新致软件

- 688590

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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:
新致软件(688590)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(%)
3.2752
153694000
3.2752
153694000
0.8589
40304100
0.8589
40304100
0.3875
18182300
0.3875
18182300
0.0425
1992910
0.0425
1992910
0.0302
1418470
0.0302
1418470
0.0274
1287760
0.0274
1287760
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(%)
2.794
162324000
2.794
162324000
1.7373
100934000
1.3297
77251300
1.123
65244200
1.0307
59881200
0.75
43571500
0.75
43571500
0.5969
34678400
0.5969
34678400
0.5112
29699100
0.5112
29699100
0.4471
25973100
0.4296
24959200
0.4296
24959200
0.4043
23489900
0.4043
23489900
0.3902
22669800
0.3794
22041500
0.3781
21967600
0.3781
21967600
0.3775
21932600
0.3229
18758900
0.3229
18758900
0.2981
17317800
0.2981
17317800
0.269
15625600
0.269
15625600
0.2405
13974700
0.2195
12754900
0.2195
12754900
0.1966
11422200
0.1966
11422200
0.1958
11373300
0.1958
11373300
0.1863
10822200
0.1802
10471100
0.1802
10471100
0.1394
8101330
0.1339
7776330
0.1321
7673590
0.1321
7673590
0.1096
6368140
0.1096
6368140
0.1082
6286440
0.1082
6286440
0.1041
6047460
0.1041
6047460
0.0978
5679770
0.0945
5488830
0.0945
5488830
0.0843
4896760
0.0843
4896760
0.0798
4637240
0.0798
4637240
0.0794
4614280
0.0779
4524000
0.0761
4421280
0.0761
4421280
0.0738
4286830
0.0738
4286830
0.0661
3842620
0.0629
3655050
0.0629
3655050
0.0625
3630510
0.0551
3203600
0.0549
3191770
0.0549
3191770
0.0523
3040810
0.0518
3009790
0.051
2964150
0.051
2964150
0.0492
2855820
0.0478
2779770
0.0478
2779770
0.0467
2714400
0.0467
2714400
0.0466
2706170
0.0466
2706170
0.0443
2576420
0.0427
2483500
0.0427
2483500
0.0425
2470310
0.0404
2345420
0.0404
2345420
0.0369
2144600
0.036
2091290
0.0355
2060680
0.0355
2060680
0.0346
2012210
0.0346
2012210
0.0346
2009490
0.0346
2009490
0.0279
1623710
0.0275
1599390
0.0275
1599390
0.0266
1544540
0.0266
1544540
0.0253
1471820
0.0253
1471820
0.0242
1408430
0.0242
1408430
0.0242
1407080
0.0242
1407080
0.0211
1225260
0.0211
1225260
0.0201
1166200
0.0201
1166200
0.019
1105010
0.019
1105010
0.0188
1093110
0.0188
1093110
0.0178
1031490
0.0178
1031490
0.0166
965150
0.0166
965150
0.016
929682
0.016
929682
0.0159
922534
0.0149
865328
0.0149
865328
0.0142
827575
0.0136
788533
0.0133
771636
0.0133
771636
0.0125
726192
0.0125
726192
0.0123
712440
0.0122
707916
0.0122
707916
0.0118
683169
0.0118
683169
0.0117
678600
0.0117
678600
0.0112
649760
0.0102
594906
0.0102
594906
0.0098
571404
0.0098
571404
0.0096
559370
0.0096
559370
0.0083
479499
0.0083
479499
0.0082
475020
0.0082
475020
0.0079
460046
0.0071
413132
0.007
404943
0.007
404943
0.0067
388272
0.0064
371941
0.0064
371941
0.0055
317132
0.0054
314124
0.0054
314124
0.0054
312156
0.0054
312156
0.0051
296480
0.0051
296480
0.0045
264134
0.0045
264134
0.0041
237510
0.0041
237510
0.0039
226200
0.0039
226200
0.0038
220590
0.0036
207335
0.0036
207335
0.0035
202381
0.0035
202381
0.0034
199056
0.0034
199056
0.0033
190008
0.0033
190008
0.0031
180960
0.0031
180960
