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华夏稳福六个月持有混合A(013101)

2024-04-19     1.04400.0575%
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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)
1601166兴业银行222.7313.740.68728
2603678火炬电子132.355.000.41278
3300059东方财富130.579.300.401225
4300577开润股份114.447.800.3577
5603681永冠新材105.707.000.32152
6601677明泰铝业102.069.000.31355
7300121阳谷华泰97.6811.000.3060
8603609禾丰股份97.1511.350.30156
9688323瑞华泰96.624.500.30139
10300630普利制药95.684.230.29147
11600745闻泰科技93.082.200.29768
12600461洪城环境91.4010.000.28390
13300041回天新材90.189.000.2870
14603355莱克电气89.204.000.27159
15603113金能科技89.0911.040.27164
16688772珠海冠宇88.244.010.271049
17603995甬金股份86.454.500.27204
18002475立讯精密86.132.500.263238
19002091江苏国泰83.9410.720.26236
20002929润建股份80.961.940.25233
21001965招商公路80.808.270.25388
22300732设研院80.639.130.2569
23600483福能股份77.549.380.24377
24603187海容冷链75.805.000.23346
25603535嘉诚国际75.214.180.2345
26603529爱玛科技75.123.000.23352
27002120韵达股份74.6010.000.23306
28600487亨通光电71.646.000.22257
29600258首旅酒店70.294.500.22600
30600048保利发展69.307.000.211503
31000789万年青67.239.800.21134
32002597金禾实业63.542.900.19230
33300263隆华科技63.369.000.19128
34300501海顺新材63.064.370.19114
35002381双箭股份61.788.150.19211
36600496精工钢构58.7719.270.18129
37300871回盛生物57.703.990.18123
38300305裕兴股份56.125.680.1750
39002918蒙娜丽莎54.704.040.17159
40000703恒逸石化52.557.820.16209
41601117中国化学52.158.200.16498
42600690海尔智家51.872.470.161394
43002034旺能环境50.483.310.15180
44601636旗滨集团47.546.950.15492
45300673佩蒂股份43.363.260.13124
46688244永信至诚4.410.080.01130
47688489三未信安3.420.070.01231
48688548广钢气体2.590.200.013794
49688582芯动联科2.320.060.013618
50301303真兰仪表2.080.110.01292
51688627精智达1.950.020.013644
52688610埃科光电1.400.030.002382
53688602康鹏科技1.180.110.003787
54688603天承科技1.040.010.003159
55688612威迈斯1.030.030.003953
56301429森泰股份1.020.050.00287
57688638誉辰智能0.840.010.002090
58688651盛邦安全0.820.020.003309
59603291联合水务0.810.050.00162
60688671碧兴物联0.780.020.002584
61688693锴威特0.770.020.003317
62603275众辰科技0.570.010.002556
63603119浙江荣泰0.540.020.003825