明冠新材

- 688560

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-  -

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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:
明冠新材(688560)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(%)
0.0068
144840
0.0068
144840
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(%)
0.4899
12772300
0.4899
12772300
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(%)
0.7966
29859000
0.7966
29859000
0.1729
6479330
0.1082
4054390
0.1082
4054390
0.06
2248350
0.0394
1476990
0.021
785764
0.021
785764
0.0061
227630
0.0061
227630
0.0048
179851
0.0048
179851
0.0039
147098
0.0039
147098
0.0025
93100
0.0025
93100
0.0024
89376
0.0024
89376
0.0021
80382.5
0.0021
80382.5
0.002
74480
0.0015
55860
0.0015
55860
0.0012
44092.2
0.001
37240
0.001
37240
0.001
36458
0.0007
26068
0.0007
26068
0.0006
22344
0.0006
22344
0.0004
14896
0.0001
2104.06
0.0001
2104.06
0
1806.14
0
1806.14
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(%)
0.4569
16193500
0.4569
16193500
0.3696
13097400
0.3696
13097400
0.3669
13002900
0.3669
13002900
0.3483
12345600
0.3483
12345600
0.299
10595800
0.299
10595800
0.263
9320770
0.263
9320770
0.2281
8085610
0.217
7692270
0.217
7692270
0.217
7692270
0.2055
7284400
0.2055
7284400
0.1832
6493220
0.1832
6493220
0.1776
6294440
0.1742
6172800
0.1742
6172800
0.1653
5857020
0.1468
5202290
0.1468
5202290
0.1338
4740860
0.0985
3490420
0.0941
3334800
0.0871
3086410
0.0801
2840140
0.0801
2840140
0.0746
2642830
0.0746
2642830
0.063
2232870
0.063
2232870
0.055
1948080
0.055
1948080
0.043
1522700
0.0349
1237540
0.0344
1219260
0.0344
1219260
0.0314
1111600
0.0314
1111600
0.0311
1103540
0.0303
1072690
0.0303
1072690
0.0243
861490
0.0179
635835
0.0168
594706
0.0158
561247
0.0158
561247
0.0114
405734
0.0114
405734
0.0107
380667
0.0107
380667
0.0081
285876
0.0081
285876
0.008
284153
0.008
284153
0.0078
277900
0.0076
268424
0.0076
268424
0.0065
230657
0.0065
230657
0.0064
226238
0.0062
219291
0.0056
200088
0.0056
200088
0.0055
194530
0.0055
194530
0.0053
188972
0.0053
188972
0.005
177328
0.003
106491
0.003
105602
0.003
105602
0.0029
103740
0.0029
103740
0.0023
82314
0.0023
82314
0.002
72254
0.002
72254
0.002
72254
0.0019
66696
0.0017
61138
0.0017
61138
0.0011
38906
0.0011
38906
0.0009
33570.3
0.0009
33570.3
0.0007
25705.8
0.0007
25705.8
0.0005
16674
0.0004
13895
0.0004
13895
0.0003
11116
0.0003
11116
0.0001
3140.27
0.0001
3140.27
0.0001
2779
0.0001
2779
0.0001
2695.63
0.0001
2695.63
0.0001
2250.99
0.0001
2250.99
0
500.22
0
500.22
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(%)
0.0014
45594.7
0.0014
45594.7
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(%)
2.7964
107215000
2.6339
110141000
2.6339
110141000
1.2388
51802500
1.2179
50930000
1.0339
43234400
1.023
42778800
1.0142
42412000
1.0142
42412000
0.9928
41515700
0.9798
40970600
0.8934
37361400
0.8934
37361400
0.8911
37264000
0.8911
37264000
0.7628
31899900
0.7253
30330900
0.7253
30330900
0.7001
26846700
0.695
29064100
0.695
29064100
0.6674
27908100
0.6674
27908100
0.6622
27689300
0.635
26553200
0.635
26553200
0.6233
26064000
0.6233
26064000
0.5238
21904100
0.5196
21730100
0.5196
21730100
0.497
20784500
0.497
20784500
0.4919
18138600
0.4919
18138600
0.4891
20454400
0.4444
18583100
0.4444
18583100
0.407
17019300
0.407
17019300
0.407
17018900
0.407
17018900
0.4055
16956500
0.4055
16956500
0.3928
16427800
0.3875
16205000
0.3755
15702000
0.3685
15408800
0.3601
13841900
0.3601
13841900
0.3442
14391700
0.3442
14391700
0.3361
14055200
0.3361
14055200
0.3071
12841700
0.3071
12841700
0.2789
11664900
0.2789
11664900
0.2716
10016400
0.2716
10016400
0.2603
10887100
0.2603
9599130
0.2603
9599130
0.2464
10305000
0.2459
9069280
0.2459
9069280
0.2459
9069280
0.2459
9069280
0.2436
10186000
0.2418
10110900
0.2418
10110900
0.2226
9307360
0.2226
9307360
0.2124
8883580
0.2124
8883580
0.2073
8668660
0.2073
8668660
0.1999
8357610
0.1999
8357610
0.1983
8290940
0.1882
7871000
0.1882
7871000
