亚香股份

- 301220

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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:
亚香股份(301220)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(%)
1.8983
25155000
1.8983
25155000
0.1721
2280800
0.1721
2280800
0.0793
1050920
0.0793
1050920
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(%)
2.135
29742800
2.135
29742800
1.9453
27101000
1.9453
27101000
1.6927
23581200
1.4579
20310800
1.0754
14981100
1.0754
14981100
0.9496
13229400
0.8933
12444200
0.8933
12444200
0.7671
10686800
0.7671
10686800
0.6523
9087360
0.5314
7403200
0.5314
7403200
0.4343
6050400
0.4343
6050400
0.4152
5783750
0.4152
5783750
0.4005
5578840
0.3823
5326470
0.3669
5110950
0.3669
5110950
0.2899
4038710
0.2899
4038710
0.2459
3425760
0.1872
2607640
0.1775
2472140
0.1661
2313500
0.107
1490560
0.107
1490560
0.0949
1322000
0.0939
1308780
0.0939
1308780
0.0906
1262510
0.0821
1143170
0.0821
1143170
0.0657
915485
0.0657
915485
0.0641
892350
0.0641
892350
0.0629
875825
0.0629
875825
0.0534
743625
0.0346
482530
0.0346
482530
0.0339
472615
0.0339
472615
0.0287
399905
0.0287
399905
0.0237
330500
0.0237
330500
0.0214
297450
0.0159
221435
0.0159
221435
0.0149
208215
0.0149
208215
0.0147
204910
0.0147
204910
0.013
181775
0.013
181775
0.0126
175165
0.0126
175165
0.0119
165250
0.0116
161945
0.0116
161945
0.01
138810
0.01
138810
0.0071
99150
0.0071
99150
0.0068
94159.5
0.0068
94159.5
0.0068
94159.5
0.0068
94159.5
0.0068
94159.5
0.0068
94159.5
0.0068
94159.5
0.0068
94159.5
0.0068
94159.5
0.0066
92540
0.0059
81600.5
0.0059
81600.5
0.0047
66100
0.0047
66100
0.0036
49575
0.0036
49575
0.0033
46270
0.0017
23135
0.0017
23135
0.0012
16525
0.0012
16525
0.0012
16525
0.0009
13220
0.0009
13220
0.0007
9915
0.0007
9915
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0007
9419.25
0.0005
6610
0.0005
6576.95
0.0005
6576.95
0.0002
2941.45
0.0002
2809.25
0.0002
2809.25
0.0002
2809.25
0.0002
2247.4
0.0001
1619.45
0.0001
1619.45
0.0001
1619.45
0.0001
1619.45
0.0001
1619.45
0.0001
1619.45
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(%)
0.5347
7368330
0.5347
7368330
0.502
6917200
0.502
6917200
0.2372
3269000
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(%)
1.8696
26882100
1.4579
20962200
1.4533
20895300
1.4533
20895300
1.4234
20466000
1.4234
20466000
1.1099
15958600
0.7671
11029500
0.7671
11029500
0.6628
9530330
0.6628
9530330
0.5099
7331710
0.5099
7331710
0.4343
6244450
0.4343
6244450
0.4005
5757770
0.3911
5623170
0.3823
5497300
0.3753
5396200
0.3613
5194950
0.3613
5194950
0.2372
3411000
0.2372
3411000
0.1872
2691280
0.1495
2148930
0.1495
2148930
0.0918
1320060
0.0918
1320060
0.0842
1210900
0.0842
1210900
0.0757
1088110
0.0757
1088110
0.0712
1023300
0.0712
1023300
0.0641
920970
0.0641
920970
0.0638
917559
0.0638
917559
0.0602
866019
0.0602
866019
0.0562
808407
0.0541
777708
0.0448
644679
0.013
187605
0.013
187605
0.013
187605
0.013
187605
0.0114
163728
0.0085
122796
0.0085
122796
0.0068
97179.4
0.0068
97179.4
0.0068
97179.4
0.0068
97179.4
0.0068
97179.4
0.0068
97179.4
0.0068
97179.4
0.0068
97179.4
0.0068
97179.4
0.0068
97179.4
0.0059
84217.6
0.0059
84217.6
0.0057
81864
0.0057
81864
0.0033
47754
0.0033
47754
0.0008
11904.4
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0007
9721.35
0.0004
6310.35
0.0004
6310.35
0.0002
3035.79
0.0002
2899.35
0.0002
2899.35
0.0002
2899.35
0.0002
2319.48
0.0001
1671.39
0.0001
1671.39
0.0001
1671.39
0.0001
1671.39
0.0001
1671.39
0.0001
1671.39
0.0001
1671.39
0.0001
1671.39
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(%)
1.0211
8022430
0.6135
4819720
0.5111
4015470
0.5111
4015470
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(%)
2.9535
20793700
2.9535
20793700
1.7871
12582000
1.3071
9202860
1.0462
7366000
1.0462
7366000
0.9577
6742390
0.9577
6742390
0.8431
5935670
0.825
5808090
0.8226
5791550
0.8226
5791550
0.5629
3962910
0.4222
2972620
0.4222
2972620
0.4127
2905890
0.3784
2663800
0.3374
2375540
0.3374
2375540
0.3069
2160600
0.3069
2160600
0.0994
699770
0.0443
312097
0.0443
312097
0.0149
104929
0.0149
104929
0.0149
104929
0.0149
104929
0.0149
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0.0149
104929
0.0129
90933.3
0.0129
90933.3
0.0123
86513.7
0.0123
86513.7
0.0023
16536.7
0.0023
16536.7
0.002
14179.5
0.002
14179.5
0.0018
12853.7
0.0018
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10496.5
0.0015
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0.0015
10496.5
0.0015
10496.5
0.0015
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0.0015
10496.5
0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
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0.0015
10496.5
0.0015
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0.0015
10496.5
0.0015
10496.5
0.0015
10496.5
0.0015
10496.5
0.0015
10496.5
0.0011
8065.77
0.0011
8065.77
0.001
6997.7
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.001
6813.55
0.0006
4382.77
0.0005
3683
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0004
3130.55
0.0003
1804.67
0.0003
1804.67
0.0003
1804.67
0.0003
1804.67
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(%)
0.0013
8684.52
0.001
7032
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(%)
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121675
0.0157
121675
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
0.0157
121230
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