326150
0.0476
2326150
0.0468
2287700
0.0468
2287700
0.046
2245750
0.046
2245750
0.0436
2128630
0.0436
2128630
0.043
2101400
0.043
2101400
0.0413
2018850
0.0413
2018850
0.0399
1950720
0.0399
1950720
0.0382
1869090
0.0382
1865130
0.0382
1865130
0.0376
1838950
0.0376
1838950
0.0359
1754420
0.0359
1754420
0.0348
1703040
0.0348
1703040
0.0327
1597680
0.0327
1597680
0.0312
1524140
0.031
1512680
0.031
1512680
0.0258
1258960
0.0258
1258960
0.0249
1217530
0.0249
1217530
0.0245
1198510
0.0232
1135150
0.0232
1135150
0.0176
859144
0.0163
795437
0.0163
795437
0.0156
764602
0.0156
764602
0.0155
756340
0.0155
756340
0.0155
755642
0.0155
755642
0.0148
722596
0.0139
680415
0.0138
672503
0.0138
672503
0.0129
632533
0.0129
632533
0.0119
581800
0.0114
558528
0.0103
504362
0.0103
504362
0.0103
502326
0.0103
502326
0.0091
442924
0.0091
442924
0.0083
407260
0.0083
407260
0.0079
384919
0.0079
384919
0.0078
379741
0.0078
379741
0.0069
335000
0.0069
335000
0.0067
325808
0.0067
325808
0.0057
277228
0.0057
277228
0.0057
277228
0.0056
275599
0.0056
275599
0.0048
232720
0.0048
232720
0.0044
215615
0.0044
215615
0.0044
213579
0.0036
174540
0.0036
174540
0.0031
151268
0.0031
151268
0.0029
141494
0.0029
141494
0.0029
140388
0.0028
136316
0.0028
136316
0.0027
133814
0.0027
133814
0.002
96695.2
0.002
96695.2
0.0018
86920.9
0.0018
86920.9
0.0014
70106.9
0.0014
70106.9
0.0013
63299.8
0.0013
63299.8
0.0012
58180
0.0012
58180
0.0012
58180
0.0012
57307.3
0.001
46660.4
0.001
46544
0.001
46544
0.0008
40726
0.0005
23970.2
0.0002
11636
0.0002
11636
0.0002
11636
0.0001
4479.86
0.0001
4479.86
0.0001
3083.54
0.0001
3083.54
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(%)
0.153
2591550
0.153
2591550
0.0417
706493
0.0417
706493
0.0328
556345
0.0328
556345
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(%)
1.2246
28341500
1.2246
28341500
0.9945
23015200
0.9945
23015200
0.9945
23015200
0.6269
14508700
0.6269
14508700
0.5742
13288100
0.5742
13288100
0.4544
10517100
0.4544
10517100
0.3228
7471910
0.3228
7471910
0.2567
5940690
0.2567
5940690
0.2228
5156460
0.2228
5156460
0.2154
4984620
0.2154
4984620
0.2094
4846090
0.2094
4846090
0.1775
4107870
0.1775
4107870
0.1547
3580650
0.1547
3580650
0.1289
2982450
0.1289
2982450
0.1259
2913570
0.1259
2913570
0.1253
2899870
0.1253
2899870
0.1238
2864380
0.1235
2859290
0.1235
2859290
0.1225
2835660
0.122
2824470
0.1121
2594180
0.1121
2594180
0.1086
2513270
0.1086
2513270
0.1086
2513270
0.0945
2186110
0.0945
2186110
0.0944
2185280
0.0835
1932360
0.0819
1895530
0.0819
1895530
0.0783
1812870
0.0783
1812870
0.0741
1713840
0.0723
1674010
0.0723
1674010
0.052
1204070
0.0486
1124490
0.0486
1124490
0.0465
1075730
0.0465
1075730
0.0443
1024290
0.0443
1024290
0.0433
1001500
0.0433
1001500
0.0409
947642
0.0409
947642
0.0403
931693
0.0403
931693
0.0322
744486
0.0322
744486
0.0261
602954
0.0261
602954
0.0253
584500
0.0253
584500
0.0251
580910
0.0251
580910
0.0248
574814
0.0248
574814
0.0208
481461
0.0208
481461
0.0202
467600
0.0174
402971
0.0174
402971
0.0166
384601
0.0166
384601
0.0149
344270
0.0149
344270
0.0144
334000
0.0138
320306
0.0138
320306
0.0133
308783
0.0133
308783
0.01
231378
0.0094
218018
0.0094
218018
0.0094
217100
0.0094
217100
0.0087