0.1705
7128210
0.1642
6866100
0.158
6605570
0.158
6605570
0.151
6315370
0.1474
5554650
0.1474
5554650
0.1471
5425610
0.1461
6111420
0.1461
6111420
0.1444
6037520
0.1416
5921910
0.1416
5921910
0.1394
5829770
0.1351
5648600
0.1351
5648600
0.1329
5556000
0.1329
5556000
0.1326
5543500
0.1326
5543500
0.1314
5493360
0.1314
5493360
0.1272
5320800
0.1272
5320800
0.1269
5308570
0.123
4534660
0.1107
4630000
0.1107
4630000
0.1104
4614810
0.1104
4614810
0.106
4434520
0.1019
3756160
0.0974
4071850
0.0974
4071850
0.0935
3909710
0.0935
3909710
0.0916
3829290
0.0887
3710020
0.0869
3635710
0.0843
3523990
0.083
3471160
0.083
3471160
0.0784
3279710
0.0784
3279710
0.0778
3252300
0.0778
3252300
0.0728
3046120
0.0709
2964220
0.0709
2964220
0.0708
2960470
0.0708
2960470
0.0664
2778000
0.0664
2778000
0.0658
2749710
0.0658
2749710
0.0626
2616320
0.0624
2608770
0.0604
2526870
0.0604
2526870
0.0562
2350140
0.0562
2350140
0.0562
2350140
0.0558
2334260
0.0558
2334260
0.0509
2129800
0.0483
2018540
0.0481
2010950
0.0481
2010950
0.0458
1916590
0.0458
1916590
0.0449
1875980
0.0449
1875980
0.0445
1862930
0.0445
1862930
0.0443
1852000
0.0443
1852000
0.0442
1849270
0.0442
1849270
0.0435
1819590
0.0393
1641380
0.0391
1634850
0.0391
1634850
0.0385
1610780
0.0385
1610780
0.0382
1599020
0.0382
1599020
0.0365
1527900
0.0365
1527900
0.0362
1512760
0.0362
1512760
0.0354
1479190
0.0354
1479190
0.0343
1435300
0.034
1252090
0.034
1252090
0.034
1252090
0.0337
1408400
0.0337
1408400
0.0335
1399420
0.0332
1389000
0.0332
1389000
0.0332
1389000
0.0332
1389000
0.0332
1389000
0.0318
1331500
0.0318
1331500
0.031
1296400
0.0295
1233520
0.0288
1203010
0.0288
1203010
0.0286
1197090
0.0277
1157500
0.0276
1152960
0.0271
1134770
0.0267
1115830
0.0267
1115830
0.0249
1041750
0.0243
1014940
0.0243
1014940
0.0243
1014110
0.0243
1014110
0.0236
988505
0.0236
988505
0.0233
974106
0.0233
972300
0.0233
972300
0.0221
926000
0.0221
926000
0.0221
926000
0.0221
926000
0.0203
847938
0.0203
847938
0.0201
841502
0.0201
841502
0.0199
833909
0.0199
833909
0.0196
818862
0.0196
818862
0.0178
742976
0.0178
742976
0.0177
740800
0.0177
740800
0.0171
716446
0.017
710983
0.017
710983
0.0162
675980
0.0162
675980
0.016
668479
0.016
668479
0.0155
648200
0.0155
648200
0.0133
555600
0.0131
549164
0.0131
549164
0.012
501846
0.012
501846
0.012
501012
0.012
501012
0.012
500318
0.0116
485548
0.0116
485548
0.0112
467074
0.0111
463000
0.0111
463000
0.0111
463000
0.011
459157
0.011
459157
0.0106
444480
0.0106
444480
0.0103
431562
0.0103
431562
0.01
416700
0.01
416700
0.0097
407440
0.0097
407440
0.0089
374197
0.0089
370400
0.0089
370400
0.0089
370400
0.0078
327804
0.0078
327804
0.0078
324100
0.0078
324100
0.0071
298635
0.0071
298635
0.0071
295440
0.007
294051
0.0067
278170
0.0067
278170
0.0066
277800
0.0066
277800
0.0066
277198
0.0066
277198
0.006
250020
0.006
250020
0.0055
231500
0.0055
231500
0.0054
224185
0.0054
224185
0.0048
201914
0.0048
201914
0.0048
199090
0.0048
199090
0.0046
190617
0.0044
185385
0.0044
185200
0.0044
185200
0.0042
177422
0.0042
177422
0.0042
177422
0.0042
177422
0.0042
177422
0.0035
148160
0.0035
148160
0.0034
142372
0.0034
142372
0.0034
140289
0.0034
140289
0.0033
138067
0.0033
138067
0.0032
134131
0.0032
134131
0.0025
105147
0.0025
103619
0.0025
103619
0.0024
99220.9
0.0024
99220.9
0.0022
92600
0.0022
92600
0.0021
89683.1
0.0021
89683.1
0.0021
86210.6
0.0021
86210.6
0.0018
74080
0.0018
74080
0.0018
74080
0.0017
69727.8
0.0017
69727.8
0.0015
62736.5
0.0015
62736.5
0.0014
57875
0.0014
57875
0.0013
54078.4
0.0013
54078.4
0.001
42827.5
0.001
42827.5
0.0007
29632
0.0007
29632
0.0005
22362.9
0.0005
22362.9
0.0005
22362.9
0.0004
17825.5
0.0004
17825.5
0.0003
13288.1
0.0003
13288.1
0.0003
12825.1
0.0003
12825.1
0.0003
10741.6
0.0003
10741.6
0.0002
9861.9
0.0001
3194.7
0.0001
3194.7
0
833.4
0
833.4
0
601.9
0
601.9
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(%)
1.1881
49668400
1.1881
49668400
1.1782
49253400
1.1665
48764100
0.766
