丛麟科技

- 688370

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丛麟科技(688370)项目:基金持股
截止日期
2024-06-30
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(%)
0.2725
1898680
0.2725
1898680
0.0954
664574
0.0954
664574
0.0295
205884
0.0295
205884
0.0202
140448
0.0202
140448
0.0194
135181
0.0097
67510.8
0.0097
67510.8
0.0097
67510.8
0.0097
67510.8
0.0097
67510.8
0.0097
67510.8
0.0097
67510.8
0.0086
59897.9
0.0086
59897.9
0.0081
56546.3
0.0081
56546.3
0.0077
53865
0.0077
53865
0.0071
49779.2
0.0071
49779.2
0.005
34585.3
0.005
34585.3
0.005
34585.3
0.0007
4788
0.0007
4788
0.0005
3192
0.0005
3192
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(%)
0.732
7912250
0.732
7912250
0.5401
5837620
0.5401
5837620
0.1605
1734880
0.1605
1734880
0.0862
931536
0.0862
931536
0.0862
931536
0.0407
439512
0.0407
439512
0.034
368030
0.034
368030
0.0101
108680
0.0101
108680
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0097
104481
0.0086
92699.1
0.0086
92699.1
0.0081
87512.1
0.0081
87512.1
0.0077
83362.5
0.0077
83362.5
0.0071
77039.3
0.0071
77039.3
0.0065
70518.5
0.0065
70518.5
0.0052
56167.8
0.0052
56167.8
0.005
53524.9
0.0042
45448
0.0042
45448
0.0041
44385.9
0.0041
44385.9
0.0034
36531.3
0.0034
36531.3
0.0024
26404.3
0.0024
26404.3
0.0018
19587.1
0.0009
9880
0.0009
9880
0.0005
4940
0.0005
4940
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(%)
0.6275
5922940
0.3863
3646080
0.3863
3646080
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0131
123587
0.0116
109648
0.0116
109648
0.011
103496
0.011
103496
0.0106
100381
0.0104
98596.1
0.0104
98596.1
0.0097
91114
0.0097
91114
0.0088
83404.1
0.0088
83404.1
0.0087
81846.9
0.0087
81846.9
0.0082
77213.3
0.007
66427
0.007
66427
0.0067
63312.7
0.0056
52488.4
0.0056
52488.4
0.0046
43221.2
0.0046
43221.2
0.0025
23167.8
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(%)
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113434
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113434
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
114964
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0137
113467
0.0137
114964
0.0137
113467
0.0134
110608
0.0134
110608
0.0132
109178
0.013
107783
0.013
107783
0.0127
104924
0.0122
101998
0.0122
101998
0.0118
99136
0.0115
95020.8
0.0115
95020.8
0.0115
96274.2
0.0115
96274.2
0.0112
92161.4
0.011
91964
0.011
90766.6
0.011
90766.6
0.011
91716.7
0.011
91716.7
0.0106
89066.9
0.0106
89066.9
0.0103
85082.8
0.0103
85082.8
0.0103
85082.8
0.0103
85082.8
0.0101
84756.7
0.0101
84756.7
0.0098
80828.7
0.0093
77584.7
0.0093
77584.7
0.0091
76136.1
0.0091
76136.1
0.0086
71825.9
0.0086
70890.7
0.0086
70890.7
0.0086
70890.7
0.0086
70890.7
0.0086
71825.9
0.0082
68066.2
0.0082
68066.2
0.0081
66636.6
0.0081
66636.6
0.0081
66636.6
0.0077
63812.1
0.0077
64653.9
0.0077
63812.1
0.0074
60987.6
0.0074
61792.2
0.0074
61792.2
0.0072
59558
0.0072
59558
0.0072
59558
0.0072
59558
0.0072
59558
0.007
58128.3
0.007
58128.3
0.007
58128.3
0.0069
56733.5
0.0069
56733.5
0.0069
56733.5
0.0069
56733.5
0.0069
56733.5
0.0069
56733.5
0.0069
56733.5
0.0067
55303.8
0.0067
55303.8
0.0065
53874.1
0.0065
53874.1
0.0063
52444.5
0.0063
52444.5
0.0063
52444.5
0.0063
52444.5
0.0062
51049.7
0.0062
51049.7
0.0062
51049.7
0.006
50274.6
0.006
50274.6
0.006
49620
0.006
49620
0.0058
48190.3
0.0058
48190.3
0.0058
48190.3
0.0057
46795.5
0.0053
43936.2
0.0053
44303.8
0.005
41099.9
0.005
41099.9
0.005
41111.7
0.005
41111.7
0.005
41111.7
0.005
41111.7
0.0048
39682.1
0.0048
39682.1
0.0048
39682.1
0.0048
39682.1
0.0045
36857.6
0.0045
36857.6
0.0043
35427.9
0.0043
35427.9
0.0041
34517.4
0.0041
34517.4
0.0041
34482.1
0.0041
34482.1
0.0039
32603.4
0.0039
32603.4
0.0039
32603.4
0.0039
32603.4
0.0038
31173.8
0.0036
29779
0.0034
28349.3
0.0034
28349.3
0.0033
26919.6
0.0031
25524.8
0.0031
25524.8
0.0029
24095.2
0.0029
24095.2
0.0027
22659
0.0027
22659
0.0027
22659
0.0026
21551.3
0.0019
15586.9
0.0019
15586.9
0.0017
14157.2
0.0016
13284.1
0.0015
12860.1
0.0015
12718.8
0.0015
12718.8
0.0001
529.95
0.0001
529.95
0
141.32
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(%)
0.013
102498
0.0074
57996.8
0.0058
45827.1
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