华夏行业景气混合A
Search documents
华曙高科股价涨5.18%,华夏基金旗下1只基金位居十大流通股东,持有189.45万股浮盈赚取716.12万元
Xin Lang Cai Jing· 2026-01-08 07:10
1月8日,华曙高科涨5.18%,截至发稿,报76.81元/股,成交5.15亿元,换手率3.40%,总市值318.12亿 元。 资料显示,湖南华曙高科技股份有限公司位于湖南省长沙市岳麓区岳麓西大道2710号,成立日期2009年 10月21日,上市日期2023年4月17日,公司主营业务涉及工业级增材制造设备的研发、生产与销售,致力 于为全球客户提供金属(SLM)增材制造设备和高分子(SLS)增材制造设备,并提供3D打印材料、工艺及服 务。主营业务收入构成为:3D打印设备及辅机配件74.47%,售后服务及其他13.57%,3D打印粉末材料 11.02%,其他(补充)0.94%。 从华曙高科十大流通股东角度 数据显示,华夏基金旗下1只基金位居华曙高科十大流通股东。华夏行业景气混合A(003567)三季度 持有股数189.45万股,持股数量与上期相比不变,占流通股的比例为0.94%。根据测算,今日浮盈赚取 约716.12万元。 华夏行业景气混合A(003567)成立日期2017年2月4日,最新规模89.72亿。今年以来收益3.39%,同类 排名3968/8825;近一年收益69.07%,同类排名798/8084;成立以 ...
星网宇达股价涨5.01%,华夏基金旗下1只基金位居十大流通股东,持有392.54万股浮盈赚取608.44万元
Xin Lang Cai Jing· 2026-01-06 05:32
数据显示,华夏基金旗下1只基金位居星网宇达十大流通股东。华夏行业景气混合A(003567)三季度 增持47.42万股,持有股数392.54万股,占流通股的比例为2.69%。根据测算,今日浮盈赚取约608.44万 元。 风险提示:市场有风险,投资需谨慎。本文为AI大模型自动发布,任何在本文出现的信息(包括但不 限于个股、评论、预测、图表、指标、理论、任何形式的表述等)均只作为参考,不构成个人投资建 议。 华夏行业景气混合A(003567)成立日期2017年2月4日,最新规模89.72亿。今年以来收益1.03%,同类 排名6186/8818;近一年收益67.73%,同类排名827/8083;成立以来收益394.23%。 责任编辑:小浪快报 1月6日,星网宇达涨5.01%,截至发稿,报32.48元/股,成交5.41亿元,换手率11.80%,总市值67.50亿 元。 华夏行业景气混合A(003567)基金经理为钟帅。 资料显示,北京星网宇达科技股份有限公司位于北京经济技术开发区科谷二街6号院,成立日期2005年5 月20日,上市日期2016年12月13日,公司主营业务涉及惯性技术开发及应用,主要开展惯性组合导航、 惯 ...
中国天楹股价跌1.07%,华夏基金旗下1只基金位居十大流通股东,持有2686.23万股浮亏损失161.17万元
Xin Lang Cai Jing· 2025-12-30 06:19
12月30日,中国天楹跌1.07%,截至发稿,报5.54元/股,成交7750.82万元,换手率0.60%,总市值 132.30亿元。 资料显示,中国天楹股份有限公司位于江苏省海安市黄海大道(西)268号2幢,成立日期1984年12月31 日,上市日期1994年4月8日,公司主营业务涉及城市环境服务、废弃物处置与利用、环保装备制造。主 营业务收入构成为:供电及垃圾处理服务50.98%,其他21.61%,城市环境服务19.85%,提供建造服务 7.56%。 从中国天楹十大流通股东角度 数据显示,华夏基金旗下1只基金位居中国天楹十大流通股东。华夏行业景气混合A(003567)三季度 持有股数2686.23万股,持股数量与上期相比不变,占流通股的比例为1.11%。根据测算,今日浮亏损失 约161.17万元。 责任编辑:小浪快报 华夏行业景气混合A(003567)成立日期2017年2月4日,最新规模89.72亿。今年以来收益59.85%,同 类排名723/8087;近一年收益55.17%,同类排名781/8085;成立以来收益390.61%。 华夏行业景气混合A(003567)基金经理为钟帅。 截至发稿,钟帅累计任职时 ...