32021600
0.766
32021600
0.513
21445400
0.513
21445400
0.4885
20421000
0.2436
10183800
0.1716
7174950
0.1245
5203550
0.1245
5203550
0.0805
3364590
0.0724
3026630
0.0724
3026630
0.0695
2906410
0.0695
2906410
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(%)
0.8289
25260400
0.7894
24058700
0.7894
24058700
0.328
9996330
0.328
9996330
0.2194
6685770
0.2194
6685770
0.2117
6453210
0.2022
6163200
0.2022
6163200
0.2017
6147760
0.2017
6147760
0.1862
5675860
0.1474
4491090
0.1474
4491090
0.0971
2958200
0.0828
2523490
0.0828
2523490
0.081
2468700
0.081
2468700
0.0776
2365680
0.0756
2304490
0.0756
2304490
0.0699
2129280
0.0517
1577090
0.0517
1577090
0.0513
1562710
0.0513
1562710
0.05
1524710
0.05
1524710
0.0447
1362680
0.0447
1362680
0.0327
995288
0.0327
995288
0.0278
845728
0.0278
845728
0.0258
787520
0.0236
720375
0.0201
612108
0.0201
612108
0.0189
577286
0.0185
564412
0.0185
564412
0.0164
500520
0.0164
500520
0.0136
414886
0.0136
414886
0.0094
287616
0.0094
287616
0.0072
218485
0.0068
206707
0.0068
206707
0.0067
205714
0.0067
205714
0.0067
205440
0.0067
205440
0.0053
160175
0.0049
150656
0.0049
150656
0.0046
140487
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.0043
131208
0.004
121826
0.004
121826
0.0034
102720
0.0032
98303
0.0032
98303
0.0017
51223
0.001
31672
0.001
31672
0.001
30816
0.001
30816
0.001
30816
0.001
30816
0.0008
24447.4
0.0008
24447.4
0.0008
24447.4
0.0007
21913.6
0.0007
21913.6
0.0001
1848.96
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(%)
2.4856
77028600
2.3462
72708800
2.3462
72708800
1.8686
57909500
1.8686
57909500
0.7176
22238500
0.2815
8722630
0.231
7159260
0.231
7159260
0.2261
7007210
0.2261
7007210
0.2004
6210600
0.2004
6210600
0.1297
4019390
0.0607
1882180
0.0529
1639600
0.0506
1567860
0.0506
1567860
0.0351
1087200
0.0235
727739
0.0112
345900
0.0112
345900
0.0071
220719
0.0067
207817
0.0067
207817
0.0064
197128
0.0064
197128
0.0052
161812
0.0046
141923
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0043
132549
0.0042
131338
0.0042
131338
0.0041
126530
0.0017
51746.6
0.001
31995.8
0.001
31995.8
0.0008
24697.3
0.0008
24697.3
0.0008
24697.3
0.0006
18747.8
0.0006
18747.8
0.0001
1867.86
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(%)
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
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92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
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0.0104
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0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
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92351.2
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92351.2
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92351.2
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0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0104
92351.2
0.0103
91507.7
0.0103
91507.7
0.0101
89844.8
0.0101
89844.8
0.0101
89844.8
0.0099
88157.8
0.0085
75577.6
0.0085
75577.6
0.0083
73890.6
0.0077
68853.7
0.0077
68853.7
0.0077
68853.7
0.0076
68010.2
0.0047
41982.2
0.0027
23642.1
0.0019
17207.4
0.0019
17207.4
0.0019
17207.4
0
265.1
0
265.1
0
241
0
241
0
241
0
241
0
241
0
216.9
截止日期
2021-06-04
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(%)
0.0053
38486.9
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(%)
0.0108
71581.8
0.0108
71581.8
0.0108
71581.8
0.0108
71581.8
0.0108
71581.8
0.0081
53368.8
0.0068
44906.7
0.0053
35155.8
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(%)
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
99555.4
0.0115
99555.4
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
99555.4
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
99555.4
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
87599.5
0.0115
99555.4
0.0115
99555.4
0.0115
87599.5
0.0115
87599.5
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
0.0115
105227
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