凌云光

- 688400

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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:
凌云光(688400)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(%)
0.0047
233005
0.0047
233005
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(%)
0.2856
18480700
0.2856
18480700
0.164
10609900
0.164
10609900
0.1177
7612840
0.1177
7612840
0.1082
7003040
0.1064
6886050
0.0856
5535000
0.0844
5462400
0.0844
5462400
0.076
4920290
0.076
4920290
0.0645
4171500
0.0602
3895860
0.0602
3895860
0.0563
3640900
0.0563
3640900
0.0497
3213510
0.0497
3213510
0.0475
3075300
0.0475
3075300
0.0445
2877390
0.0445
2877390
0.0372
2404300
0.0372
2404300
0.0361
2334910
0.034
2198500
0.034
2198500
0.0315
2038800
0.0315
2038800
0.0313
2023920
0.0313
2023920
0.0158
1024350
0.0154
999000
0.0154
999000
0.0144
934578
0.0129
833355
0.0113
730161
0.0113
730161
0.0094
610767
0.0094
610767
0.0092
598104
0.0088
569133
0.0088
569133
0.0083
540000
0.0083
540000
0.0078
504603
0.0066
427572
0.0066
427572
0.006
388800
0.006
388800
0.0055
353997
0.0055
353997
0.0055
353997
0.0055
353997
0.0055
353997
0.0055
353997
0.0052
334800
0.0049
318600
0.0049
318600
0.0049
318600
0.0049
318600
0.0047
303480
0.0047
303480
0.0042
269676
0.0042
269676
0.004
258768
0.004
258768
0.004
256500
0.0039
255123
0.0039
255123
0.0033
211491
0.0033
211491
0.0027
174555
0.002
129384
0.002
129384
0.0019
125658
0.0019
125658
0.0018
116640
0.0015
97200
0.0015
97200
0.0015
93987
0.0015
93987
0.0013
86481
0.0013
86481
0.0008
54243
0.0008
53244
0.0008
53244
0.0008
49653
0.0008
48600
0.0008
48600
0.0007
46818
0.0007
46818
0.0005
35100
0.0005
35100
0.0005
34182
0.0005
34182
0.0005
32400
0.0005
32400
0.0005
30429
0.0005
30429
0.0004
24300
0.0004
24300
0.0002
10800
0.0002
10800
0.0001
7101
0.0001
5859
0.0001
5103
0
2916
0
2916
0
2700
0
2700
0
2322
0
1566
0
1566
0
1485
0
945
0
945
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(%)
0.5635
15240000
0.5635
15240000
0.3663
9907580
0.3663
9907580
0.3156
8534400
0.3156
8534400
0.2318
6268880
0.2133
5769650
0.2133
5769650
0.2093
5661140
0.2093
5661140
0.2054
5554460
0.2054
5554460
0.1848
4998720
0.1848
4998720
0.1813
4902010
0.1813
4902010
0.1813
4902010
0.1803
4876800
0.1803
4876800
0.1571
4247510
0.1349
3648790
0.1349
3648790
0.1151
3113200
0.1036
2802060
0.1036
2802060
0.1003
2712480
0.1003
2712480
0.098
2649320
0.098
2649320
0.0702
1897870
0.0702
1897870
0.0685
1851360
0.0685
1851360
0.0529
1430270
0.049
1325910
0.049
1325910
0.0414
1119040
0.0338
914400
0.0338
914400
0.0338
914400
0.0338
914400
0.0305
824271
0.0305
824271
0.0305
823752
0.0305
823752
0.028
757946
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0148
399623
0.0133
359816
0.0133
359816
0.0129
349575
0.0128
347259
0.0126
341193
0.0126
341193
0.012
323301
0.012
323301
0.0108
292120
0.0108
292120
0.0106
288006
0.0106
288006
0.0101
274229
0.0101
274229
0.0093
252161
0.0093
252161
0.0087
234696
0.0087
234239
0.0087
234239
0.0085
230856
0.0085
230856
0.0073
197053
0.0072
194280
0.0072
194280
0.0072
194280
0.006
163007
0.006
163007
0.0055
148072
0.0055
148072
0.0054
146060
0.0054
146060
0.0053
142250
0.0053
142250
0.0052
140208
0.0052
140208
0.0051
137800
0.0043
117135
0.0043
115062
0.0039
106101
0.0039
106101
0.0036
97627.4
0.0036
97627.4
0.0034
91561.9
0.0034
91561.9
0.0034
91440
0.0034
91440
0.0028
74401.7
0.0028
74401.7
0.0025
68854.3
0.0021
56052.7
0.0015
39928.8
0.0015
39928.8
0.0009
24627.8
0.0009
24627.8
0.0009
24384
0.0009
24384
0.0009
24384
0.0009
24384
0.0003
8016.24
0.0002
6614.16
0.0002
5760.72
0.0001
3291.84
0.0001
3291.84
0.0001
3048
0.0001
3048
0.0001
2621.28
0.0001
2164.08
0.0001
2164.08
0.0001
1676.4
0
1005.84
0
1005.84
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(%)
2.3406
63239700
2.3406
63239700
0.5663
15300400
0.5663
15300400
0.3973
10733700
0.3973
10733700
0.0654
1766100
0.0564
1522500
0.0564
1522500
0.0451
1218000
0.0451
1218000
0.0349
943950
0.0349
943950
0.0105
284951
0.0105
284951
0.0061
164430
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(%)
6.1156
130068000
5.3323
113409000
5.3323
113409000
1.7417
37041900
1.7417
37041900
1.2169
25881700
0.4348
9246890
0.4295
9135320
0.4295
9135320
0.3805
8092730
0.3805
8092730
0.2401
5106000
0.12
2553000
0.12
2553000
0.1161
2469800
0.1161
2469800
0.0977
2077100
0.0874
1858710
0.072
1531800
0.072
1531800
0.072
1531800
0.0685
1456920
0.0685
1456920
0.0635
1350590
0.0621
1320050
0.0621
1320050
0.048
1021200
0.048
1021200
0.043
915148
0.043
915148
0.0372
791430
0.0372
791430
0.0354
752450
0.0354
752450
0.0283
602789