精研科技股价涨5.08%,华夏基金旗下1只基金位居十大流通股东,持有294.77万股浮盈赚取642.6万元
Xin Lang Cai Jing· 2025-12-23 06:06
12月23日,精研科技涨5.08%,截至发稿,报45.07元/股,成交3.48亿元,换手率5.32%,总市值83.86亿 元。 资料显示,江苏精研科技股份有限公司位于江苏省常州市钟楼经济开发区棕榈路59号,成立日期2004年 11月29日,上市日期2017年10月19日,公司主营业务涉及以MIM产品为主业,并在近年来新拓展了传 动、精密塑胶、散热、智能制造服务及电子制造板块业务。主营业务收入构成为:MIM零部件及组件 59.24%,传动、散热类组件及其他25.79%,精密塑胶零部件及组件7.99%,其他(补充)4.27%,终端产品 2.71%。 截至发稿,钟帅累计任职时间5年150天,现任基金资产总规模132.6亿元,任职期间最佳基金回报 178.28%, 任职期间最差基金回报-2.2%。 风险提示:市场有风险,投资需谨慎。本文为AI大模型自动发布,任何在本文出现的信息(包括但不 限于个股、评论、预测、图表、指标、理论、任何形式的表述等)均只作为参考,不构成个人投资建 议。 责任编辑:小浪快报 数据显示,华夏基金旗下1只基金位居精研科技十大流通股东。华夏行业景气混合A(003567)三季度 增持31.84万股 ...
汉仪股份股价连续3天上涨累计涨幅6.4%,华夏基金旗下1只基金持211.03万股,浮盈赚取493.81万元
Xin Lang Cai Jing· 2025-11-25 07:44
11月25日,汉仪股份涨0.39%,截至发稿,报38.91元/股,成交2.20亿元,换手率5.95%,总市值38.91亿 元。汉仪股份股价已经连续3天上涨,区间累计涨幅6.4%。 资料显示,北京汉仪创新科技股份有限公司位于北京市海淀区翠微路2号院五区2号楼二层201,成立日 期1993年9月4日,上市日期2022年8月31日,公司主营业务涉及字体设计、字库软件开发和授权、提供 字库类技术服务和视觉设计服务,以及以IP赋能方式开展的IP产品化业务。主营业务收入构成为:字库 软件授权业务68.01%,互联网平台授权业务23.20%,字库类技术服务业务6.15%,IP产品及授权等业务 1.75%,其他技术服务业务0.87%,租赁收入0.02%。 从汉仪股份十大流通股东角度 数据显示,华夏基金旗下1只基金位居汉仪股份十大流通股东。华夏行业景气混合A(003567)三季度 新进十大流通股东,持有股数211.03万股,占流通股的比例为2.23%。根据测算,今日浮盈赚取约31.65 万元。连续3天上涨期间浮盈赚取493.81万元。 华夏行业景气混合A(003567)成立日期2017年2月4日,最新规模89.72亿。今年以来 ...
机构风向标 | 金溢科技(002869)2025年三季度已披露持仓机构仅6家
Xin Lang Cai Jing· 2025-10-31 02:49
Core Viewpoint - Jinli Technology (002869.SZ) reported an increase in institutional ownership, with a total of 44.48 million shares held by six institutional investors, representing 24.77% of the total share capital, marking a 6.25 percentage point increase from the previous quarter [1] Institutional Investors - Six institutional investors disclosed their holdings in Jinli Technology, with a combined ownership of 44.48 million shares, accounting for 24.77% of the total share capital [1] - The institutional ownership increased by 6.25 percentage points compared to the previous quarter [1] Public Funds - Two new public funds disclosed their holdings in the current period, including Huaxia Industry Prosperity Mixed A and Huaxia Excellent Growth Mixed A [1] - A total of 26 public funds that were previously disclosed did not report their holdings this quarter, including Huashang Advantage Industry Mixed A and others [1] Social Security Funds - One new social security fund disclosed its holdings in Jinli Technology, specifically the Huaxia Fund Management Co., Ltd. - Social Security Fund 422 Combination [1] Foreign Investment - One foreign fund, Hong Kong Central Clearing Limited, increased its holdings in Jinli Technology by 1.10% compared to the previous period [1]
机构风向标 | 晨丰科技(603685)2025年三季度已披露持仓机构仅5家
Xin Lang Cai Jing· 2025-10-30 03:43
Core Insights - Morning Feng Technology (603685.SH) released its Q3 2025 financial report on October 30, 2025, indicating a total of 64.11 million shares held by five institutional investors, representing 36.14% of the company's total share capital [1] Institutional Holdings - The institutional investors include Hong Kong Jifei Industrial Co., Ltd., Hangzhou Hongwo Proprietary Investment Co., Ltd., Hangzhou Chonghu Private Fund Management Co., Ltd. - Chonghu - Gaoya Private Securities Investment Fund, Ping An Bank Co., Ltd. - Huaxia Vision Growth One-Year Holding Period Mixed Securities Investment Fund, and Bank of China Co., Ltd. - Huaxia Industry Prosperity Mixed Securities Investment Fund [1] - Compared to the previous quarter, the total institutional holding percentage decreased by 0.16 percentage points [1] Public Fund Disclosures - In this period, two new public funds were disclosed compared to the previous quarter, namely Huaxia Vision Growth One-Year Holding Mixed A and Huaxia Industry Prosperity Mixed A [1] - One public fund, CITIC Construction Investment Vision Return A, was not disclosed in this period, indicating a reduction in public fund participation [1]
