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中银量化精选混合A(003717)

2025-04-10     0.95941.2239%
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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)
1300750宁德时代199.500.756.564949
2600519贵州茅台167.640.115.512862
3601899紫金矿业147.279.744.843162
4688041海光信息128.070.864.212253
5601077渝农商行112.0518.523.681038
6600900长江电力109.633.713.602361
7002475立讯精密108.012.653.553954
8600309万华化学105.601.483.471945
9601138工业富联104.714.873.441199
10002594比亚迪104.580.373.442398
11300760迈瑞医疗89.250.352.931830
12600276恒瑞医药84.921.852.792112
13601318中国平安78.451.492.581901
14002371北方华创70.380.182.312530
15601288农业银行62.4211.692.051596
16601398工商银行59.798.641.961737
17000725京东方A59.6613.591.961467
18300059东方财富56.032.171.841268
19000333美的集团54.910.731.803979
20601166兴业银行54.612.851.791224
21000858五粮液51.810.371.702441
22601816京沪高铁51.568.371.69863
23600030中信证券49.011.681.611253
24601668中国建筑42.547.091.401658
25601328交通银行41.885.391.381107
26600000浦发银行41.474.031.36902
27600690海尔智家37.011.301.222006
28601766中国中车34.784.151.141060
29600406国电南瑞34.551.371.141136
30601919中远海控33.642.171.111173
31002352顺丰控股33.050.821.091250
32601088中国神华32.610.751.072119
33601601中国太保32.040.941.051662
34000001平安银行31.122.661.021057
35601985中国核电29.832.860.981252
36600150中国船舶27.330.760.901224
37601939建设银行26.463.010.871320
38601225陕西煤业25.591.100.841653
39600028中国石化24.583.680.811216
40002142宁波银行22.120.910.731281
41601857中国石油21.902.450.721409
42600809山西汾酒20.260.110.671305
43600050中国联通20.123.790.661194
44603288海天味业19.740.430.65829
45002714牧原股份19.600.510.641261
46600887伊利股份18.110.600.602301
47000568泸州老窖16.280.130.531433
48600048保利发展15.861.790.521504
49001979招商蛇口13.931.360.461085
50002027分众传媒12.091.720.401734
51603008喜临门0.170.010.01224