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持有 三生制药(01530)的基金
  报告期:2023-12-31
序号 基金代码 基金简称 持仓市值(元) 持仓数量(股) 占基金净值比例(%)
1001878嘉实沪港深精选股票18,611,148.89  2,731,000.00    0.95
2007291汇丰晋信港股通双核混合15,963,609.03  2,342,500.00    3.09
3010436富国双债增强债券C10,215,000.00  1,500,000.00    0.18
4010435富国双债增强债券A10,215,000.00  1,500,000.00    0.18
5010110广发医药健康混合A8,116,396.31  1,191,000.00    0.32
6010111广发医药健康混合C8,116,396.31  1,191,000.00    0.32
7005612嘉实核心优势股票6,794,330.08  997,000.00    1.04
8005354富国沪港深行业精选灵活配置混合型发起式6,741,900.00  990,000.00    0.43
9001371富国沪港深价值精选灵活配置混合5,448,000.00  800,000.00    0.32
10005589长信企业精选两年定开混合5,097,451.25  748,000.00    2.72
11009007兴全沪港深两年持有混合3,628,867.37  532,500.00    0.29
12519937长信先锐混合A3,407,387.20  500,000.00    1.00
13008918长信先锐混合C3,407,387.20  500,000.00    1.00
14008891安信价值成长混合A2,044,432.32  300,000.00    0.79
15008892安信价值成长混合C2,044,432.32  300,000.00    0.79
16006781汇丰晋信港股通精选股票1,649,175.40  242,000.00    2.92
17010093西部利得港股通新机遇混合C1,587,842.44  233,000.00    4.00
18008861西部利得港股通新机遇混合A1,587,842.44  233,000.00    4.00
19002333汇丰晋信沪港深股票C1,379,991.82  202,500.00    0.52
20002332汇丰晋信沪港深股票A1,379,991.82  202,500.00    0.52
21009852银华品质消费股票1,277,770.20  187,500.00    0.31
22005543银华心诚灵活配置混合1,124,437.78  165,000.00    0.10
23009880安信成长动力一年持有混合817,772.93  120,000.00    0.62
24007107太平MSCI香港价值增强指数A589,477.99  86,500.00    0.57
25007108太平MSCI香港价值增强指数C589,477.99  86,500.00    0.57
26006193鑫元核心资产股票A483,848.98  71,000.00    0.97
27006194鑫元核心资产股票C483,848.98  71,000.00    0.97
28001943前海开源沪港深汇鑫混合C344,146.11  50,500.00    0.78
29001942前海开源沪港深汇鑫混合A344,146.11  50,500.00    0.78
30006106景顺长城量化港股通股票299,850.07  44,000.00    0.92
31004098前海开源港股通股息率50强股票265,776.20  39,000.00    0.37
32006111泰康弘实3月定开混合258,780.00  38,000.00    0.01
33005269华泰柏瑞港股通量化混合241,924.49  35,500.00    0.50
34004996广发恒生中型股指数(LOF)C180,591.52  26,500.00    0.59
35501303广发恒生中型股指数(LOF)A180,591.52  26,500.00    0.59
36501002长信价值优选混合119,258.55  17,500.00    0.32
37009155海富通富盈混合C64,740.36  9,500.00    0.05
38009154海富通富盈混合A64,740.36  9,500.00    0.05
39005707富国港股通量化精选股票61,332.97  9,000.00    0.18