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

东方红共赢甄选一年持有混合C(016835)

2025-04-02     1.04270.0288%
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)
100700腾讯控股517.451.341.882375
2002475立讯精密497.2712.201.803954
3688111金山办公292.461.021.061781
4300750宁德时代271.321.020.984949
5600276恒瑞医药259.795.660.942112
6002415海康威视236.707.710.861760
7002028思源电气217.372.990.791097
8600030中信证券200.986.890.731253
9600941中国移动180.781.530.662159
10600690海尔智家146.055.130.532006
1100291华润啤酒143.806.150.52182
12300274阳光电源139.691.890.512175
13600887伊利股份136.114.510.492301
14601318中国平安132.682.520.481901
1502020安踏体育131.211.820.48381
1602015理想汽车-W123.541.420.45468
1700992联想集团112.0112.000.41260
18000568泸州老窖111.430.890.401433
1903800协鑫科技106.61106.600.39523
20600309万华化学103.461.450.371945
2109988阿里巴巴-W97.671.280.351117
22601155新城控股95.447.980.35423
23002078太阳纸业95.026.390.341040
2402333长城汽车94.877.500.34324
25600426华鲁恒升94.874.390.341078
26605333沪光股份87.452.680.32597
27601390中国中铁86.0713.470.31777
2803690美团-W81.480.580.301207
2906862海底捞73.625.000.27293
30603606东方电缆70.941.350.261265
3102319蒙牛乳业61.793.800.22260
32688120华海清科61.200.380.22947
3303618重庆农村商业银行52.9612.300.19221
34301153中科江南50.571.810.18243
3502367巨子生物44.360.960.16239
3602057中通快递-W42.730.310.15389
37603939益丰药房34.991.450.13638
3806618京东健康28.621.100.10196
3906160百济神州28.310.280.10220