UCloud Technology Co Ltd (688158)

Currency in CNY
32.63
+0.27(+0.83%)
Closed·

Ownership

Ownership Overview

Type
Common Stock Held% of Shares OutstandingMarket Value
Mutual Funds & ETFs
18.55M4.03%602.76M
Other Institutional Investors
56.86M12.34%1.85B
Public Companies & Retail Investors
385.30M83.63%12.52B
Total
460.71M100.00%14.97B

Top Institutional Holders

Holder
% of holding
Shares Held
Date Reported
Value (In 1,000s)
China Mobile Capital Holding Co., Ltd.4.92%2,26,54,7557,36,280
Jiaxing Yunxian Enterprise Management Partnership Enterprise (Limited Partnership)1.69%77,79,6972,52,840
Jiaxing Youliang Investment Partnership Enterprise (L.P.)1.14%52,53,6781,70,745
Jiaxing Hongliu Private Fund Management Partnership Enterprise (Limited Partnership)1.14%52,53,6781,70,745
Bosera Asset Management Co., Ltd.0.95%43,57,3061,41,612
Yinhua Fund Management Co., Ltd.0.95%43,57,3061,41,612
Jiaxing Hualiang Investment Partnership Enterprise (Limited Partnership)0.75%34,39,0001,11,768
Jiaxing Dama Investment Management Partnership Enterprise (Limited Partnership)0.75%34,39,0001,11,768
China Mobile State Development & Investment Management Company Limited0.69%31,65,4971,02,879
China Mobile Innovative Business Fund (Shenzhen) Partnership (Limited Partnership)0.69%31,65,4971,02,879

Top Mutual Fund Holders

Holder
% of holding
Shares Held
Date Reported
Value (In 1,000s)
Bosera SSE STAR Market Artificial Intelligence Exchange Traded Open-End Index Securities Investment0.82%37,90,4831,23,191
GF Technology Innovation Mixed Fund0.65%29,80,43496,864
Gf Fund Management Co Ltd- CSI 1000 ETF0.33%15,20,14749,405
Yinhua SSE STAR Artificial Intelligence ETF0.24%11,19,60836,387
Fortune and Royal Information Technology Mixed Fund0.20%8,99,58129,236
Golden Eagle Yuanfeng Bond Fund0.18%8,10,00026,325
Golden Eagle Minan Return One-year Regular Open Mixed Fund0.17%8,00,00026,000
Penghua High Quality Growth Mixed Fund0.15%6,82,49522,181
Fullgoal Fund Management Co Ltd - Fullgoal CSI 1000 ETF0.12%5,65,03018,363
ChinaAMC Jianlong Selected Mixed Fund0.09%4,14,83413,482
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