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国联金融鑫选3个月持有混合C(013660)

2025-03-31     0.9337-0.2777%
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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)
1600036招商银行1,189.2230.269.042188
2601318中国平安1,022.4619.427.771901
3601288农业银行792.08148.336.021596
4600919江苏银行766.7578.085.831537
5300059东方财富638.2724.724.851268
6600030中信证券614.8921.084.681253
7601077渝农商行563.6293.164.291038
8601328交通银行438.7756.473.341107
9000776广发证券437.9927.023.33839
10000001平安银行401.1934.293.051057
11000783长江证券356.8252.322.71524
12002926华西证券351.1042.252.67287
13000686东北证券328.8741.422.50216
14601688华泰证券318.7318.122.421230
15601788光大证券300.9916.622.29284
16601988中国银行282.5551.282.151228
17601838成都银行282.4916.512.151062
18601963重庆银行219.8423.691.67377
19601336新华保险212.724.281.621118
20601128常熟银行209.0127.611.59652
2100939建设银行196.8232.801.50372
2200005汇丰控股193.732.761.47135
23601009南京银行190.1017.851.45955
24601555东吴证券158.8120.361.21543
25601577长沙银行154.6917.401.18673
26601211国泰君安153.308.221.17924
27600999招商证券140.257.321.07536
28601169北京银行139.6122.701.061017
29601825沪农商行132.4215.561.01734
3002318中国平安127.933.000.97148
3103968招商银行125.943.400.96125
32601059信达证券121.498.110.92263
33002966苏州银行73.079.010.56720
34601665齐鲁银行70.5512.620.54592
3501963重庆银行63.3411.250.4834
36688615合合信息2.190.010.023037
37603072天和磁材1.300.110.013763
38688721龙图光罩1.170.020.013394
39603395红四方0.550.020.003065
40603207小方制药0.380.010.002861
41603091众鑫股份0.290.010.002372
42603350安乃达0.260.010.003282
43603391力聚热能0.210.010.002741
44603285键邦股份0.150.010.003703
45603310巍华新材0.130.010.003573
46603381永臻股份0.130.010.00972