202154
0.0087
201486
0.0087
200400
0.0087
200400
0.0079
183700
0.0079
183700
0.007
161656
0.007
161656
0.0036
83500
0.0036
83500
0.0029
67885.5
0.0029
67885.5
0.0028
63794
0.0028
63794
0.0014
33400
0.0014
33400
0.0013
31145.5
0.0013
31145.5
0.001
22879
0.001
22879
0.0003
6429.5
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(%)
0.3861
3105580
0.3861
3105580
0.3666
2948980
0.2107
1694770
0.2107
1694770
0.1714
1378450
0.1714
1378450
0.1485
1194140
0.1485
1194140
0.136
1094050
0.136
1094050
0.136
1094050
0.136
1094050
0.1216
977974
0.1216
977974
0.1173
943585
0.1143
919499
0.1039
835776
0.1039
835776
0.0599
481732
0.0599
481732
0.01
80414.4
0.01
80414.4
0.0064
51394.4
0.0064
51394.4
0.0043
34824
0.0005
3801.62
0.0004
3105.14
0.0004
3105.14
0.0004
2902
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
77366.3
0.0104
77366.3
0.0104
77366.3
0.0104
77366.3
0.0104
77366.3
0.0104
77366.3
0.0104
77366.3
0.0104
77366.3
0.0002
1675.2
0.0002
1675.2
0.0002
1675.2
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(%)
0.0127
117300
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0104
95599.5
0.0002
2070
0.0002
2070
0.0002
2070
截止日期
2021-09-26
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
94574.2
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(%)
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0139
116354
0.0099
82930.2
0.0099
82930.2
0.0027
22674.6
0.0027
22674.6
0.002
16796
0.002
16796
0.0004
3443.18
0.0004
3443.18
0.0003
2519.4
0.0003
2519.4
0.0003
2519.4
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(%)
0.0145
86039.5
0.0145
86039.5
0.0145
86039.5
0.0145
86039.5
0.0145
86039.5
0.0118
69924.6
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(%)
0.0145
112004
0.0145
86704.6
0.0145
86704.6
0.0145
112004
0.0145
112004
0.0145
112004
0.0145
112004
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
101973
0.0145
101973
0.0145
101973
0.0145
101973
0.0145
86704.6
0.0145
86704.6
0.0145
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0.0145
86704.6
0.0145
112004
0.0145
86704.6
0.0145
86704.6
0.0145
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0.0145
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0.0145
86704.6
0.0145
112004
0.0145
86704.6
0.0145
86704.6
0.0145
112004
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
112004
0.0145
112004
0.0145
86704.6
0.0145
112004
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
86704.6
0.0145
112004
0.0145
112004
0.0145
86704.6
0.0145
86704.6
0.0145
101973
0.0145
112004
0.0145
86704.6
0.0145
86704.6
0.0142
84545.6
0.0136
81291.4
0.0127
89240
0.0125
74783.1
0.012
71528.9
0.012
71528.9
0.0118
70465.1
0.0118
70465.1
0.0118
70465.1
0.0116
69369.9
0.0109
65020.6
0.0107
63956.8
0.0103
79829.5
0.0103
79829.5
0.0102
60702.6
0.01
59607.4
0.0098
75625.8
0.0098
75625.8
0.0065
39018.6
0.006
35764.5
0.0036
28051.5
0.003
23079.8
0.0022
16976.4
0.0022
16976.4
0.0006
4284.52
0.0006
4284.52
0.0006
4284.52
0.0006
4284.52
0.0006
4284.52
0.0006
4284.52
0.0004
3314.44
0.0004
3314.44
0.0004
2869.82
0.0004
2869.82
截止日期
2020-12-17
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
102001
0.0145
102001
0.0145
102001
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