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景顺长城景盛双息收益债券A(002065)

2024-04-19     1.11800.0000%
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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)
1601899紫金矿业19,679.641,579.432.092474
2002155湖南黄金15,871.451,424.731.68347
3002182宝武镁业14,650.31745.181.55233
4600188兖矿能源12,125.18612.071.29923
5000630铜陵有色8,723.012,659.460.93571
6600489中金黄金8,531.98856.620.91816
7601898中煤能源8,310.44857.630.88655
8000333美的集团7,998.92146.420.852284
9000933神火股份7,295.06434.230.77963
10600026中远海能6,385.41521.680.68577
11600988赤峰黄金6,000.56428.310.64558
12600301华锡有色5,771.08458.750.6196
13600256广汇能源5,196.06727.740.55639
14600938中国海油4,629.42220.760.491086
15601872招商轮船4,286.03728.920.45558
16603993洛阳钼业3,845.04739.430.411082
17000932华菱钢铁3,516.44682.800.37872
18603885吉祥航空3,439.92286.660.36694
19601666平煤股份3,196.80276.540.34616
20600690海尔智家3,154.02150.190.331394
21600547山东黄金3,122.67136.540.33986
22601975招商南油3,120.181,114.350.33252
23000923河钢资源3,106.24184.900.33308
24002244滨江集团2,571.76353.750.27481
25000983山西焦煤2,546.70257.760.27693
26300737科顺股份2,429.11395.620.26169
27600989宝丰能源1,924.83130.320.20753
28000603盛达资源1,894.41171.440.20177
29600030中信证券1,661.1781.550.181666
30000975银泰黄金1,509.93100.660.16946
31002756永兴材料1,271.3124.350.13599
32603878武进不锈1,155.92153.100.12245
33601600中国铝业1,121.18198.790.12913
34600549厦门钨业1,103.4764.230.12348
35300415伊之密1,050.4059.580.11388
36603267鸿远电子966.3519.250.10434
37002271东方雨虹944.2649.180.10898
38601677明泰铝业519.8345.840.06355
39605060联德股份476.6625.490.05186
40001979招商蛇口254.4526.700.031053
41000408藏格矿业190.307.510.02370
42002444巨星科技189.628.420.02808