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$Date: 2007-1-6 9:34:54 Saturday $
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华宝中证A100ETF联接C(007405) - 持仓重大变化 - 搜狐基金
华宝中证A100ETF联接C(007405)
2025-04-10
1.2532
1.2769%
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(%) |
1 | 600519 | | 40,258.85 | 89.46 |
2 | 601318 | | 23,893.57 | 53.10 |
3 | 600036 | | 19,407.07 | 43.13 |
4 | 600900 | | 15,502.31 | 34.45 |
5 | 601899 | | 12,107.70 | 26.91 |
6 | 600030 | | 9,853.63 | 21.90 |
7 | 601398 | | 9,486.89 | 21.08 |
8 | 600276 | | 8,694.68 | 19.32 |
9 | 600309 | | 6,183.02 | 13.74 |
10 | 601816 | | 6,173.70 | 13.72 |
11 | 600436 | | 5,660.43 | 12.58 |
12 | 601088 | | 5,462.15 | 12.14 |
13 | 601668 | | 5,368.15 | 11.93 |
14 | 688981 | | 5,203.65 | 11.56 |
15 | 603259 | | 4,845.93 | 10.77 |
16 | 600406 | | 4,729.08 | 10.51 |
17 | 601985 | | 4,543.11 | 10.10 |
18 | 600690 | | 4,512.51 | 10.03 |
19 | 600031 | | 4,492.73 | 9.98 |
20 | 601857 | | 4,439.22 | 9.86 |
21 | 600941 | | 4,406.84 | 9.79 |
22 | 601728 | | 4,393.58 | 9.76 |
23 | 601012 | | 4,341.73 | 9.65 |
24 | 600028 | | 4,323.26 | 9.61 |
25 | 600050 | | 4,190.44 | 9.31 |
26 | 601766 | | 4,161.02 | 9.25 |
27 | 688036 | | 4,042.55 | 8.98 |
28 | 601919 | | 3,976.38 | 8.84 |
29 | 601888 | | 3,357.42 | 7.46 |
30 | 688008 | | 3,234.46 | 7.19 |
31 | 600048 | | 3,037.28 | 6.75 |
32 | 600905 | | 2,962.96 | 6.58 |
33 | 601390 | | 2,861.75 | 6.36 |
34 | 600089 | | 2,856.42 | 6.35 |
35 | 603501 | | 2,702.77 | 6.01 |
36 | 601600 | | 2,648.26 | 5.88 |
37 | 600585 | | 2,544.48 | 5.65 |
38 | 601006 | | 2,485.39 | 5.52 |
39 | 603993 | | 2,470.70 | 5.49 |
40 | 600438 | | 2,382.69 | 5.29 |
41 | 600547 | | 2,236.92 | 4.97 |
42 | 603986 | | 2,184.00 | 4.85 |
43 | 600760 | | 2,182.89 | 4.85 |
44 | 600893 | | 2,104.13 | 4.68 |
45 | 600111 | | 1,997.28 | 4.44 |
46 | 600009 | | 1,706.56 | 3.79 |
47 | 600989 | | 1,695.64 | 3.77 |
48 | 600570 | | 1,679.92 | 3.73 |
49 | 600010 | | 1,575.89 | 3.50 |
50 | 603799 | | 1,447.80 | 3.22 |
51 | 600426 | | 1,399.89 | 3.11 |
52 | 600346 | | 1,384.70 | 3.08 |
53 | 600176 | | 1,122.64 | 2.49 |
54 | 688599 | | 1,114.82 | 2.48 |
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(%) |