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上银鑫尚稳健回报6个月持有期混合C(012333)

2025-04-02     0.87740.0000%
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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)
1601288农业银行2,281.19427.195.701596
2601398工商银行2,049.50296.175.121737
3601939建设银行1,995.24226.994.981320
4600941中国移动1,851.5715.674.622159
5600938中国海油1,625.1255.074.061557
6000651格力电器1,319.4129.033.302826
7601088中国神华1,281.7929.483.202119
8600887伊利股份1,265.7541.943.162301
9000333美的集团1,137.3315.122.843979
10600377宁沪高速1,084.8770.862.71632
11601857中国石油1,044.01116.782.611409
12601988中国银行986.01178.952.461228
13002179中航光电827.4021.052.071364
14000858五粮液788.435.631.972441
15601225陕西煤业576.6224.791.441653
16001965招商公路541.3638.811.35915
17600900长江电力533.3818.051.332361
18600919江苏银行486.1949.511.211537
19600350山东高速466.6145.391.17589
20002032苏泊尔462.398.691.15550
21600132重庆啤酒436.736.931.09542
22601658邮储银行418.0573.601.041179
23300760迈瑞医疗400.351.571.001830
24601006大秦铁路380.5656.130.951061
25000983山西焦煤306.8637.240.77504
26603939益丰药房270.1711.200.67638
27002027分众传媒267.0737.990.671734
28601000唐山港231.7349.200.58586
29601766中国中车221.5726.440.551060
30601668中国建筑205.6234.270.511658
31300124汇川技术190.393.250.481137
32600398海澜之家182.4824.330.46928
33002867周大生164.9211.350.41635
34600188兖矿能源152.3710.750.38677
35002327富安娜127.1214.380.32350
36603529爱玛科技37.740.920.09773
37000568泸州老窖0.030.000.001433