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

长城产业成长混合C(015128)

2024-04-19     0.84310.7047%
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1,052.860.614.943495
2603596伯特利929.3113.414.361104
3300627华测导航784.0125.273.68475
4300760迈瑞医疗700.352.413.281888
5600809山西汾酒678.582.943.181624
6600129太极集团676.9214.573.171004
7000338潍柴动力670.6249.133.141281
8000568泸州老窖662.063.693.102305
9600150中国船舶638.8521.702.991459
10002867周大生587.6238.712.75520
11601965中国汽研517.3123.452.43407
12601666平煤股份487.1442.142.28616
1303998波司登461.22145.002.16252
14600079人福医药456.1818.352.141103
15601689拓普集团440.275.992.061383
16300122智飞生物428.997.022.011909
1700696中国民航信息网络419.6334.301.9768
18603179新泉股份371.207.321.74712
19002126银轮股份370.7919.861.74788
20601225陕西煤业356.5917.071.671515
21603129春风动力332.283.251.56439
22002262恩华药业330.0512.171.55762
23300972万辰集团325.478.671.53195
24300719安达维尔320.8524.071.50165
25000951中国重汽320.5123.991.50430
26600566济川药业319.6410.171.50773
27605319无锡振华319.2913.871.50204
28002345潮宏基296.8543.591.39241
29300492华图山鼎296.353.501.3984
30601799星宇股份270.092.061.27889
31