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

中银稳健景盈一年持有混合(016555)

2024-07-16     1.03270.2816%
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)
1600941中国移动9.680.090.312058
2300395菲利华8.610.280.27619
3603606东方电缆8.300.170.261171
4600085同仁堂7.640.200.24550
5300401花园生物7.600.530.24129
6002916深南电路7.400.070.23893
7002487大金重工6.640.290.21533
8600048保利发展6.570.750.211573
9600276恒瑞医药6.540.170.212067
10002281光迅科技6.350.170.20495
11600879航天电子6.290.810.20351
12688239航宇科技6.280.180.20372
13600845宝信软件6.130.190.191038
14002714牧原股份6.100.140.191420
15600760中航沈飞6.020.150.191101
16600938中国海油5.940.180.191942
17600649城投控股5.911.780.19119
18601857中国石油5.880.570.191582
19300760迈瑞医疗5.820.020.182071
20688122西部超导5.820.150.18664
21603019中科曙光5.810.140.18601
22600131国网信通5.740.340.18460
23603678火炬电子5.680.230.18264
24603235天新药业5.530.230.17108
25601728中国电信5.470.890.171234
26601398工商银行5.420.950.171528
27300498温氏股份5.350.270.171433
28300347泰格医药5.350.110.17925
29688543国科军工5.340.130.17208
30688143长盈通5.320.250.17188
31002048宁波华翔5.310.410.17361
32600029南方航空5.300.900.17488
33600764中国海防5.100.260.16277
34600522中天科技4.910.310.161382
35002027分众传媒4.910.810.161533
36603599广信股份4.850.400.15293
37000963华东医药4.730.170.15667
38000975山金国际4.720.290.151587
39603128华贸物流4.670.810.15189
40600587新华医疗4.580.290.14280
41002531天顺风能4.560.510.14447
42600079人福医药4.460.260.14675
43600754锦江酒店4.140.180.13450
44600050中国联通2.910.620.09982
45603218日月股份2.880.280.09263
46002311海大集团2.820.060.091123
47600905三峡能源2.750.630.09500
48002393力生制药2.690.170.0971
49600967内蒙一机2.590.360.08366
50601965中国汽研2.360.140.07375
51600887伊利股份2.330.090.071829
52300772运达股份2.300.240.07226
53600433冠豪高新2.280.860.0767