Western Metal Materials Co., Ltd.

XSEC:002149 주식 보고서

시가총액: CN¥8.1b

Western Metal Materials 소유권

주요 주주는 누구이며 내부자가 매수 또는 매도한 적이 있나요?


최근 내부자 거래

내부자 거래량

내부자 구매: 내부자가 지난 3개월 동안 판매한 것보다 더 많은 주식을 구입했는지 판단하기에는 데이터가 부족합니다.


소유권 분석

002149 의 소유 구조는 어떻게 되나요?
소유자 유형공유 수소유권 비율
개인 내부자140,0000.0287%
교육기관115,641,37323.7%
민간 기업171,919,09235.2%
일반 대중200,513,80941.1%

주식의 희석: 지난 해 주주들은 의미 있게 희석되지 않았습니다.


최대 주주

상위 25 주주가 회사의 58.37%를 소유하고 있습니다.
소유권이름공유현재 값변경 %포트폴리오 %
24.7%
Northwest Institute for Non-Ferrous Metal Research
120,468,988CN¥2.0b0%데이터 없음
10.5%
China Aerospace Science and Technology Corporation
51,450,104CN¥853.6m0%데이터 없음
5.52%
Dacheng Fund Management Co., Ltd.
26,941,689CN¥447.0m0%0.37%
4.25%
National Council for Social Security Fund
20,768,100CN¥344.5m0%0.05%
2.13%
Huashang Fund Management Company Ltd.
10,414,585CN¥172.8m0%0.33%
1.88%
E Fund Management Co., Ltd.
9,158,978CN¥151.9m0%0.02%
1.67%
Yinhua Fund Management Co., Ltd.
8,128,933CN¥134.9m0%0.11%
1.52%
AEGON-Industrial Fund Management Co. Ltd.
7,409,022CN¥122.9m0%0.09%
1.37%
UBS SDIC Fund Management Co., Ltd.
6,709,952CN¥111.3m0%0.34%
1.23%
Aero Engine Fund Management Co., Ltd.
6,000,000CN¥99.5m0%2.06%
0.65%
Penghua Fund Management Co., Ltd.
3,181,300CN¥52.8m0%0.04%
0.47%
Fullgoal Fund Management Co. Ltd.
2,312,388CN¥38.4m0%0.01%
0.28%
First Seafront Fund Management Co., Ltd
1,351,106CN¥22.4m0%0.04%
0.28%
Zhong Ou Fund Management Co., Ltd
1,347,700CN¥22.4m0%0.01%
0.26%
Xin Yuan Asset Management Company
1,277,900CN¥21.2m0%1.26%
0.25%
GF Fund Management Co., Ltd.
1,207,100CN¥20.0m0%0.01%
0.23%
Ping An UOB Fund Management Co., Ltd.
1,116,520CN¥18.5m0%0.05%
0.22%
Great Wall Fund Management Co., Ltd
1,067,400CN¥17.7m0%0.06%
0.21%
HuaAn Fund Management Company Ltd.
1,032,500CN¥17.1m0%0.01%
0.18%
Harvest Fund Management Co. Ltd.
890,000CN¥14.8m0%데이터 없음
0.12%
Goldstate Capital Fund Management Co., Ltd.
603,700CN¥10.0m0%0.16%
0.12%
Tongtai Fund Management Co., Ltd.
587,678CN¥9.7m0%1.28%
0.11%
CCB Fund Management Co., Ltd
547,400CN¥9.1m0%0.88%
0.1%
China Post & Capital Fund Management Co., Ltd.
500,000CN¥8.3m0%0.05%
0.1%
ICBC Credit Suisse Asset Management Co., Ltd.
499,600CN¥8.3m0%0.01%