行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

鹏华弘实混合C(001330)

2024-03-18     1.48370.0067%
全部持股
截止日期:  
 查询其他基金该项数据
序号 证券代码 证券简称 持仓市值(元) 持仓数量(股) 占基金净值比例(股) 其它基金持有(股)
1601888中国中免47.530.221.532205
2688192迪哲医药41.991.071.35160
3601128常熟银行37.604.981.21627
4300498温氏股份37.301.901.201278
5002371北方华创33.800.151.081646
6600048保利发展32.982.181.062018
7600765中航重机24.560.790.791080
8300181佐力药业20.491.920.66240
9688279峰岹科技20.300.240.65228
10688235百济神州20.000.150.64306
11688234天岳先进18.920.240.61203
12002142宁波银行18.820.580.601843
13603170宝立食品17.850.630.57423
14002244滨江集团17.221.950.55551
15688008澜起科技17.200.270.551144
16000423东阿阿胶17.090.420.55384
17688331荣昌生物16.950.220.54243
18688107安路科技16.830.260.54286
19688428诺诚健华15.391.090.49383
20688536思瑞浦15.040.050.48482
21000733振华科技14.850.130.481425
22300059东方财富14.780.760.472150
23600004白云机场14.710.980.47521
24300014亿纬锂能14.060.160.452282
25002100天康生物13.461.620.43340
26000661长春高新13.320.080.431131
27601838成都银行13.310.870.43801
28300782卓胜微13.260.120.43992
29600030中信证券12.540.630.401343
30601601中国太保12.510.510.401050
31601012隆基绿能12.490.300.402217
32600487亨通光电11.900.790.38916
33301363美好医疗11.730.280.383880
34300896爱美客11.330.020.361595
35002919名臣健康11.050.310.3550
36688409富创精密10.790.100.35966
37300786国林科技10.310.670.3329
38688357建龙微纳9.930.090.32174
39688789宏华数科9.410.050.30313
40688617惠泰医疗9.270.030.30608
41300662科锐国际8.820.180.28386
42300331苏大维格8.430.450.2750
43001330博纳影业8.150.680.26265
44688401路维光电8.030.180.26463
45301306西测测试7.770.180.253066
46603606东方电缆7.460.110.241055