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东方红睿玺三年定开混合A(501049)

2024-04-30     0.80650.0496%
十大重仓股
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报表日期2024-03-31
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%) 其它基金持有(家)
1600426华鲁恒升94,594.393,615.9910.59318
200700腾讯控股50,711.22184.135.68941
3002415海康威视49,085.491,526.295.49603
4000333美的集团48,568.30756.285.441412
5000858五粮液44,195.70287.904.951335
6300033同花顺36,766.67280.754.12105
7000568泸州老窖32,720.42177.263.66989
8300122智飞生物32,163.20715.693.60275
902020安踏体育31,470.31417.243.5265
10002475立讯精密30,930.791,051.713.461158
报表日期2023-12-31
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%) 其它基金持有(家)
1600426华鲁恒升84,936.473,078.528.231353
2300033同花顺70,958.51452.346.881298
3002415海康威视62,874.611,810.906.092070
4300122智飞生物56,910.03931.275.521909
500700腾讯控股48,990.77184.134.751413
6002555三七互娱42,572.672,263.304.131335
7002568百润股份41,623.631,691.334.03481
8002841视源股份34,394.24751.623.33570
9002352顺丰控股30,303.40750.082.941048
1002020安踏体育28,895.92420.942.80237
报表日期2023-09-30
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%) 其它基金持有(家)
1600426华鲁恒升123,842.883,858.039.46401
200700腾讯控股119,516.93425.369.131132
3300033同花顺94,232.98630.497.20154
4002415海康威视73,302.562,168.715.60662
5300122智飞生物67,379.821,384.425.15346
6002568百润股份59,075.262,049.094.5174
7002555三七互娱58,642.302,702.414.48290
8600346恒力石化43,423.893,015.553.3240
902020安踏体育42,736.94528.343.2756
10002352顺丰控股42,323.231,037.333.23207