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华安品质甄选混合A(013680)

2024-04-19     0.78160.0256%
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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)
1605589圣泉集团4,647.65207.673.41497
2002965祥鑫科技3,885.5094.382.85129
3688208道通科技3,323.10139.922.44477
4600021上海电力2,763.88326.702.03209
500902华能国际电力股份2,675.75713.201.96178
6688737中自科技2,413.0772.901.77112
7601991大唐发电2,356.06973.581.73248
8688981中芯国际2,171.1140.951.591330
9603722阿科力2,152.7739.941.58147
10600276恒瑞医药2,119.9346.871.552461
11300496中科创达2,108.7826.341.55968
12300926博俊科技2,101.7371.661.54188
13688157松井股份2,054.2838.081.51161
14600580卧龙电驱1,947.53166.031.43294
15300073当升科技1,877.5349.151.38517
16300750宁德时代1,873.5711.481.373492
17601028玉龙股份1,720.13160.611.26169
18688375国博电子1,638.7120.601.20282
19600048保利发展1,632.71164.921.201503
20000035中国天楹1,617.16327.361.19184
2100826天工国际1,590.20835.601.1744
22603568伟明环保1,552.6997.041.14333
23002859洁美科技1,541.6661.791.13519
24002380科远智慧1,517.2089.091.1187
25600585海螺水泥1,508.5966.871.111060
26300745欣锐科技1,407.5551.811.0374
27300985致远新能1,404.7037.251.0375
28603833欧派家居1,392.9020.011.02783
29000917电广传媒1,342.27244.940.9859
30600258首旅酒店1,327.5484.990.97600