大摩ESG量化混合
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机构风向标 | 新亚强(603155)2025年三季度已披露持仓机构仅3家
Xin Lang Cai Jing· 2025-10-30 03:17
2025年10月30日,新亚强(603155.SH)发布2025年第三季报。截至2025年10月29日,共有3个机构投资者 披露持有新亚强A股股份,合计持股量达6564.56万股,占新亚强总股本的20.79%。其中,机构投资者 包括红塔创新(昆明)创业投资有限公司、红塔创新投资股份有限公司、上海亚强智盈管理咨询中心(有限 合伙),机构投资者合计持股比例达20.79%。相较于上一季度,机构持股比例合计下跌了0.20个百分 点。 外资态度来看,本期较上一季未再披露的外资机构即中国国际金融香港资产管理有限公司- CICCFT10(Q)。 公募基金方面,本期较上一季未再披露的公募基金共计7个,主要包括大摩ESG量化混合、景顺长城沪 深300指数增强A、南方中证2000ETF、华夏中证2000ETF、博时中证2000ETF等。 ...
机构风向标 | 德冠新材(001378)2025年三季度已披露持仓机构仅2家
Xin Lang Cai Jing· 2025-10-29 02:12
公募基金方面,本期较上一季未再披露的公募基金共计49个,主要包括建信灵活配置混合A、南方大数 据300指数A、汇泉策略优选混合A、大摩ESG量化混合、民生加银中证全指指数增强A等。 2025年10月29日,德冠新材(001378.SZ)发布2025年第三季报。截至2025年10月28日,共有2个机构投资 者披露持有德冠新材A股股份,合计持股量达5196.82万股,占德冠新材总股本的38.98%。其中,机构 投资者包括广东德冠集团有限公司、招商证券资管-宁波银行-招商资管德冠新材员工参与主板战略配售 集合资产管理计划,机构投资者合计持股比例达38.98%。相较于上一季度,机构持股比例合计下跌了 0.12个百分点。 ...
机构风向标 | 本立科技(301065)2025年三季度已披露持仓机构仅2家
Xin Lang Cai Jing· 2025-10-28 01:25
Group 1 - The core point of the article is that Benli Technology (301065.SZ) reported its Q3 2025 results, highlighting an increase in institutional ownership and specific changes in public fund holdings [1] Group 2 - As of October 27, 2025, there are 2 institutional investors holding a total of 8.575 million shares of Benli Technology, representing 8.09% of the total share capital, with a 0.14 percentage point increase from the previous quarter [1] - The institutional investors include Taizhou Shaosi Investment Partnership (Limited Partnership) and China Construction Bank Co., Ltd. - Nuoan Multi-Strategy Mixed Securities Investment Fund [1] - One public fund, Nuoan Multi-Strategy Mixed A, increased its holdings by 0.22% compared to the previous period, while 10 public funds did not disclose their holdings this quarter [1]
机构风向标 | 华新环保(301265)2025年三季度已披露持仓机构仅5家
Xin Lang Cai Jing· 2025-10-27 01:22
Core Viewpoint - Huanxin Environmental (301265.SZ) reported its Q3 2025 results, highlighting a total institutional ownership of 73.632 million shares, representing 24.30% of the company's total equity, with a slight decline in institutional ownership compared to the previous quarter [1] Institutional Ownership - As of October 26, 2025, five institutional investors disclosed their holdings in Huanxin Environmental, with a combined ownership of 73.632 million shares, accounting for 24.30% of the total shares [1] - The institutional ownership percentage decreased by 0.83 percentage points compared to the previous quarter [1] Public Fund Disclosure - In this reporting period, 26 public funds were disclosed, including notable funds such as Invesco Great Wall Growth Enterprise Index Enhanced A, Morgan Stanley ESG Quantitative Mixed, and GF Value Leading Mixed A [1]
机构风向标 | 吉比特(603444)2024年四季度已披露前十大机构持股比例合计下跌1.75个百分点
Xin Lang Cai Jing· 2025-03-28 01:10
Core Insights - Jibite (603444.SH) released its 2024 annual report on March 28, 2025, indicating that 46 institutional investors held a total of 10.8147 million A-shares, accounting for 15.01% of the total share capital [1] - The top ten institutional investors collectively held 14.56% of the shares, with a decrease of 1.75 percentage points compared to the previous quarter [1] Institutional Holdings - The number of institutional investors holding Jibite shares is 46, with a total holding of 10.8147 million shares [1] - The top ten institutional investors include notable entities such as Hong Kong Central Clearing Limited and Cathay Fund Management [1] - The proportion of shares held by the top ten institutional investors decreased by 1.75 percentage points from the last quarter [1] Public Fund Activity - One public fund, Ping An Low Carbon Economy Mixed A, increased its holdings, while three funds reduced their holdings, with a total decrease of 0.47% [2] - Eight new public funds disclosed their holdings, including Rongtong Huixin Mixed A and Morgan Stanley ESG Quantitative Mixed [2] - A total of 47 public funds did not disclose their holdings this period, including notable funds like China Europe Internet Mixed A [2] Social Security Fund and Foreign Investment - One social security fund, Cathay Fund Management - Social Security Fund 1102 Combination, increased its holdings by 0.17% [2] - One foreign fund, Hong Kong Central Clearing Limited, increased its holdings by 1.04% [2]