0.0031
180802
0.0031
178698
0.0031
178698
0.0029
165669
0.0029
165669
0.0024
140651
0.0024
140651
0.0021
122646
0.0021
122646
0.0016
94348
0.0016
94348
0.0016
94348
0.0016
92742
0.0015
88218
0.0015
88218
0.0015
86657.2
0.0014
79170
0.0014
79170
0.0013
73153.1
0.0013
73153.1
0.0011
63200.3
0.001
57183.4
0.001
57183.4
0.0009
50668.8
0.0008
48678.2
0.0008
48678.2
0.0008
47502
0.0008
47502
0.0008
45036.4
0.0006
35513.4
0.0006
35513.4
0.0005
26216.6
0.0002
13843.4
0
2262
0
2262
0
836.94
0
836.94
0
769.08
0
769.08
0
90.48
0
90.48
0
22.62
0
22.62
截止日期
2023-12-04
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(%)
0.0015
50232
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(%)
2.7719
83576400
0.6027
18173200
0.6027
18173200
0.4595
13855300
0.4595
13855300
0.4015
12104600
0.4015
12104600
0.3639
10971600
0.3639
10971600
0.015
453266
0.015
453266
0.0087
262220
0.0087
262220
0.0058
175519
0.0058
175519
0.0057
170967
0.0057
170967
0.0057
170967
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(%)
2.7733
101425000
2.2187
81143400
2.2187
81143400
1.3485
46888400
1.3485
46888400
1.2727
46546200
1.2127
44350100
1.2127
44350100
0.808
26377000
0.808
26377000
0.5711
20886600
0.5711
20886600
0.542
19821500
0.542
19821500
0.4893
17894000
0.4871
17812900
0.4871
17812900
0.4819
17624000
0.4798
17548400
0.4798
17548400
0.4041
14777300
0.4041
14777300
0.384
14042700
0.3686
13479700
0.3686
13479700
0.317
11592300
0.3154
11535800
0.3154
11535800
0.2678
9793080
0.2378
8697750
0.2365
8650670
0.2319
8480200
0.2319
8480200
0.2188
8001230
0.2188
8001230
0.2137
7814140
0.2083
7618940
0.2083
7618940
0.2077
7597210
0.2077
7597210
0.1984
7254670
0.1984
7254670
0.1924
7034840
0.1888
6904030
0.1888
6904030
0.1802
6590880
0.1802
6590880
0.1757
6425950
0.1757
6425950
0.1689
6175740
0.168
6143690
0.1678
6137620
0.1678
6137620
0.1654
6047180
0.1654
6047180
0.1553
5678520
0.1531
5600170
0.1531
5600170
0.1514
5538370
0.1419
5190850
0.1419
5190850
0.1305
4773300
0.1305
4773300
0.1281
4684770
0.1272
4650900
0.1272
4650900
0.1268
4636720
0.1263
4619420
0.1263
4619420
0.1186
4337250
0.1186
4337250
0.1178
4309930
0.1178
4309930
0.1166
4264440
0.1166
4264440
0.1157
4229870
0.1038
3796090
0.0932
3409500
0.0932
3409500
0.0929
3396110
0.0877
3207290
0.0877
3207290
0.0831
3039710
0.0831
3039710
0.0708
2588900
0.0708
2588900
0.0696
2545780
0.0696
2545780
0.0665
2432610
0.0665
2432610
0.0657
2403150
0.0657
2403150
0.0606
2214810
0.0606
2214810
0.0561
2052520
0.05
1827290
0.05
1827290
0.0497
1818400
0.0497
1818400
0.0428
1564640
0.0424
1550660
0.0424
1550660
0.0423
1545640
0.0406
1485540
0.0406
1485540
0.0402
1469110
0.0402
1469110
0.0393
1438130
0.0391
1431080
0.0391
1431080
0.0355
1299520
0.0355
1299520
0.0344
1259240
0.0344
1259240
0.0337
1231220
0.0337
1231220
0.0307
1123700
0.0307
1123700
0.0298
1088270
0.0298
1088270
0.0264
966025
0.0264
966025
0.0258
944932
0.0258
944932
0.0254
928339
0.0253
927020
0.025
912564
0.0249
909200
0.0238
871832
0.0238
871832
0.0228
832077
0.0228
832077
0.0219
802324
0.0219
802324
0.0194
709767
