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华宝制造股票(000866)

2024-11-20     1.97501.4902%
持仓重大变化
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序号 股票代码 股票简称 累计买入金额(万元) 占期初净值比例(%)
1603806福斯特1,338.866.04
2000090民生加银高等级信用债债券A930.864.20
3000090天健集团930.864.20
4603788宁波高发914.364.12
5603966法兰泰克806.403.64
6600895张江高科747.663.37
7002415融通通盈灵活配置混合659.012.97
8002415海康威视659.012.97
9603212赛伍技术650.192.93
10688390固德威637.192.87
11600215派斯林630.932.84
12603520司太立598.632.70
13600266城建发展591.352.67
14300031宝通科技575.582.60
15601156东航物流537.102.42
16603062麦加芯彩536.322.42
17300415伊之密531.772.40
18601006大秦铁路507.912.29
19002236大成中证360互联网+指数A502.982.27
20002236大华股份502.982.27
21000725大成添利宝货币B502.462.27
22000725京东方A502.462.27
23000100TCL科技502.282.26
24300445康斯特501.432.26
25300181佐力药业488.792.20
26603096新经典481.442.17
27002432天弘乐享保本混合477.892.15
28002432九安医疗477.892.15
29601126四方股份476.092.15
30600021上海电力476.022.15
31688408中信博475.342.14
32600894广日股份456.352.06
33605088冠盛股份452.482.04
34601717郑煤机450.562.03
35001201申万菱信安鑫回报灵活配置混合A446.812.01
36001201东瑞股份446.812.01
序号 股票代码 股票简称 累计卖出金额(万元) 占期初净值比例(%)
1300818耐普矿机1,331.936.01
2688390固德威1,189.275.36
3603788宁波高发963.094.34
4000090民生加银高等级信用债债券A895.634.04
5000090天健集团895.634.04
6300677英科医疗799.393.60
7300763锦浪科技748.293.37
8002026广发聚盛混合C745.813.36
9002026山东威达745.813.36
10300596利安隆735.513.32
11688257新锐股份725.423.27
12300017网宿科技717.463.23
13002214中海沪港深价值优选混合A707.363.19
14002214大立科技707.363.19
15600895张江高科704.083.17
16601156东航物流697.893.15
17300415伊之密664.273.00
18603269海鸥股份635.772.87
19600215派斯林635.242.86
20002582招商丰凯混合C623.222.81
21002582好想你623.222.81
22603520司太立605.742.73
23603727博迈科591.482.67
24300181佐力药业590.392.66
25605117德业股份590.162.66
26600266城建发展574.082.59
27600894广日股份567.132.56
28688170德龙激光561.802.53
29601126四方股份537.672.42
30688033天宜上佳520.532.35
31603096新经典512.322.31
32603062麦加芯彩508.952.29
33603212赛伍技术501.972.26
34688408中信博498.042.25
35300031宝通科技494.232.23
36688355明志科技493.242.22
37605088冠盛股份489.632.21
38002635融通增鑫债券A486.012.19
39002635安洁科技486.012.19
40605376博迁新材481.922.17
41000725大成添利宝货币B473.432.13
42000725京东方A473.432.13
43000100TCL科技472.792.13
44300445康斯特455.132.05
45688557兰剑智能453.712.05
46001201申万菱信安鑫回报灵活配置混合A451.862.04
47001201东瑞股份451.862.04