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

诺德周期策略混合(570008)

2025-04-01     2.51700.3989%
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(%)
1002223中邮尊享一年定开混合发起式8,396.287.30
2002223鱼跃医疗8,396.287.30
3600660福耀玻璃6,865.935.97
4300750宁德时代6,381.695.55
5002050三花智控6,360.655.53
6605117德业股份5,962.345.18
7601966玲珑轮胎5,892.235.12
8002372大成景穗灵活配置混合C5,513.444.79
9002372伟星新材5,513.444.79
10600398海澜之家5,394.144.69
11600233圆通速递4,829.544.20
12002311创金合信中证500增强A4,370.473.80
13002311海大集团4,370.473.80
14603198迎驾贡酒4,325.943.76
15601636旗滨集团4,253.533.70
16688169石头科技4,149.313.61
17002920中欧短债债券A3,593.753.12
18002920德赛西威3,593.753.12
19600415小商品城3,578.283.11
20605108同庆楼3,218.292.80
21300827上能电气3,026.202.63
22300015爱尔眼科2,703.062.35
23603605珀莱雅2,684.302.33
24000786国新国证现金增利B2,636.932.29
25000786北新建材2,636.932.29
26601127赛力斯2,586.092.25
27601799星宇股份2,361.302.05
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(%)
1600660福耀玻璃8,740.147.60
2300760迈瑞医疗8,715.087.58
3002311创金合信中证500增强A7,953.426.91
4002311海大集团7,953.426.91
5300316晶盛机电7,417.636.45
6600519贵州茅台7,257.236.31
7300595欧普康视7,181.186.24
8600233圆通速递7,028.276.11
9002372大成景穗灵活配置混合C5,641.494.90
10002372伟星新材5,641.494.90
11002920中欧短债债券A5,498.424.78
12002920德赛西威5,498.424.78
13601966玲珑轮胎5,187.394.51
14603605珀莱雅4,940.534.29
15300274阳光电源4,794.954.17
16002027中加心享混合A4,609.914.01
17002027分众传媒4,609.914.01
18600398海澜之家4,567.803.97
19300124汇川技术4,337.593.77
20300750宁德时代4,270.093.71
21601636旗滨集团4,002.783.48
22601127赛力斯3,714.083.23
23600872中炬高新3,669.933.19
24002050三花智控3,669.533.19
25603198迎驾贡酒3,489.123.03
26000568泸州老窖2,793.912.43
27000786国新国证现金增利B2,592.662.25
28000786北新建材2,592.662.25
29600298安琪酵母2,466.602.14
30300015爱尔眼科2,439.742.12
31601799星宇股份2,340.012.03