恒誉环保

- 688309

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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:
恒誉环保(688309)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(%)
0.2308
2213790
0.2308
2213790
0.1868
1792040
0.1868
1792040
0.0232
222103
0.0232
222103
0.0215
206708
0.0215
206708
0.0168
160954
0.0168
160954
0.0129
124049
0.0129
124049
0.0118
113114
0.0118
113114
0.0045
42816.3
0.0045
42816.3
0.0034
33056.4
0.0034
33056.4
0.0004
3956.7
0.0004
3956.7
0.0002
2182.18
0.0002
2182.18
0.0001
1378.85
0.0001
1378.85
0
107.91
0
107.91
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(%)
0.6759
10794400
0.6759
10794400
0.6497
10375400
0.6497
10375400
0.4555
7274200
0.4555
7274200
0.4002
6391410
0.0379
605546
0.0323
515108
0.0247
394569
0.0247
394569
0.0096
153912
0.0096
153912
0.0095
151696
0.0086
137724
0.0086
137724
0.0063
100040
0.0063
100040
0.0052
83832
0.0052
83832
0.0052
83153.4
0.0052
83153.4
0.0046
73852
0.0046
73852
0.0035
55888
0.0035
55888
0.0034
53892
0.0034
53892
0.0032
51896
0.0013
20718.5
0.0013
20718.5
0.0001
2295.4
0.0001
2295.4
0
139.72
0
139.72
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(%)
0.0223
420945
0.0223
420945
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(%)
0.3509
3278040
0.3509
3278040
0.0419
391495
0.0419
391495
0.0214
200091
0.0214
200091
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(%)
0.0066
47894.4
0.0066
47894.4
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(%)
0.0066
60508.8
0.0066
60508.8
0.0066
60508.8
0.0043
39750.9
0.0043
39750.9
0.0043
39750.9
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(%)
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.0152
79833.6
0.01
52446.2
0.01
52446.2
0.01
52446.2
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(%)
0.0164
96969.4
0.0164
96969.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
94550.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93657.6
0.0158
93657.6
0.0158
93657.6
0.0158
93657.6
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93686.4
0.0158
93657.6
0.0158
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0.0158
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0.0158
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0.0158
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0.0158
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0.0158
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0.0158
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0.0158
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0.0158
93686.4
0.0158
94550.4
0.0158
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0.0158
93657.6
0.0158
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0.0158
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0.0158
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0.0158
93686.4
0.0156
92291.8
0.0154
90986.4
0.0154
90986.4
0.0149
88319
0.0145
85651.5
0.0145
85651.5
0.0145
85651.5
0.0145
85651.5
0.0145
85651.5
0.0145
85651.5
0.0145
85651.5
0.0136
80284
0.0136
80284
0.0133
78950.3
0.0124
73615.4
0.0124
73615.4
0.0122
72249.1
0.0122
72249.1
0.0122
72249.1
0.0122
72249.1
0.0115
68247.9
0.0106
62880.5
0.0104
61527.8
0.0104
61527.8
0.0104
61527.8
0.0102
60213
0.0099
58879.3
0.0099
58879.3
0.0099
58879.3
0.0099
58861.2
0.0093
54861.2
0.009
53511.9
0.009
53511.9
0.009
53511.9
0.0084
49510.7
0.0077
45509.5
0.0077
45509.5
0.0075
44175.7
0.007
41475.8
0.0011
6500.34
0.0011
6500.34
截止日期
2020-11-02
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
80022.6
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(%)
0.0158
114077
0.0158
114077
0.0158
114077
0.0158
92822.4
0.0158
92822.4
0.0129
75579.4
0.0129
75579.4
0.0129
75579.4
0.0106
62300.6
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