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

建信上证50ETF发起联接E(013444)

2025-03-31     1.2249-0.4874%
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)
1600519贵州茅台15.240.010.162862
2601318中国平安8.950.170.101901
3600036招商银行7.470.190.082188
4600900长江电力5.610.190.062361
5601166兴业银行4.410.230.051224
6600030中信证券4.380.150.051253
7601899紫金矿业3.930.260.043162
8601398工商银行3.740.540.041737
9600276恒瑞医药3.210.070.032112
10600887伊利股份3.020.100.032301
11688041海光信息3.000.020.032253
12601328交通银行2.870.370.031107
13688981中芯国际2.840.030.032199
14601816京沪高铁2.830.460.03863
15601288农业银行2.670.500.031596
16603259药明康德2.200.040.021690
17601088中国神华2.170.050.022119
18600309万华化学2.140.030.021945
19601668中国建筑1.920.320.021658
20600809山西汾酒1.840.010.021305
21601988中国银行1.820.330.021228
22601728中国电信1.730.240.021379
23600690海尔智家1.710.060.022006
24601601中国太保1.700.050.021662
25601857中国石油1.610.180.021409
26601766中国中车1.590.190.021060
27601985中国核电1.560.150.021252
28601919中远海控1.550.100.021173
29600028中国石化1.540.230.021216
30600406国电南瑞1.510.060.021136
31600031三一重工1.480.090.021417
32600104上汽集团1.450.070.021348
33601012隆基绿能1.410.090.02969
34601225陕西煤业1.400.060.011653
35603288海天味业1.380.030.01829
36601888中国中免1.340.020.01744
37601127赛力斯1.330.010.011018
38600050中国联通1.330.250.011194
39601628中国人寿1.260.030.01983
40600941中国移动1.180.010.012159
41600150中国船舶1.080.030.011224
42603501韦尔股份1.040.010.011325
43601390中国中铁1.020.160.01777
44600048保利发展0.970.110.011504
45601658邮储银行0.970.170.011179
46600438通威股份0.880.040.011287
47603993洛阳钼业0.730.110.011192
48601633长城汽车0.530.020.01706