科威尔

- 688551

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科威尔(688551)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(%)
1.455
59521000
1.0549
43155700
0.7087
28990800
0.7087
28990800
0.232
9489770
0.232
9489770
0.153
6257340
0.153
6257340
0.152
6218810
0.1318
5009580
0.1318
5009580
0.0621
2541540
0.0621
2541540
0.0332
1357440
0.0332
1357440
0.0235
963300
0.0235
963300
0.0235
963300
0.0097
395663
0.0097
395663
0.0072
294060
0.0072
294060
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(%)
2.3659
71804000
2.2176
67300500
1.9156
58135700
1.9156
58135700
1.6006
48577700
1.6006
48577700
1.3948
42332100
1.0344
31391500
1.0344
31391500
1.0321
30971200
1.0321
30971200
0.8224
24959200
0.8053
24440500
0.8053
24440500
0.7658
23241100
0.7658
23241100
0.6938
21057500
0.6938
21057500
0.5258
15956100
0.5258
15956100
0.5151
15633200
0.5151
15633200
0.515
15628600
0.3979
12076400
0.3979
12076400
0.3531
10716900
0.3531
10716900
0.252
7646890
0.252
7646890
0.2275
6904760
0.2275
6904760
0.2252
6835780
0.2252
6835780
0.2195
6662830
0.2195
6662830
0.2151
6526870
0.2151
6526870
0.2072
6287800
0.2072
6287800
0.2072
6287800
0.1883
5714970
0.1883
5714970
0.1881
5708120
0.1881
5708120
0.1795
5449000
0.1218
3695510
0.1218
3695510
0.1192
3618140
0.1192
3618140
0.1127
3421030
0.102
3094710
0.0946
2869620
0.0935
2837980
0.0909
2759410
0.0904
2744000
0.0904
2744000
0.0846
2567160
0.0846
2567160
0.0836
2536210
0.0739
2243920
0.0687
2083460
0.0687
2083460
0.0663
2013000
0.0663
2013000
0.0648
1966180
0.0648
1966180
0.0639
1939230
0.0639
1939230
0.0615
1865740
0.0615
1865740
0.0596
1808760
0.0596
1808760
0.0584
1772730
0.0584
1772730
0.0562
1704610
0.0518
1570940
0.0518
1570940
0.0511
1551460
0.0511
1551460
0.051
1547520
0.051
1547520
0.0394
1195850
0.0394
1195850
0.0361
1094550
0.0281
852503
0.0281
852503
0.026
789008
0.026
789008
0.0232
703072
0.0232
703072
0.0232
702844
0.0215
613791
0.0215
613791
0.0171
518182
0.0171
518182
0.0162
492202
0.0159
482780
0.0159
482780
0.0156
472731
0.0156
472731
0.015
454973
0.015
454973
0.012
365154
0.012
365154
0.0096
291210
0.0096
291210
0.0094
285786
0.0086
245506
0.0086
245452
0.0086
245452
0.0086
245452
0.006
180722
0.006
180722
0.0058
176154
0.0058
176154
0.0048
145662
0.0048
145662
0.004
119910
0.004
119910
0.0038
115970
0.0038
115970
0.0031
93815.3
0.0026
79940
0.0026
79940
0.0019
57214.2
0.0019
57214.2
0.0015
45680
0.0015
45680
0.0014
42482.4
0.0014
42482.4
0.0011
34260
0.0011
34260
0.001
30662.7
0.001
30662.7
0.001
29577.8
0.0008
24553
0.0006
18728.8
0.0006
18728.8
0.0003
8622.1
0.0003
8165.3
0.0003
8165.3
0.0002
5710
0.0002
5710
0.0001
3140.5
0.0001
3140.5
0.0001
2341.1
0.0001
2341.1
0
456.8
0
456.8
0
399.7
0
399.7
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(%)
2.7457
76352100
2.7457
76352100
2.4989
69491600
2.3853
66330900
0.8554
23787100
0.8554
23787100
0.4759
13235100
0.4311
11989200
0.4311
11989200
0.0058
161198
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(%)
2.7061
94323100
2.7061
94323100
1.9959
69568500
1.9849
69186500
1.9799
69011800
1.8376
64050500
1.8376
64050500
1.67
58208900
1.038
36181800
1.038
36181800
0.9283
32358600
0.9179
31995800
0.8541
29771300
0.8541
29771300
0.6826
23793300
0.6826
23793300
0.5133
17892500
0.5133
17892500
0.5069
17669100
0.5069
17669100
0.4759
16589400
