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

东方红新海混合A(910010)

2025-04-11     1.4115-0.0920%
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641.021.668.022375
203690美团-W397.562.834.971207
3000858五粮液393.512.814.922441
401810小米集团-W334.8210.484.191062
5300750宁德时代329.841.244.134949
609988阿里巴巴-W318.194.173.981117
7600519贵州茅台289.560.193.622862
8002027分众传媒230.7232.822.891734
909633农夫山泉220.707.022.76251
10000651格力电器129.532.851.622826
11688036传音控股120.811.271.511357
1202331李宁116.617.651.46350
1302057中通快递-W115.590.831.45389
14002241歌尔股份112.794.371.412076
15002475立讯精密110.052.701.383954
16000333美的集团107.561.431.353979
17688099晶晨股份90.881.321.14852
1802015理想汽车-W87.871.011.10468
19002415海康威视80.132.611.001760
20601012隆基绿能61.583.920.77969
21002558巨人网络60.404.760.76681
22002174游族网络57.506.150.72145
23300853申昊科技47.901.910.6015
2400883中国海洋石油42.492.400.53966
25600600青岛啤酒42.080.520.531015
26600900长江电力41.071.390.512361
27601009南京银行41.003.850.51955
28601888中国中免40.210.600.50744
29000568泸州老窖40.060.320.501433
30601899紫金矿业39.922.640.503162
31600150中国船舶39.921.110.501224
3200981中芯国际39.751.350.50896
33688300联瑞新材39.300.610.49406
34688548广钢气体37.493.720.47298
35605376博迁新材33.581.160.42350
36688017绿的谐波23.850.220.30458
3701896猫眼娱乐23.823.220.30228
3803800协鑫科技23.6023.600.30523
39300629新劲刚22.681.050.28140
40688041海光信息19.110.130.242253
41000997新大陆16.360.820.20663
42603019中科曙光15.910.220.20748
43603296华勤技术15.610.220.201040
44000977浪潮信息15.560.300.191315
45688012中微公司15.550.080.191477
46688018乐鑫科技15.330.070.191032
47688608恒玄科技15.000.050.191238