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华夏MSCI中国A50互联互通ETF发起式联接A(014530)

2025-05-16     0.8467-0.5871%
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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)
1300750宁德时代7.980.030.014949
2601899紫金矿业4.840.320.003162
3002475立讯精密4.080.100.003954
4601138工业富联3.870.180.001199
5600309万华化学3.570.050.001945
6600900长江电力3.550.120.002361
7002594比亚迪2.830.010.002398
8601318中国平安2.630.050.001901
9300760迈瑞医疗2.550.010.001830
10600276恒瑞医药2.300.050.002112
11000725京东方A2.240.510.001467
12601225陕西煤业2.090.090.001653
13601288农业银行2.080.390.001596
14601398工商银行1.940.280.001737
15300059东方财富1.810.070.001268
16601857中国石油1.790.200.001409
17601816京沪高铁1.790.290.00863
18601166兴业银行1.720.090.001224
19000333美的集团1.500.020.003979
20601668中国建筑1.500.250.001658
21000858五粮液1.400.010.002441
22601328交通银行1.400.180.001107
23600000浦发银行1.340.130.00902
24601088中国神华1.300.030.002119
25600406国电南瑞1.260.050.001136
26601766中国中车1.260.150.001060
27601919中远海控1.240.080.001173
28002352顺丰控股1.210.030.001250
29600690海尔智家1.140.040.002006
30000001平安银行1.050.090.001057
31601985中国核电1.040.100.001252
32601601中国太保1.020.030.001662
33600028中国石化0.800.120.001216
34600050中国联通0.800.150.001194
35002714牧原股份0.770.020.001261
36002142宁波银行0.730.030.001281
37600887伊利股份0.600.020.002301
38600048保利发展0.530.060.001504
39001979招商蛇口0.510.050.001085
40002027分众传媒0.490.070.001734
41603288海天味业0.460.010.00829