英诺特

- 688253

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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:
英诺特(688253)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(%)
1.3526
34302200
1.3526
34302200
1.1114
28186600
1.0405
26388500
1.0405
26388500
0.9959
25257500
0.9959
25257500
0.9009
22846600
0.9009
22846600
0.7561
19176500
0.7561
19176500
0.6488
16453500
0.5145
13049100
0.3434
8708190
0.3434
8708190
0.2416
6127410
0.2416
6127410
0.2277
5775510
0.1897
4809680
0.1897
4809680
0.1609
4079590
0.1609
4079590
0.1608
4077700
0.1608
4077700
0.0707
1792890
0.0408
1034140
0.0408
1034140
0.0351
890940
0.0351
890940
0.0259
655657
0.0259
655657
0.0221
559979
0.0221
559979
0.0146
370700
0.0146
370700
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(%)
1.9316
33049300
1.9316
33049300
0.8831
15109400
0.8831
15109400
0.8095
13850800
0.8095
13850800
0.7864
13454700
0.7109
12163600
0.513
8776760
0.513
8776760
0.5116
8753500
0.5116
8753500
0.5005
8563650
0.5005
8563650
0.3976
6802200
0.3976
6802200
0.3817
6530540
0.3817
6530540
0.321
5492250
0.321
5492250
0.2646
4526810
0.2353
4026610
0.2353
4026610
0.2097
3587710
0.1492
2553520
0.1492
2553520
0.144
2464210
0.144
2464210
0.1079
1845740
0.1079
1845740
0.0703
1202980
0.0703
1202980
0.0653
1117850
0.0653
1117850
0.0503
860344
0.0503
860344
0.0439
750300
0.0439
750300
0.0345
590436
0.0345
590436
0.0319
546619
0.0319
546619
0.0303
517707
0.0303
517707
0.0294
502901
0.0294
502901
0.0199
340136
0.0185
315901
0.0184
314151
0.0123
210084
0.0088
150610
0.0082
140006
0.0082
139531
0.0082
139531
0.007
120048
0.0064
109144
0.0064
109144
0.0064
109144
0.0064
109144
0.0064
109144
0.0064
109144
0.0064
109144
0.0064
109144
0.0064
109144
0.0064
109144
0.0064
109144
0.0053
90036
0.0052
89685.9
0.0052
89685.9
0.0049
83358.3
0.0049
83358.3
0.0047
79957
0.0047
79957
0.0037
63600.4
0.0037
63600.4
0.0009
15006
0.0009
15006
0.0009
15006
0.0006
9428.77
0.0006
9428.77
0.0003
5152.06
0.0003
4801.92
0
825.33
0
250.1
0
250.1
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(%)
0.6301
4767590
0.5441
4116440
0.5441
4116440
0.4348
3289810
0.4348
3289810
0.4204
3181210
0.4204
3181210
0.318
2405700
0.318
2405700
0.3123
2363100
0.3123
2363100
0.2403
1818540
0.2403
1818540
0.1586
1200200
0.1586
1200200
0.0276
208980
0.0276
208980
0.0238
179820
0.0238
179820
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.014
106045
0.0129
97831.8
0.0129
97831.8
0.0115
87139.8
0.0115
87139.8
0.0108
81891
0.0108
81891
0.0103
77687.1
0.0103
77687.1
0.01
75330
0.01
75330
0.0076
57736.8
0.0064
48600
0.0064
48600
0.0051
38880
0.0051
38880
0.0007
5005.8
0.0006
4665.6
0.0001
801.9
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(%)
1.6379
12663300
0.0646
499083
0.058
448455
0.058
448455
截止日期
2023-01-19
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(%)
0.0146
100459
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(%)
0.1018
693448
0.1018
693448
0.0264
180103
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97099
0.0153
97099
0.0153
97099
0.0153
97273.6
0.0153
97273.6
0.0153
103950
0.0153
103950
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
0.0153
97273.6
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0.0153
103950
0.0153
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97273.6
0.0153
103950
0.0153
103950
0.0153
97273.6
0.0153
97099
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0.0153
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97273.6
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97273.6
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97273.6
0.0153
97099
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97273.6
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97273.6
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97273.6
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96292.8
0.0151
96292.8
0.015
95334.3
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0.0148
94375.9
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94375.9
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94375.9
0.0148
94375.9
0.0145
92458.9
0.0144
91314
0.0144
91314
0.0141
89561.2
0.0136
86663.5
0.0136
86663.5
0.0136
86663.5
0.0134
85705
0.0134
91587.9
0.0134
91587.9
0.0134
85705
0.0134
85705
0.0134
85705
0.0127
80890.4
0.0127
80890.4
0.0125
79931.9
0.0125
85418.5
0.0125
85418.5
0.0125
79931.9
0.0125
79931.9
0.0124
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0.0122
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0.0122
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0.0122
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0.0113
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0.0113
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0.0112
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0.0112
71261.1
0.0112
71261.1
0.011
70176.5
0.011
70176.5
0.0106
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0.0106
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0.0106
67405
0.0106
67405
0.0101
64529.6
0.0098
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62478
0.0095
60673.4
0.0095
60673.4
0.0092
58734.1
0.0092
58734.1
0.0086
54878
0.0085
53919.5
0.0085
53919.5
0.0083
52961
0.0083
52961
0.0079
50063.3
0.0079
50063.3
0.0076
48146.4
0.0076
48146.4
0.0076
48146.4
0.0076
48146.4
0.0073
46229.5
0.0073
46229.5
0.0065
41340.5
0.0065
41340.5
0.0045
28887.8
0.0041
25990.1
0.0041
25990.1
0.0007
4906.92
0.0007
4573.44
0.0003
2382
0.0003
2382
0.0001
786.06
0.0001
500.22
0.0001
500.22
0
47.64
0
47.64
0
47.64
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(%)
0.0153
87498.2
0.0122
70155
0.0122
70155
0.0083
47638.8
0.0045
25984.8
0.0041
23378.3
0.0041
23378.3
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