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

汇添富MSCI中国A50互联互通ETF联接A(014528)

2024-04-19     0.7748-0.9207%
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17.260.010.013495
2300750宁德时代8.160.050.013492
3601899紫金矿业7.850.630.012474
4600309万华化学7.680.100.011706
5002475立讯精密6.200.180.003238
6601138工业富联4.990.330.001354
7600900长江电力4.670.200.001686
8600036招商银行4.450.160.001291
9601012隆基绿能4.350.190.001008
10002594比亚迪3.960.020.001072
11000725京东方A3.670.940.001058
12601318中国平安3.220.080.001380
13600276恒瑞医药3.170.070.002461
14300760迈瑞医疗2.910.010.001888
15601816京沪高铁2.850.580.00642
16000858五粮液2.810.020.002110
17601166兴业银行2.590.160.00728
18601888中国中免2.510.030.00983
19002352顺丰控股2.420.060.001048
20600436片仔癀2.420.010.00616
21601668中国建筑2.400.500.001233
22601288农业银行2.370.650.001045
23601398工商银行2.290.480.001117
24600406国电南瑞2.230.100.00785
25600030中信证券1.830.090.001666
26300274阳光电源1.750.020.001723
27300059东方财富1.680.120.001225
28300015爱尔眼科1.580.100.001101
29600050中国联通1.530.350.00890
30600000浦发银行1.460.220.00413
31603259药明康德1.460.020.002038
32000001平安银行1.410.150.00585
33601088中国神华1.250.040.001565
34601225陕西煤业1.250.060.001515
35002714牧原股份1.240.030.001270
36601601中国太保1.190.050.001230
37600028中国石化1.120.200.001102
38600048保利发展1.090.110.001503
39002027分众传媒1.010.160.001361
40002142宁波银行1.010.050.001166
41600905三峡能源1.010.230.00509
42601857中国石油0.990.140.001280
43000002万科A0.940.090.00816
44600887伊利股份0.800.030.001700
45603288海天味业0.760.020.00478