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

国寿安保裕祥混合A(012665)

2023-04-21     0.91700.0000%
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)
1688560明冠新材32.410.701.49348
2000568泸州老窖29.160.131.342496
3688503聚和材料27.480.181.261045
4002459晶澳科技24.040.401.111694
5601633长城汽车17.770.600.82542
6605305中际联合17.620.500.81146
7688355明志科技16.970.500.78127
8002487大金重工16.550.400.76677
9001269欧晶科技14.890.150.68584
10300820英杰电气14.700.200.68225
11601965中国汽研13.180.680.61231
12000625长安汽车12.311.000.57637
13002371北方华创11.270.050.521646
14603151邦基科技9.890.470.45442
15002840华统股份9.630.570.44162
16002475立讯精密9.530.300.442434
17300498温氏股份8.830.450.411278
18600298安琪酵母8.140.180.37743
19000596古井贡酒8.010.030.371165
20600132重庆啤酒7.640.060.35951
21002531天顺风能7.570.500.35568
22002262恩华药业7.370.300.34416
23603871嘉友国际7.010.310.32343
24300979华利集团6.850.120.32671
25600199金种子酒6.150.230.28228
26301283聚胶股份5.370.100.252730
27605128上海沿浦4.830.090.22135
28688041海光信息4.810.120.22731
29603606东方电缆4.750.070.221055
30002011盾安环境3.680.280.17305
31688139海尔生物3.190.050.15232
32300014亿纬锂能2.640.030.122282
33300068南都电源2.130.100.10205
34000860顺鑫农业1.490.050.07323
35603179新泉股份1.150.030.05366
36300893松原股份1.080.040.05169
37600566济川药业0.270.010.01651