杭华股份

- 688571

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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:
杭华股份(688571)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(%)
0.1633
3593580
0.1633
3593580
0.1358
2989380
0.1358
2989380
0.1086
2388960
0.1086
2388960
0.0907
1996450
0.0907
1996450
0.0896
1972640
0.0896
1972640
0.0876
1927730
0.0876
1927730
0.0815
1793840
0.0815
1793840
0.0748
1646080
0.0748
1646080
0.0685
1508390
0.0685
1508390
0.0678
1493060
0.0678
1493060
0.0554
1219030
0.0554
1219030
0.045
989230
0.045
989230
0.0433
952200
0.0433
952200
0.0424
932331
0.0424
932331
0.0402
884842
0.0402
884842
0.0375
826298
0.0375
826298
0.0351
772869
0.0351
772869
0.0292
642206
0.0246
540992
0.024
527942
0.024
527942
0.0231
507771
0.0231
507771
0.0193
423729
0.0193
423729
0.0169
371871
0.0169
371871
0.0164
361238
0.0164
361238
0.0153
337724
0.0153
337724
0.0145
318987
0.0145
318987
0.013
286570
0.013
286570
0.013
285136
0.013
285136
0.0123
270070
0.0123
270070
0.0118
260268
0.0115
253920
0.0115
253920
0.0115
252862
0.0104
227999
0.0104
227999
0.0103
227470
0.0103
227470
0.0101
222180
0.0101
222180
0.0097
212658
0.0097
212658
0.0085
187266
0.0085
187266
0.0077
170539
0.0077
170539
0.0072
159245
0.0072
159245
0.0055
120993
0.0055
120993
0.0051
112058
0.0051
112058
0.0049
108445
0.0047
103150
0.0047
103150
0.0044
97246.1
0.0044
97246.1
0.0044
96278
0.0044
96278
0.0038
83582
0.0038
83582
0.0036
79350
0.0034
75588.8
0.0034
75588.8
0.0034
74589
0.0034
74589
0.0028
62422
0.0028
62422
0.0027
58629.1
0.0027
58629.1
0.0026
56391.4
0.0026
56391.4
0.0026
56391.4
0.0025
56074
0.0025
56074
0.0019
42849
0.0019
40743.6
0.0019
40743.6
0.0011
24757.2
0.0011
24757.2
0.001
21297.5
0.001
21297.5
0.0002
4776.87
0.0002
4776.87
0.0002
3703
0.0002
3703
0.0001
1666.35
0.0001
1666.35
0
1058
0
1058
0
470.81
0
470.81
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(%)
0.2217
5819080
0.2217
5819080
0.2217
5819080
0.0413
1085320
0.0413
1085320
0.0082
214540
0.0082
214540
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(%)
0.3718
11569000
0.3718
11569000
0.363
11294900
0.363
11294900
0.2867
8919870
0.2867
8919870
0.254
7904450
0.254
7904450
0.1938
6030200
0.1938
6030200
0.1539
4788700
0.1539
4788700
0.1464
4556380
0.1464
4556380
0.139
4325220
0.1109
3450520
0.1109
3450520
0.1002
3117660
0.1002
3117660
0.0749
2330460
0.0749
2330460
0.0716
2229040
0.0716
2229040
0.0586
1824320
0.0586
1824320
0.058
1803430
0.049
1525170
0.049
1525170
0.0362
1127890
0.0362
1127890
0.0356
1106760
0.0329
1024760
0.0329
1024760
0.0234
727804
0.0234
727804
0.0216
673200
0.0216
673200
0.0194
604406
0.0194
604406
0.0175
543048
0.0175
543048
0.016
498774
0.016
498774
0.0138
430122
0.0138
430122
0.0126
390912
0.0106
329120
0.0106
329120
0.0102
318648
0.0102
318648
0.0097
300696
0.0097
300696
0.0089
276760
0.0089
276760
0.0088
274516
0.0088
274516
0.0079
246092
0.0079
246092
0.0079
244761
0.0079
244761
0.0071
220884
0.0071
220884
0.0069
214010
0.0069
214010
0.0066
205700
0.0066
205700
0.0065
203456
0.0065
203456
0.0065
201840
0.0065
201840
0.0062
193590
0.0062
193590
0.0062
191488
0.0062
191488
0.0042
131394
0.0042
131394
0.0041
128095
0.0041
128095
0.004
124998
0.0039
122672
0.0039
122672
0.0026
82280
0.0026
82280
0.0026
79736.8
0.0026
79736.8
0.0026
79736.8
0.0018
55890.6
0.0018
55890.6
0.0017
52360
0.0017
52360
0.0015
46376
0.0015
46376
0.0009
28424
0.0009
28424
0.0002
6732
0
1077.12
0
1077.12
0
748
0
748
0
643.28
0
643.28
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(%)
0.0999
1670780
0.0999
1670780
0.0126
211280
0.0126
211280
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(%)
0.1235
1896720
0.1235
1896720
0.073
1120850
0.073
1120850
0.0547
840492
0.0547
840492
0.0528
810204
0.0528
810204
0.0368
564852
0.0368
564852
0.0309
474998
0.0309
474998
0.0227
348312
0.0227
348312
0.0082
125569
0.0067
102796
0.0067
102796
0.0054
82661
0.0044
67264.6
0.0044
67264.6
0.0044
67264.6
0.0044
67264.6
0.0044
67264.6
0.0019
29026
0.0019
29026
0.0006
8834
0.0006
8834
0.0003
5048
0.0003
5048
0.0002
2871.05
0.0002
2871.05
0.0001
1766.8
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(%)
0.0824
1080650
0.0824
1080650
0.0229
300752
0.0229
300752
0.0203
266102
0.0203
266102
0.0117
153801
0.0117
153801
0.0044
57318
0.0044
57318
0.0044
57318
0.0044
57318
0.0044
57318
0.0044
57318
0.0044
57318
0.0044
57318
0.0044
57318
0.0044
57318
0.0044
57318
0.0004
4704.27
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(%)
0.0169
226408
