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广发成长动力三年持有期混合A(014725)

2024-04-19     0.4984-2.9028%
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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)
1688390固德威21,161.26162.0610.35567
2688599天合光能20,382.52714.429.97760
3300763锦浪科技19,415.24277.769.50564
4688223晶科能源19,004.592,144.999.30735
5300274阳光电源19,001.22216.939.301723
6601865福莱特18,546.61703.219.07598
7002459晶澳科技17,704.29854.458.66841
8002056横店东磁14,954.661,104.487.32444
9605117德业股份12,608.06150.276.17517
10603477巨星农牧9,751.60260.254.77739
11002092中泰化学4,777.03783.122.34360
12300498温氏股份4,707.07234.652.301509
13002840华统股份2,256.96108.561.10580
14002714牧原股份1,886.0745.800.921270
15688680海优新材89.551.360.04184
16600750江中药业89.544.290.04354
17688563航材股份9.080.150.003896
18688548广钢气体5.160.400.003794
19301526国际复材4.330.970.003200
20688549中巨芯3.470.430.003648
21301291明阳电气3.420.120.002019
22688702盛科通信2.650.050.003925
23688582芯动联科2.510.060.003618
24301559中集环科2.400.130.003437
25301525儒竞科技2.170.030.003646
26301498乖宝宠物2.150.060.003095
27301371敷尔佳2.120.060.003581
28301558三态股份1.950.150.003078
29688627精智达1.950.020.003644
30688591泰凌微1.910.070.003033
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