0.0194
709767
0.0191
696765
0.0186
679627
0.0186
679627
0.018
658124
0.0179
654624
0.0179
654624
0.0157
575637
0.0155
568432
0.0155
568432
0.0142
520517
0.0142
520517
0.014
513698
0.014
513698
0.014
513698
0.014
513698
0.0132
480944
0.0132
480944
0.013
473920
0.013
473920
0.0128
466533
0.0128
466533
0.0127
465556
0.0127
465306
0.0123
451077
0.011
402253
0.011
402253
0.0107
390070
0.0107
390070
0.0107
389910
0.0107
389910
0.0093
340950
0.0093
340950
0.009
329176
0.0083
302604
0.0083
302604
0.008
293149
0.0078
286125
0.0078
286125
0.0073
265418
0.0073
265418
0.0067
244438
0.0035
127924
0.0035
127924
0.0034
124810
0.0034
123242
0.0034
123242
0.0032
117901
0.0032
117901
0.0026
94806.8
0.0026
94806.8
0.0026
94806.8
0.0025
90783.6
0.0023
83669.1
0.0023
83669.1
0.0016
60029.9
0.0011
38641
0.001
36436.2
0.001
36436.2
0.001
35777
0.0008
27935.2
0.0007
27094.2
0.0007
27094.2
0.0006
22730
0.0006
22730
0
113.65
0
113.65
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(%)
0.0477
734690
0.0139
214592
0.0139
214592
0.0068
105428
0.0068
105428
0.0055
85022.5
0.0055
85022.5
0.0034
51942.8
0.0034
51942.8
0.0034
51942.8
0.0034
51942.8
0.0034
51942.8
0.0034
51942.8
0.0034
51942.8
0.0034
51942.8
0.0026
39958.2
0.0026
39958.2
0.0026
39958.2
0.0026
39958.2
0.0026
39958.2
0.0014
21229.3
0.0014
21229.3
0.001
15356.7
0.001
15356.7
0.0001
2069.28
0.0001
2069.28
0
431.1
0
431.1
0
67.06
0
67.06
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(%)
0.1414
2429650
0.1414
2429650
0.071
1219280
0.0683
1173630
0.0572
983038
0.0572
983038
0.0572
983038
0.0442
759404
0.0411
705638
0.0411
705638
0.0172
296072
0.0143
245043
0.0143
245043
0.0133
227847
0.013
222760
0.013
222760
0.009
154764
0.009
154764
0.008
138127
0.0073
125789
0.0063
108908
0.0063
108908
0.006
103176
0.006
103176
0.0052
88846
0.0043
73083
0.0043
73083
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0035
59770.4
0.0024
40467.9
0.0014
24432.7
0.0014
24432.7
0.0014
24389.7
0.0014
24389.7
0.0014
24303.7
0.0014
24303.7
0.0008
12897
0.0008
12897
0.0002
3009.3
0.0001
1991.87
0.0001
1934.55
0.0001
1934.55
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(%)
0.0556
1225100
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0035
76663
0.0025
55140
0.0025
55140
0.0011
23747
0.0011
23747
0.0007
15163.5
0.0007
15163.5
0.0001
2554.82
0.0001
2481.3
0.0001
2481.3
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(%)
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0108
77163.5
0.0079
56388
0.0079
56388
0.0076
54593.5
0.0076
54593.5
0.0004
2571.5
0.0003
2497.5
0.0003
2497.5
0.0002
1498.5
0.0002
1498.5
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(%)
0.0113
65109.3
0.0113
65109.3
0.0113
67570.2
0.0113
65109.3
0.0113
65109.3
0.0113
65109.3
0.0113
65109.3
截止日期
2021-03-16
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
64024.9
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(%)
0.0145
84571.2
0.0145
84571.2
0.0113
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82168.7
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