0.4472
15586500
0.4472
15586500
0.419
14605100
0.419
14605100
0.3147
10968300
0.3147
10968300
0.3103
10815300
0.3103
10815300
0.2438
8499630
0.2438
8499630
0.1724
6010870
0.1724
6010870
0.162
5645520
0.162
5645520
0.1219
4250040
0.1219
4250040
0.1167
4069370
0.0981
3419870
0.0981
3419870
0.0941
3279000
0.0941
3279000
0.093
3241680
0.093
3241680
0.0895
3118850
0.0838
2919230
0.0758
2642870
0.069
2406790
0.069
2406790
0.056
1952710
0.056
1952710
0.054
1882150
0.054
1882150
0.052
1812630
0.0485
1691700
0.0478
1665730
0.0472
1643630
0.0472
1643630
0.0467
1628740
0.0467
1628740
0.0376
1311600
0.0376
1311600
0.0376
1311600
0.0341
1188700
0.0341
1188700
0.0333
1160770
0.0333
1160770
0.0314
1092830
0.0304
1058590
0.0304
1058590
0.0285
994193
0.0285
994193
0.0254
885330
0.0236
824013
0.0236
824013
0.0233
810897
0.0233
810897
0.0214
747612
0.0214
747612
0.0211
735086
0.0211
735086
0.0207
721380
0.0207
721380
0.0203
707018
0.0199
695148
0.0199
695148
0.0196
682032
0.0196
682032
0.0175
609894
0.0175
609894
0.0175
609894
0.0154
537756
0.0154
537756
0.0154
537756
0.0152
529624
0.0152
529624
0.0151
525558
0.0151
525558
0.0128
447452
0.0124
430664
0.0124
430664
0.0115
400038
0.0115
400038
0.01
347574
0.01
347574
0.0088
306521
0.0087
301668
0.0087
301668
0.0078
272485
0.0078
272485
0.0069
239301
0.0069
239301
0.0067
234842
0.0067
234842
0.0062
216873
0.0062
216873
0.006
209922
0.006
209922
0.0056
196740
0.0056
196740
0.0053
183624
0.0049
170508
0.0049
170508
0.0045
157392
0.0045
157392
0.0042
144997
0.0042
144997
0.0041
144276
0.0041
142243
0.004
140669
0.004
140669
0.0038
131160
0.0036
124602
0.0036
124602
0.0034
118044
0.0034
118044
0.003
104928
0.0028
98370
0.0028
98370
0.0027
93976.1
0.0026
91812
0.0026
91812
0.0026
91812
0.0026
91812
0.0026
91812
0.0023
81647.1
0.0023
81647.1
0.0022
75810.5
0.0017
59022
0.0017
59022
0.0016
55480.7
0.0016
55480.7
0.0015
52464
0.0015
52464
0.001
33511.4
0.001
33511.4
0.0009
32790
0.0009
32790
0.0009
32790
0.0009
32790
0.0009
32790
0.0009
32790
0.0008
26232
0.0008
26232
0.0008
26232
0.0008
26232
0.0008
26232
0.0004
13116
0.0004
13116
0.0004
13116
0.0004
13116
0.0004
13116
0.0004
13116
0.0002
8066.34
0.0002
8066.34
0.0002
6558
0.0002
6558
0.0001
4393.86
0.0001
2229.72
0.0001
2229.72
0
1573.92
0
1573.92
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(%)
2.0664
63647100
2.0569
63352700
2.0569
63352700
1.4598
44963700
0.4763
14670400
0.4763
14670400
0.4759
14659300
0.2739
8436540
0.2739
8436540
0.2598
8003300
0.2598
8003300
0.2154
6633020
0.1543
4751900
0.1543
4751900
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(%)
1.7686
45818900
1.7686
45818900
1.7084
44260900
1.6177
41911200
1.6177
41911200
1.2494
32369600
1.173
30388300
0.9557
24759700
0.9557
24759700
0.7991
20701400
0.7659
19842500
0.6096
15793500
0.6096
15793500
0.5595
14495700
0.5078
13156300
0.5078
13156300
0.4894
12678700
0.4894
12678700
0.4872
12622500
0.4872
12622500
0.3699
9582900
0.3699
9582900
0.363
9404250
0.3429
8884770
0.3429
8884770
0.3092
8011640
0.2867
7426630
0.2867
7426630
0.2825
7320000
0.2825
7320000
0.2452
6351470
0.2452
6351470
0.1953
5060660
0.1884
4880000
0.1282
3320790
0.1282
3320790
0.118
3057860
0.118
3057860
0.107
2772380
0.107
2772380
0.0797
2064870
0.0784
2030320
0.0581
1504600
0.0581
1504600
0.0486
1258410
0.0486
1258410
0.0356
