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华安制造升级一年持有混合C(014008)

2024-04-18     0.52660.8426%
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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)
1300775三角防务5,985.12214.527.10371
2300750宁德时代5,235.1332.076.213492
3300777中简科技4,241.83142.205.03216
4002756永兴材料4,045.0777.484.80599
5300696爱乐达4,005.37230.064.75162
6688122西部超导3,644.4568.474.32799
7688166博瑞医药3,616.77103.344.29246
8300900广联航空3,414.92138.374.05177
9300049福瑞股份3,391.3377.804.02319
10603267鸿远电子3,339.3266.523.96434
11002317众生药业3,333.73207.713.95236
12688076诺泰生物2,796.5762.223.32339
13300583赛托生物2,691.74136.083.19110
14002409雅克科技2,666.6847.853.16654
1502269药明生物2,542.9394.803.02591
16002460赣锋锂业2,542.3259.403.02636
17603259药明康德2,269.6831.192.692038
18300347泰格医药2,015.2036.662.39753
19688170德龙激光1,976.9150.632.34138
20688117圣诺生物1,776.9663.012.1194
21300759康龙化成1,712.7259.102.03724
22003038鑫铂股份1,704.5249.622.02168
23300726宏达电子1,624.8353.821.93239
24601012隆基绿能1,238.6654.091.471008
25002465海格通信1,022.3579.561.21856
26600435北方导航870.0574.111.03458
27300568星源材质869.6956.401.03486
28300457赢合科技869.4947.151.03189
29300014亿纬锂能869.3220.601.031022
30000733振华科技732.5612.450.87