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

中金新安混合(004385)

2019-07-29     1.18500.2538%
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)
1600887伊利股份240.897.215.191695
2600519贵州茅台180.860.183.892002
3000858五粮液173.961.473.741504
4600030中信证券150.966.343.251387
5000333美的集团147.442.843.171430
6300166东方国信145.8811.873.14300
7000651格力电器138.462.522.981738
8002624完美世界136.445.292.94410
9603288海天味业130.741.252.81586
10600276恒瑞医药125.601.902.701323
11002415海康威视122.634.452.64983
12601888中国国旅121.451.372.611193
13002304洋河股份106.770.882.30767
14000568泸州老窖82.571.021.781034
15600585海螺水泥76.781.851.651195
16002027分众传媒54.8610.371.18547
17601211国泰君安49.732.711.07728
18000895双汇发展40.571.630.87691
19000596古井贡酒40.230.340.87448
20601688华泰证券36.691.640.791090
21002236大华股份33.982.340.73510
22600809山西汾酒32.030.460.69555
23002555三七互娱31.982.360.69491
24002460赣锋锂业29.761.270.64264
25002007华兰生物26.980.890.58513
26600867通化东宝24.791.610.53287
27000538云南白药23.360.280.50554
28300271华宇软件22.611.190.49275
29002916深南电路17.330.170.37460
30300594朗进科技1.750.040.042564
31601360三六零0.640.030.01237