机构风向标 | 华图山鼎(300492)2025年三季度已披露持仓机构仅9家
Xin Lang Cai Jing· 2025-10-30 03:26
Core Viewpoint - Huatu Shanding (300492.SZ) reported an increase in institutional ownership, with a total of 9 institutional investors holding 114 million shares, representing 58.20% of the total share capital as of October 29, 2025 [1] Group 1: Institutional Ownership - The total institutional ownership increased by 1.38 percentage points compared to the previous quarter [1] - Major institutional investors include Tianjin Huatu Hongyang Enterprise Management Co., Hong Kong Central Clearing Limited, and several mutual funds [1] Group 2: Public Fund Activity - Three public funds increased their holdings, including Huaxia Industry Prosperity Mixed Fund, Changxin Quantitative Small and Medium Cap Stock A, and Huaxia CSI Selected 1000 Growth Innovation Strategy ETF, with an increase in holdings accounting for 0.80% [2] - Three new public funds disclosed their holdings this quarter, including Huaxia Zhaoxin Hongrui Mixed A, Changxin CSI 500 Index A, and GF Optional Consumption Link A [2] - A total of 122 public funds did not disclose their holdings this quarter, including several major ETFs [2] Group 3: Foreign Investment - One foreign fund, Hong Kong Central Clearing Limited, increased its holdings by 0.99% compared to the previous period [2]
机构风向标 | 远东股份(600869)2025年三季度已披露前十大机构累计持仓占比59.91%
Xin Lang Cai Jing· 2025-10-30 01:33
Group 1 - Far East Holdings (600869.SH) reported its Q3 2025 results, with 14 institutional investors holding a total of 1.331 billion shares, representing 59.96% of the total share capital [1] - The top ten institutional investors collectively hold 59.91% of the shares, with a slight decrease of 0.32 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, only one fund, Morgan Emerging Power Mixed A, increased its holdings by 0.74% compared to the previous period [2] - Eight new public funds disclosed their holdings this quarter, including several funds from Huashang and China Agricultural Bank [2] - One social security fund, Huaxia Fund Management Co., Ltd. - Social Security Fund 422 Portfolio, was not disclosed in this period compared to the previous quarter [2]
机构风向标 | 恒烁股份(688416)2025年三季度已披露前十大机构持股比例合计下跌7.52个百分点
Xin Lang Cai Jing· 2025-10-30 01:25
Group 1 - Core viewpoint: Hengshuo Co., Ltd. (688416.SH) reported a decline in institutional ownership in its Q3 2025 report, with a total of 9 institutional investors holding 15.9733 million shares, representing 19.26% of the total share capital, a decrease of 7.52 percentage points from the previous quarter [1] - Institutional investors include various funds and partnerships, such as Hefei Henglian Enterprise Management Consulting Center and China Bank's mixed securities investment fund [1] - The total institutional holding percentage has decreased compared to the previous quarter, indicating a potential shift in investor sentiment [1] Group 2 - In the public fund sector, two funds increased their holdings compared to the previous period, with a total increase of 0.12% [2] - Two new public funds were disclosed this quarter, including Pengyang CSI A500 Index Enhanced A and Tongtai CSI 300 Quantitative Enhanced A [2] - A total of 49 public funds were not disclosed this quarter, indicating a significant reduction in public fund participation [2]