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广发ESG责任投资混合A(017199)

2024-04-16     0.8461-0.4471%
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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)
1600941中国移动2,916.7529.327.161744
2600519贵州茅台2,105.721.225.173495
3003816中国广核2,038.08655.335.00644
4601985中国核电2,027.70270.364.981229
5600900长江电力1,991.1485.314.891686
6600276恒瑞医药1,688.4037.334.152461
7601688华泰证券1,229.2788.123.021375
8300408三环集团1,185.9540.272.911267
9601799星宇股份1,115.758.512.74889
10688617惠泰医疗1,055.832.722.59554
11002262恩华药业1,035.7138.192.54762
12600011华能国际924.00120.002.27894
13002027分众传媒887.08140.362.181361
14000538云南白药863.7617.572.12597
15600985淮北矿业837.9950.392.06732
16600030中信证券811.3439.831.991666
17603368柳药集团794.2641.981.95422
18300294博雅生物443.2313.161.09323
19000895双汇发展434.5716.271.07805
20600426华鲁恒升415.7815.071.021353
21002252上海莱士404.0850.510.99668
22600976健民集团388.245.950.95315
23688347华虹公司66.021.570.161170
24301526国际复材3.090.700.013200
25688548广钢气体2.730.210.013794
26688563航材股份2.410.040.013896
27688549中巨芯2.350.290.013648
28688582芯动联科2.200.060.013618
29301558三态股份1.950.150.003078
30688627精智达1.950.020.003644
31688591