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

华安医疗创新混合A(008359)

2024-11-22     0.8707-3.7262%
持仓重大变化
截止日期:  
 查询其他基金该项数据
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(%)
1601607上海医药3,836.455.58
209926康方生物3,131.704.55
301801信达生物3,052.174.44
402269药明生物2,995.744.36
5600276恒瑞医药2,955.784.30
601548金斯瑞生物科技2,850.234.14
7600511国药股份2,409.153.50
8603259药明康德2,335.863.40
902162康诺亚-B2,296.953.34
10600557康缘药业2,269.063.30
11600129太极集团2,118.023.08
1209995荣昌生物2,094.413.05
13301257普蕊斯2,094.313.04
14002422新华增强债券C2,015.342.93
15002422科伦药业2,015.342.93
1600013和黄医药1,971.882.87
17600529山东药玻1,922.362.79
18603882金域医学1,843.412.68
1906990科伦博泰生物-B1,821.162.65
20600763通策医疗1,812.372.64
21688235百济神州1,791.212.60
22002653泰康沪港深精选混合1,765.742.57
23002653海思科1,765.742.57
24688136科兴制药1,762.012.56
25603939益丰药房1,745.952.54
2602268药明合联1,678.552.44
27603707健友股份1,669.692.43
28688062迈威生物1,632.912.37
2901789爱康医疗1,573.422.29
30600976健民集团1,528.822.22
31300760迈瑞医疗1,517.592.21
32688192迪哲医药1,517.182.21
33600161天坛生物1,490.552.17
34300181佐力药业1,411.772.05
35300573兴齐眼药1,411.612.05
36688443智翔金泰1,393.432.03
37603087甘李药业1,377.082.00
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(%)
101548金斯瑞生物科技4,036.665.87
2603259药明康德3,994.675.81
3600276恒瑞医药3,694.315.37
4603939益丰药房2,905.054.22
5600129太极集团2,741.523.99
6600557康缘药业2,730.753.97
7600161天坛生物2,630.593.82
8600511国药股份2,535.743.69
9603882金域医学2,414.103.51
10301257普蕊斯2,279.203.31
1102269药明生物2,276.863.31
12688687凯因科技2,176.713.16
13688235百济神州2,136.753.11
1409926康方生物2,075.853.02
15688301奕瑞科技1,808.212.63
16600079人福医药1,779.152.59
17603233大参林1,760.362.56
18002422新华增强债券C1,655.232.41
19002422科伦药业1,655.232.41
2002162康诺亚-B1,635.942.38
21603883老百姓1,630.412.37
22600763通策医疗1,620.322.36
23300181佐力药业1,613.602.35
24600976健民集团1,583.322.30
2501801信达生物1,573.362.29
26688050爱博医疗1,483.782.16
27688177百奥泰1,470.252.14
28300122智飞生物1,408.352.05
2900013和黄医药1,405.372.04
30688278特宝生物1,395.152.03
31688506百利天恒1,388.642.02
32000513富国高端制造行业股票A/B1,379.802.01
33000513丽珠集团1,379.802.01