922857
0.0356
922857
0.0259
671683
0.0259
671683
0.0243
629520
0.0243
629520
0.0117
302560
0.0117
302560
0.0089
229360
0.0078
203154
0.0078
203154
0.0053
136640
0.0053
136640
0.0042
107897
0.0042
107897
0.0042
107897
0.0042
107897
0.0042
107897
0.0042
107897
0.0042
107897
0.0031
81349.6
0.0013
33964.8
0.0013
33964.8
0.0008
19520
0.0008
19520
0.0004
11077.6
0.0003
8637.6
0.0003
8637.6
0.0001
1805.6
0.0001
1805.6
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(%)
1.2694
24266600
0.6096
11654200
0.6096
11654200
0.0467
893516
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(%)
2.8582
59130000
2.8582
59130000
1.7673
36562600
1.7673
36562600
1.163
24059300
0.8575
17739000
0.7911
16366300
0.6895
14264000
0.6895
14264000
0.4808
9946730
0.3673
7599660
0.2858
5913000
0.181
3744900
0.181
3744900
0.0673
1392470
0.0673
1392470
0.0329
681454
0.0329
681454
0.0095
197100
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0042
87157.6
0.0038
78840
0.002
40681.4
0.0016
33034
0.0016
33034
0.0004
8948.34
0.0001
1695.06
0.0001
1695.06
0
433.62
0
433.62
截止日期
2022-03-31
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(%)
2.6438
64378600
2.6438
64378600
1.1415
27796800
0.7069
17212800
0.5625
13698200
0.5625
13698200
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(%)
6.0446
88190500
2.1389
31206600
2.1212
30948900
1.3064
19060700
1.3064
19060700
1.0994
16040000
0.7649
11160400
0.4378
6387120
0.3627
5291670
0.3186
4648220
0.3186
4648220
0.1856
2707460
0.1669
2434560
0.164
2392540
0.1401
2044730
0.0795
1160580
0.0675
985346
0.0675
985346
0.0559
815265
0.0559
815265
0.0329
479850
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0088
127995
0.0041
59742.5
0.001
14125.2
0.001
14125.2
0
636.79
0
636.79
截止日期
2021-09-30
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(%)
3.4897
41749900
1.3359
15982200
1.3359
15982200
1.2495
14948300
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(%)
3.5873
34660400
3.5873
34660400
1.9068
18423400
1.8081
17469400
1.2566
12140800
1.2097
11688100
1.0107
9765600
0.999
9652270
0.5598
5408640
0.3911
3778790
0.3911
3778790
0.3911
3778790
0.2451
2367930
0.2424
2342190
0.218
2106110
0.182
1758510
0.1555
1502400
0.1533
1480820
0.1533
1480820
0.1092
1055490
0.1092
1055490
0.1039
1004000
0.0882
852412
0.0882
852412
0.073
705277
0.073
705277
0.0629
607921
0.0238
230368
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0115
110727
0.0103
99108.3
0.0053
51682.6
0.0001
550.88
0.0001
550.88
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(%)
0.0115
58569.4
0.0115
58569.4
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(%)
0.0122
76920.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
76920.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73692.6
0.0122
73692.6
0.0122
76920.7
0.0122
76920.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73692.6
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
73714.7
0.0122
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15516.3
0.0005
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0.0001
382.69
截止日期
2020-12-28
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(%)
0.0122
73162
截止日期
2020-09-30
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(%)
0.0122
78269.4
0.0122
78269.4
0.0122
78269.4
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