西力科技

- 688616

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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:
西力科技(688616)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(%)
0.0065
111257
0.0065
111257
0.0036
60419.5
0.0036
60419.5
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(%)
2.2151
16941100
2.2151
16941100
1.611
12320700
1.611
12320700
1.5739
12037300
1.5739
12037300
1.0659
8151990
1.0659
8151990
0.7726
5908620
0.7726
5908620
0.5598
4281600
0.4193
3206980
0.4193
3206980
0.3939
3012680
0.3939
3012680
0.3808
2912140
0.3808
2912140
0.2806
2146210
0.2806
2146210
0.2338
1787990
0.2338
1787990
0.2144
1639530
0.2144
1639530
0.2144
1639530
0.1915
1464940
0.1915
1464940
0.1875
1433740
0.1875
1433740
0.1293
988900
0.1293
988900
0.1212
927111
0.1212
927111
0.1175
898876
0.1042
796576
0.1042
796576
0.1035
791434
0.1035
791434
0.0856
654734
0.0663
507408
0.0655
500588
0.0655
500588
0.0553
422840
0.0545
416961
0.0545
416961
0.0528
403635
0.0528
403635
0.0492
376464
0.0492
376464
0.0442
337999
0.0442
337999
0.0428
327360
0.0428
327360
0.0298
227597
0.0298
227597
0.0298
227597
0.0283
216276
0.0283
216276
0.0275
210056
0.0275
210056
0.0257
196416
0.0257
196416
0.0255
195052
0.0255
195052
0.0239
182776
0.0238
182094
0.0228
174592
0.0228
174592
0.0207
158224
0.0207
158224
0.0193
147312
0.0193
147312
0.0187
143220
0.0187
143220
0.0182
139128
0.0182
139128
0.0146
111848
0.0146
111848
0.0134
102300
0.0134
102300
0.0125
95480
0.0125
95480
0.0121
92752
0.0121
92752
0.0116
88660
0.0116
88660
0.0114
87296
0.0114
87296
0.0109
83026.7
0.0109
83026.7
0.0105
80476
0.0105
80476
0.0105
80476
0.0105
80476
0.0092
70655.2
0.0092
70655.2
0.0077
58652
0.0077
58652
0.0075
57410.8
0.0075
57410.8
0.0071
54560
0.0071
54560
0.0071
54560
0.0071
54560
0.007
53441.5
0.007
53196
0.007
53196
0.0066
50468
0.0062
47740
0.0062
47740
0.0059
44957.4
0.0059
44957.4
0.0041
31467.5
0.0041
31467.5
0.0036
27702.8
0.0033
25506.8
0.0033
25506.8
0.0032
24729.3
0.0032
24729.3
0.0027
20460
0.0027
20460
0.0018
13640
0.0018
13640
0.0014
10912
0.0009
6820
0.0009
6820
0.0004
3369.08
0.0001
859.32
0.0001
859.32
0.0001
641.08
0.0001
641.08
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(%)
1.5944
11827500
1.5944
11827500
1.278
9480590
1.278
9480590
1.2672
9400250
1.2672
9400250
0.9528
7067890
0.9528
7067890
0.7434
5514690
0.7434
5514690
0.2404
1783400
0.2319
1719900
0.2319
1719900
0.1949
1446040
0.1949
1446040
0.1783
1323000
0.1783
1323000
0.1277
947109
0.071
526951
0.071
526951
0.0633
469718
0.0633
469718
0.0485
359671
0.0485
359671
0.048
355927
0.048
355927
0.0478
354564
0.0478
354564
0.0181
134126
0.0181
134126
0.0112
82952.1
0.0112
82952.1
0.0107
79380
0.007
51835.1
0.007
51835.1
0.007
51597
0.0067
49480.2
0.0067
49480.2
0.0059
43500.2
0.0059
43500.2
0.004
29555.8
0.004
29555.8
0.0032
23986
0.0032
23986
0.0015
10888.3
0.0015
10888.3
0.0007
5093.55
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(%)
1.545
8800740
0.1983
1129680
0.1983
1129680
0.191
1087840
0.191
1087840
0.1855
1056460
0.1855
1056460
0.1276
726970
0.1276
726970
0.122
694722
0.122
694722
0.115
654817
0.115
654817
0.1148
653750
0.1148
653750
0.0797
453828
0.0797
453828
0.0705
401664
0.0705
401664
0.0615
350410
0.0615
350410
0.0599
340996
0.0599
340996
0.0581
331007
0.0581
331007
0.055
313476
0.055
313476
0.0527
300202
0.0501
285485
0.0501
285485
0.0471
268027
0.043
244764
0.043
244764
0.0391
222903
0.0391
222903
0.0284
161879
0.0284
161879
0.0275
156827
0.0275
156827
0.0271
154442
0.0271
154442
0.0187
106692
0.0187
106692
0.0162
92048
0.0162
92048
0.0122
69454.4
0.0072
40982.3
0.0072
40982.3
0.0072
40982.3
0.0072
40982.3
0.0072
40982.3
0.0072
40982.3
0.0072
40982.3
0.0007
4027.1
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(%)
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
0.0072
46310.8
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(%)
0.1353
651459
0.1353
651459
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
0.0109
52422.8
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(%)
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
55870.7
0.0115
55870.7
0.0115
55870.7
0.0115
55870.7
0.0115
55870.7
0.0115
55870.7
0.0115
53950.9
0.0115
53950.9
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
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0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
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0.0115
53990
0.0115
53990
0.0115
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0.0115
53990
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53990
0.0115
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0.0115
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55870.7
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0.0115
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0.0115
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55870.7
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55870.7
0.0115
53990
0.0115
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0.0115
53990
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0.0115
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0.0115
55870.7
0.0115
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0.0115
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0.0115
53990
0.0115
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0.0115
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0.0115
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0.0115
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0.0115
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0.0115
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0.0115
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0.0115
53990
0.0115
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0.0115
53990
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0.0115
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0.0115
53990
0.0115
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0.0115
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0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53950.9
0.0115
55870.7
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53950.9
0.0115
55870.7
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
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0.0115
53990
0.0115
53990
0.0115
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0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53950.9
0.0115
53950.9
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
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53990
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53990
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53990
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53990
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53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
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53990
0.0115
55870.7
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0115
53990
0.0109
51289.2
0.0095
46031.3
0.0095
46031.3
0.0006
2852
0.0006
2852
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(%)
0.0115
46389.1
0.0115
46389.1
0.0115
46389.1
0.0115
46389.1
0.0115
55087.1
0.0109
44068.5
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
28797.3
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