0.0283
602789
0.0277
588084
0.0277
588084
0.0242
515706
0.0221
471003
0.0214
454281
0.0204
434010
0.0204
434010
0.0168
357471
0.0168
357471
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
334724
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
334724
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
331446
0.0157
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0.0157
331446
0.0157
331446
0.0157
331184
0.0157
331446
0.0157
331446
0.0157
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0.0157
331446
0.0157
331446
0.0157
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0.0157
331446
0.0157
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0.0157
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0.0157
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0.0157
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0.0157
331446
0.0157
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0.0157
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0.0157
334724
0.0157
334724
0.0157
331446
0.0157
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0.0157
331446
0.0157
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0.0157
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0.0157
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0.0157
331446
0.0157
331446
0.0157
334724
0.0157
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0.0157
331446
0.0157
331446
0.0157
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0.0157
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0.0157
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0.0157
331446
0.0157
331446
0.0156
329146
0.0155
325733
0.0155
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0.0152
321157
0.0152
321157
0.0148
312006
0.0148
312006
0.0147
308568
0.0146
307430
0.0146
307430
0.0143
300579
0.0143
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0.0139
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0.0139
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0.0139
292359
0.0138
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0.0138
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0.0137
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285715
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0.0134
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0.0128
268575
0.0127
267437
0.0127
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0.0125
262861
0.0125
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0.0124
260586
0.012
253710
0.012
253509
0.012
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0.0119
251435
0.0117
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0.0115
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0.0113
241233
0.0112
236570
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100564
0.0045
94850.6
0.0045
94850.6
0.0045
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0.0044
93713
0.0044
93713
0.0042
88869.9
0.0042
88869.9
0.0042
87930.1
0.0039
82286.4
0.0038
79985.9
0.0038
79985.9
0.0037
79168.5
0.0037
79015.4
0.0037
77710.7
0.0037
77710.7
0.0037
78479.2
0.0036
76573.1
0.0036
76573.1
0.0033
69620.3
0.0033
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0.0033
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0.0033
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0.0033
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0.0033
69594.8
0.0033
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0.0033
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0.0033
68559.4
0.0033
68559.4
0.0033
68559.4
0.0031
66284.2
0.0031
66284.2
0.0031
66284.2
0.0031
66284.2
0.003
62846.1
0.003
62846.1
0.003
62846.1
0.003
62846.1
0.003
63365.5
0.003
63365.5
0.0029
61659.7
0.0019
40848
0.0019
40848
0.0016
33469.8
0.0009
19734.7
0.0008
17871
0.0008
17871
0.0007
14756.3
0.0007
14756.3
0.0004
9037.62
0.0004
7659
0.0004
7659
0.0003
6714.39
0.0003
5540.01
0.0002
4825.17
0
127.65
0
127.65
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(%)
0.0372
726330
0.0372
726330
0.0221
431089
0.0221
431089
0.0157
270611
0.0157
270611
0.0157
270611
0.0157
270611
0.0157
270611
0.0157
270611
0.0157
270611
0.0157
270611
0.0157
270611
0.0157
270611
0.0139
238887
0.0139
238887
0.0127
218351
0.0127
218351
0.012
207143
0.0119
205285
0.0112
193149
0.0112
193149
0.0073
125037
0.0073
125037
0.0068
117565
截止日期
2022-07-12
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(%)
0.0078
172422
0.0078
172422
0.0078
172422
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
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