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

嘉合锦鑫混合A(015010)

2025-04-17     0.75911.1998%
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)
1002594比亚迪1,164.564.129.952398
2688111金山办公979.943.428.371781
303690美团-W908.916.477.761207
4300750宁德时代813.963.066.954949
500981中芯国际806.8827.406.89896
6002850科达利726.747.446.21912
700700腾讯控股722.121.876.172375
8601985中国核电554.4653.164.741252
9688041海光信息545.953.644.662253
10002371北方华创453.561.163.872530
11002351漫步者381.1523.103.26498
12000651格力电器373.608.223.192826
1300941中国移动347.584.902.97821
14300274阳光电源258.703.502.212175
1500285比亚迪电子221.965.701.90741
16600941中国移动212.691.801.822159
17300496中科创达200.123.361.71591
18002273水晶光电159.107.161.361395
19002475立讯精密148.373.641.273954
2009626哔哩哔哩-W130.710.991.12292
21600415小商品城118.148.811.01792
2209868小鹏汽车-W96.772.240.83455
23601939建设银行89.3110.160.761320
24000733振华科技80.541.910.69470
25002049紫光国微47.630.740.41598
2600883中国海洋石油40.722.300.35966
27688032禾迈股份38.460.340.33303
28300763锦浪科技32.370.530.28555
29002126银轮股份28.451.520.24560
30002335科华数据21.400.740.18393
31301626苏州天脉4.330.070.042916
32688143长盈通2.100.100.02153
33301622英思特0.780.020.013166
34301613新铝时代0.650.020.012878
35301631壹连科技0.590.010.013014
36300680隆盛科技0.140.010.00197
37688005容百科技0.030.000.00560
38688778厦钨新能0.010.000.00401