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机构风向标 | 汉仪股份(301270)2025年三季度已披露前十大机构持股比例合计下跌4.25个百分点
Xin Lang Cai Jing· 2025-10-23 01:15
Group 1 - Han Yi Co., Ltd. (301270.SZ) released its Q3 2025 report on October 23, 2025, indicating that as of October 22, 2025, eight institutional investors disclosed holding a total of 26.15% of the company's A-shares, amounting to 26.1479 million shares [1] - The institutional holding percentage decreased by 4.25 percentage points compared to the previous quarter [1] - One new public fund, Huaxia Industry Prosperity Mixed A, was disclosed this period, while 109 public funds were not disclosed compared to the previous quarter [1] Group 2 - J.P. Morgan Securities PLC's proprietary funds were not disclosed in this period compared to the previous quarter [2]
机构风向标 | 华兰股份(301093)2025年三季度已披露前十大机构持股比例合计下跌1.90个百分点
Xin Lang Cai Jing· 2025-10-23 01:15
公募基金方面,本期较上一季未再披露的公募基金共计58个,主要包括长江智能制造混合型发起式A、 大成创业板两年定开混合A、南方大数据100指数A、华宝研究精选混合、银河康乐股票A等。 险资方向,本期较上一期持股增加的险资共计1个,即瑞众人寿保险有限责任公司-自有资金,持股增加 占比达3.8%。 2025年10月23日,华兰股份(301093.SZ)发布2025年第三季报。截至2025年10月22日,共有5个机构投资 者披露持有华兰股份A股股份,合计持股量达7092.54万股,占华兰股份总股本的43.19%。其中,机构 投资者包括江阴华兰机电科技有限公司、瑞众人寿保险有限责任公司-自有资金、北京复远投资管理有 限公司-复远复兴一号私募证券投资基金、江阴华恒投资有限公司、江阴华聚赢投资企业(有限合伙),机 构投资者合计持股比例达43.19%。相较于上一季度,机构持股比例合计下跌了1.90个百分点。 ...
机构风向标 | 隆盛科技(300680)2025年三季度已披露前十大机构持股比例合计下跌5.53个百分点
Sou Hu Cai Jing· 2025-10-20 23:57
2025年10月21日,隆盛科技(300680.SZ)发布2025年第三季报。截至2025年10月20日,共有5个机构投资 者披露持有隆盛科技A股股份,合计持股量达1490.90万股,占隆盛科技总股本的6.55%。其中,机构投 资者包括招商银行股份有限公司-鹏华碳中和主题混合型证券投资基金、中国建设银行股份有限公司-华 安汇宏精选混合型证券投资基金、中国邮政储蓄银行股份有限公司-景顺长城稳健回报灵活配置混合型 证券投资基金、中国工商银行股份有限公司-华安媒体互联网混合型证券投资基金、中信银行股份有限 公司-永赢低碳环保智选混合型发起式证券投资基金,机构投资者合计持股比例达6.55%。相较于上一季 度,机构持股比例合计下跌了5.53个百分点。 公募基金方面本期较上一季度持股减少的公募基金共计2个,包括鹏华碳中和主题混合A、永赢低碳环 保智选混合发起A,持股减少占比达1.16%。本期较上一季度新披露的公募基金共计3个,包括华安汇宏 精选混合A、景顺长城稳健回报混合A类、华安媒体互联网混合A。本期较上一季未再披露的公募基金 共计159个,主要包括永赢先进制造智选混合发起A、前海开源嘉鑫混合A、鹏华沪深港新兴成长混合 ...