0.0169
226408
0.0094
125944
0.0094
125944
0.0085
113568
0.0085
113568
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0045
59696
0.0026
34216
0.0011
14560
0.0011
14560
0.001
12871
0.001
12871
0.0004
4899.44
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(%)
0.0325
506853
0.0325
506853
0.008
123954
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
0.0045
69618
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(%)
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0103
73882
0.0096
68863.4
0.0088
63241.2
0.0068
49176.6
0.0059
42851.6
0.0059
42554.2
0.0059
42554.2
0.0026
18948
0.0009
6279.97
0.0009
6279.97
0.0003
1802
0.0001
549.61
0.0001
549.61
0
99.11
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(%)
0.0107
73964
0.0107
73964
0.0107
73964
0.0107
73964
0.0107
73964
0.0107
73964
0.0107
73964
0.0107
73964
0.0088
60948.1
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(%)
0.0226
129888
0.014
103040
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
77326
0.0113
77326
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
77326
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
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0.0113
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0.0113
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0.0113
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0.0113
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0.0113
77326
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64944
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82820
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82820
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0.0113
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0.0113
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0.0113
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64944
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64944
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82820
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0.0113
64944
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64944
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64944
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64944
0.0113
64944
0.0113
82820
0.0113
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0.0113
64944
0.0113
64944
0.0113
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0.0113
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0.0113
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0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
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64944
0.0113
82820
0.0113
77326
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64944
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64944
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64944
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77326
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77326
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64944
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64944
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64944
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64944
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64944
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64944
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77326
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
77326
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
77326
0.0113
77326
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
77326
0.0113
77326
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
77326
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
77326
0.0113
77326
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0113
82820
0.0113
82820
0.0113
64944
0.0107
61570.1
0.0107
78426.5
0.0105
77194.3
0.0105
60532.6
0.0097
55590.5
0.0093
63718.5
0.0088
50917.7
0.0088
64266.3
0.0081
46759.7
0.0078
44946
0.0069
50500
0.0069
50500
0.0068
38966.4
0.0065
37667.5
0.0065
37406.2
0.0065
37406.2
0.0049
28052.6
0.0036
24433.1
0.0031
22785.6
0.0029
21109
0.0021
15554
0.0004
3019.9
0.0004
3019.9
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(%)
0.0113
62976
截止日期
2020-12-17
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(%)
0.0113
73636
0.0113
73636
0.0113
73636
截止日期
2020-12-03
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
43706
0
43706
0
43706
0
24827.1
0
24827.1
0
24827.1
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