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

嘉实中证国新央企现代能源ETF联接C(019593)

2024-09-06     1.0635-0.6632%
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)
1600900长江电力11.860.410.142196
2601985中国核电8.850.830.101495
3600406国电南瑞8.740.350.101233
4600905三峡能源5.451.250.06500
5601600中国铝业5.340.700.061342
6600886国投电力4.740.260.051180
7600795国电电力4.670.780.051000
8601669中国电建4.250.760.05563
9600011华能国际3.750.390.04985
10600938中国海油3.630.110.041942
11601088中国神华3.550.080.042097
12601857中国石油3.510.340.041582
13600028中国石化3.480.550.041268
14003816中国广核3.190.690.04997
15000807云铝股份2.430.180.03745
16601868中国能建2.421.140.03299
17002128电投能源2.110.100.021003
18600027华电国际2.080.300.021049
19000400许继电气2.060.060.021120
20601898中煤能源2.000.160.02708
21600875东方电气1.850.100.02757
22600025华能水电1.720.160.02658
23000831中国稀土1.520.060.02189
24000878云南铜业1.500.120.02292
25601179中国西电1.450.180.02545
26300073当升科技1.370.040.02335
27600021上海电力1.190.120.01342
28000591太阳能1.130.240.01185
29600583海油工程1.120.190.01487
30600582天地科技1.030.150.01765
31000883湖北能源1.020.170.01570
32601016节能风电1.020.340.01223
33601991大唐发电0.990.330.01453
34601611中国核建0.890.110.01300
35601808中海油服0.860.050.01380
36600131国网信通0.840.050.01460
37002080中材科技0.770.060.01351
38600995南网储能0.770.080.01161
39600236桂冠电力0.770.100.01344
40600968海油发展0.740.180.01523
41600517国网英大0.650.150.01264
42600871石化油服0.630.360.01140
43688248南网科技0.590.020.01232
44600688上海石化0.500.190.01122
45600339中油工程0.470.150.01173
46000966长源电力0.440.100.0168
47003035南网能源0.440.100.01184
48000852石化机械0.210.040.0089
49601226华电重工0.200.040.0074
50001289龙源电力0.170.010.00256