机构风向标 | 鼎通科技(688668)2025年三季度已披露前十大机构持股比例合计下跌6.23个百分点
Sou Hu Cai Jing· 2025-10-20 23:57
Core Insights - DingTong Technology (688668.SH) reported its Q3 2025 results, revealing that as of October 20, 2025, eight institutional investors held a total of 57.6812 million A-shares, accounting for 41.44% of the company's total share capital. This represents a decrease of 6.23 percentage points compared to the previous quarter [1] Group 1: Institutional Investors - A total of eight institutional investors disclosed their holdings in DingTong Technology, with a combined shareholding of 57.6812 million shares, which is 41.44% of the total share capital [1] - The institutional holding percentage decreased by 6.23 percentage points compared to the previous quarter [1] Group 2: Public Funds - One public fund, Xinhua Preferred Dividend Mixed A, reported a decrease in holdings by 0.46% compared to the previous quarter [2] - Three new public funds disclosed their holdings this quarter, including Zhonghang Opportunity Leading Mixed Initiation A, Debon Xinxing Value A, and Baoyin Transformation Power Mixed A [2] - A total of 335 public funds did not disclose their holdings this quarter, including Yongying Technology Smart Selection Mixed Initiation A, China Europe Digital Economy Mixed Initiation A, and others [2] Group 3: Social Security and Foreign Investment - One social security fund, GF Fund Management Co., Ltd. - Social Security Fund 2003 Combination, did not disclose its holdings this quarter [2] - One new foreign institution, Hong Kong Central Clearing Limited, disclosed its holdings this quarter [2]
机构风向标 | 雪祺电气(001387)2025年二季度已披露前十大机构持股比例合计下跌2.06个百分点
Xin Lang Cai Jing· 2025-08-28 10:45
Core Viewpoint - Xueqi Electric (001387.SZ) reported its 2025 semi-annual results, highlighting significant institutional investment and changes in shareholder composition [1] Institutional Investment - As of August 27, 2025, 12 institutional investors disclosed holdings in Xueqi Electric A-shares, totaling 58.16 million shares, which represents 31.77% of the company's total equity [1] - The top ten institutional investors include Anhui Zhidao Investment Co., Ltd., Ningbo Xueqi Enterprise Management Partnership (Limited Partnership), and others, collectively holding 31.77% of the shares [1] - Compared to the previous quarter, the combined holding percentage of the top ten institutions decreased by 2.06 percentage points [1] Public Fund Disclosures - In this reporting period, six new public funds disclosed their holdings, including Dachen Zhongzheng 360 Internet + Index A and others [1]
机构风向标 | 沧州明珠(002108)2025年二季度已披露前十大机构持股比例合计下跌1.42个百分点
Xin Lang Cai Jing· 2025-08-28 10:43
Core Viewpoint - Cangzhou Mingzhu (002108.SZ) reported a decrease in institutional ownership in its half-year report for 2025, with a total of 6 institutional investors holding 484 million shares, representing 29.07% of the total share capital, down by 1.42 percentage points from the previous quarter [1] Institutional Investors - A total of 6 institutional investors disclosed their holdings in Cangzhou Mingzhu A-shares, with a combined holding of 484 million shares, accounting for 29.07% of the total share capital [1] - The institutional investors include Hebei Cangzhou Dongsu Group Co., Ltd., Hangzhou Zhongda Junyue Investment Co., Ltd. - Junyue Rixin No. 17 Private Securities Investment Fund, Ju Hong (Hong Kong) Co., Ltd., Hong Kong Central Clearing Limited, Shaanxi International Trust Co., Ltd. - Shaan Guotou · Jinyu No. 185 Securities Investment Collective Fund Trust Plan, and Ping An CSI 2000 Enhanced Strategy ETF [1] - Compared to the previous quarter, the total institutional holding percentage decreased by 1.42 percentage points [1] Public Funds - One new public fund disclosed during this period is the Ping An CSI 2000 Enhanced Strategy ETF [1] - One public fund, the Southern CSI 1000 ETF, was not disclosed in this period compared to the previous quarter [1] Foreign Investment - Two foreign funds reduced their holdings compared to the previous quarter, including Ju Hong (Hong Kong) Co., Ltd. and Hong Kong Central Clearing Limited, with a total reduction of 0.15% [1]
机构风向标 | 动力源(600405)2025年二季度已披露前十大机构持股比例合计下跌2.16个百分点
Xin Lang Cai Jing· 2025-08-28 10:38
