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国泰中证港股通科技ETF(513020)

2024-04-18     0.60420.3155%
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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)
101810小米集团-W3,293.70232.9810.18257
203690美团-W3,069.7641.369.49994
300700腾讯控股3,001.9511.289.281413
401211比亚迪股份2,828.0614.568.7497
502015理想汽车-W2,216.9516.636.85412
601024快手-W1,937.8140.385.99643
706160百济神州1,653.3116.575.11209
802269药明生物1,504.3556.084.65591
900981中芯国际1,141.3963.423.53532
1000992联想集团949.5695.952.93205
1109868小鹏汽车-W828.5416.122.56483
1201801信达生物827.9021.372.56566
1302382舜宇光学科技654.6710.202.02230
1400175吉利汽车623.9480.151.93148
1506618京东健康599.6316.921.8595
1600285比亚迪电子396.0611.941.22146
1702359药明康德384.895.351.19118
1809863零跑汽车384.1711.871.19135
1900268金蝶国际380.8736.931.18327
2009926康方生物369.658.791.14316
2100020商汤-W325.88310.011.0147
2209626哔哩哔哩-W323.753.821.00138
2303888金山软件317.6614.550.98155
2401548金斯瑞生物科技300.4016.690.93437
2500522ASMPT295.514.380.9130
2600968信义光能293.4171.000.9167
2702333长城汽车282.6330.760.87290
2800241阿里健康275.6571.740.8580
2909688再鼎医药253.6913.020.7880
3001066威高股份248.3536.010.7754
3101530三生制药176.4025.890.55122
3201347华虹半导体172.5010.080.53102
3301797东方甄选167.536.650.52132
3400763中兴通讯158.4710.030.49117
3501302先健科技130.8261.430.4011
3601357美图公司115.3935.370.36147
3706606诺辉健康100.704.800.3146
3800303VTECH HOLDINGS100.272.350.3113
3902357中航科工100.2533.020.3136
4002252微创机器人-B94.655.010.2930
4100853微创医疗93.6112.270.2952
4201675亚信科技75.539.680.2313
4309969诺诚健华72.3111.580.2264
4401415高伟电子66.843.200.21190
4500819天能动力60.9110.200.1928
4603896金山云55.0130.200.1716
4709966康宁杰瑞制药-B38.126.340.1261
4806699时代天使32.800.640.10116
4902121创新奇智31.193.710.1015
5006088FIT HON TENG30.9628.950.1011
5102500启明医疗-B23.104.540.0715
5206865福莱特玻璃1.010.080.0094
5302018瑞声科技0.750.040.0083
5400136中国儒意0.310.200.0013
5509996沛嘉医疗-B0.260.040.0087
5602013微盟集团0.210.080.0046
5700909明源云0.110.040.0057
5802400心动公司0.080.010.0037
5909959联易融科技-W0.020.010.002