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

景顺长城致远混合A(017860)

2024-09-06     0.5630-1.3838%
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)
1603737三棵树5,393.99148.728.53334
2002044美年健康5,251.181,389.208.31295
3300737科顺股份4,863.891,131.147.69139
4000100TCL科技4,448.331,029.717.041346
5002541鸿路钢构4,399.13259.236.96311
6002271东方雨虹4,223.12342.236.68632
700123越秀地产4,126.36886.506.53157
801908建发国际集团3,954.43298.406.2666
9002410广联达3,434.68358.535.43603
10600079人福医药2,941.05171.294.65675
11000039中集集团2,861.92309.064.53631
12002244滨江集团2,014.36277.463.19481
13300633开立医疗1,646.5341.602.60557
14002597金禾实业1,400.8570.432.22308
15688019安集科技1,327.6410.552.10613
16600150中国船舶1,118.9527.491.771967
17001979招商蛇口850.8796.801.351177
18603801志邦家居782.0559.791.24262
19600325华发股份715.20110.031.13470
20000560我爱我家677.99305.401.0780
21003020立方制药481.0626.320.76121
22603707健友股份413.6634.820.65396
23600707彩虹股份341.2550.110.54526
24300294博雅生物151.144.580.24318
25605266健之佳116.154.480.18207
26300347泰格医药23.810.490.04925
27688548广钢气体3.700.400.01319
28688692达梦数据3.060.020.003844
29603285键邦股份2.400.130.003627
30603350安乃达2.160.110.003223
31688709成都华微1.960.100.003607
32301536星宸科技1.550.050.003214
33301538骏鼎达1.360.010.003290
34301565中仑新材1.350.070.003307
35301580爱迪特1.330.020.002984
36603341龙旗科技1.120.030.003319
37301510固高科技1.100.040.00174
38688691灿芯股份1.050.020.003750
39301566达利凯普0.980.060.003279
40301392汇成真空0.910.020.003218
41688433华曙高科0.870.040.00247
42301587中瑞股份0.770.030.003437
43001389广合科技0.770.020.003433
44688695中创股份0.590.020.003783
45603193润本股份0.560.030.00639
46688530欧莱新材0.550.030.003246
47301588美新科技0.550.030.003326
48301502华阳智能0.520.010.003416
49688671碧兴物联0.470.020.00142
50603325博隆技术0.450.010.003556
51603381永臻股份0.450.020.003796
52603344星德胜0.410.020.003338
53001359平安电工0.380.020.003425
54603312西典新能0.330.010.003987
55603082北自科技0.320.010.003898
56001379腾达科技0.290.020.003183
57603375盛景微0.280.010.003609
58001387雪祺电气0.260.020.003371