Core Viewpoint - The report indicates a decline in institutional ownership in Dongli Source (600405.SH) as of August 27, 2025, with only one institutional investor holding shares, reflecting a decrease in institutional interest [1] Institutional Ownership - As of August 27, 2025, there is only one institutional investor disclosing holdings in Dongli Source A-shares, with a total holding of 7,200 shares, representing 0.00% of the total share capital [1] - The institutional investor includes the Ping An CSI 2000 Enhanced Strategy ETF, with the total institutional holding ratio decreasing by 2.16 percentage points compared to the previous quarter [1] Public Fund Holdings - During this period, one new public fund was disclosed, which is the Ping An CSI 2000 Enhanced Strategy ETF [1]
机构风向标 | 博实股份(002698)2025年二季度已披露前十大机构持股比例合计下跌2.86个百分点
Xin Lang Cai Jing· 2025-08-28 10:38
Core Viewpoint - Boshi Co., Ltd. (002698.SZ) reported a decline in institutional ownership in its semi-annual report for 2025, with a total of 1.16 billion shares held by five institutional investors, representing 11.35% of the total share capital, down by 2.86 percentage points from the previous quarter [1]. Institutional Ownership - As of August 27, 2025, five institutional investors disclosed their holdings in Boshi Co., Ltd., totaling 1.16 billion shares, which accounts for 11.35% of the company's total share capital [1]. - The institutional investors include Unicom New沃 Venture Capital Management (Shanghai) Co., Ltd., Huazhong Enhanced Yield Bond A, Huazhong Fengxin Bond A, Huazhong Fengyue Bond A, and Rongtong Shenzhen Component Index A/B [1]. - The total institutional ownership percentage decreased by 2.86 percentage points compared to the previous quarter [1]. Public Fund Holdings - One new public fund disclosed its holdings this period, which is Rongtong Shenzhen Component Index A/B [1]. - Three public funds that were previously disclosed have not reported their holdings this period, including Huazhong Fengyue Bond A, Changjiang Chucai One-Year Holding Mixed Initiation A, and Huazhong Tianyi Mixed A [1].
机构风向标 | 百诚医药(301096)2025年二季度已披露前十大机构持股比例合计下跌1.07个百分点
Xin Lang Cai Jing· 2025-08-28 10:33
Group 1 - The core viewpoint of the news is that Baicheng Pharmaceutical (301096.SZ) reported its semi-annual results for 2025, revealing significant institutional investor activity and changes in shareholding [1] - As of August 27, 2025, a total of 10 institutional investors disclosed holdings in Baicheng Pharmaceutical A-shares, with a combined holding of 14.74 million shares, accounting for 13.50% of the total share capital [1] - The top ten institutional investors include various management partnerships and funds, with their combined holding percentage decreasing by 1.07 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, one fund, Rongtong Health Industry Flexible Allocation Mixed A/B, reported a slight decrease in holdings compared to the previous quarter [2] - Two new public funds were disclosed during this period, namely Caitong Technology Innovation Mixed A and Caitong Fusheng Mixed Initiation (LOF) A [2] - Two public funds, including Everbright Baodexin Credit Enhancement Bond Class A and Everbright Baodexin Anqi Bond Class A, were not disclosed in this period compared to the previous quarter [2]
机构风向标 | 博隆技术(603325)2025年二季度已披露前十大机构持股比例合计下跌1.49个百分点
Xin Lang Cai Jing· 2025-08-28 10:29
Core Viewpoint - Bolong Technology (603325.SH) released its semi-annual report for 2025, indicating a total institutional holding of 10.6829 million shares, representing 16.02% of the company's total equity, with a decline of 1.49 percentage points from the previous quarter [1] Institutional Holdings - As of August 27, 2025, seven institutional investors disclosed their holdings in Bolong Technology, with a combined shareholding of 10.6829 million shares [1] - The institutional investors include Harbin Boshi Automation Co., Ltd., Bank of China Co., Ltd. - Yongying Hongze One-Year Regular Open Flexible Allocation Mixed Securities Investment Fund, and several others, contributing to a total institutional holding ratio of 16.02% [1] - Compared to the previous quarter, the total institutional holding ratio decreased by 1.49 percentage points [1] Public Fund Disclosures - During this period, one new public fund was disclosed, namely the Rongtong Quantitative Multi-Strategy Flexible Allocation Mixed A [1] - Seven public funds were not disclosed in this period compared to the previous quarter, including funds such as Taikang Strategy Preferred Mixed, Taikang Quality Life Mixed A, and others [1]