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持有 华兴源创(688001)的基金
  报告期:2023-06-30
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(%)
1002863金信深圳成长混合10,626,000.00  300,000.00    5.40
2007128天弘增强回报债券A9,153,555.18  258,429.00    0.10
3007129天弘增强回报债券C9,153,555.18  258,429.00    0.10
4009735天弘增强回报债券E9,153,555.18  258,429.00    0.10
5005313万家中证1000指数A7,703,850.00  217,500.00    0.10
6005314万家中证1000指数C7,703,850.00  217,500.00    0.10
7501081中欧科创主题3年封闭运作灵活配置混合7,642,963.02  215,781.00    1.26
8009008平安科技创新混合A5,324,051.04  150,312.00    1.05
9009009平安科技创新混合C5,324,051.04  150,312.00    1.05
10004194招商中证1000指数A4,945,730.02  139,631.00    0.37
11004195招商中证1000指数C4,945,730.02  139,631.00    0.37
12512100南方中证1000ETF2,712,144.82  76,571.00    0.03
13020010国泰金牛创新混合2,699,074.84  76,202.00    0.21
14004890中邮健康文娱灵活配置混合2,656,500.00  75,000.00    4.17
15005457景顺长城量化小盘股票2,366,056.00  66,800.00    0.16
16501099平安科技创新3年封闭混合2,092,542.76  59,078.00    1.03
17004641万家量化睿选混合1,786,124.34  50,427.00    0.19
18000844南方绝对收益混合1,154,373.22  32,591.00    1.20
19007737诺德研发创新100指数704,858.00  19,900.00    0.18
20700004平安灵活配置混合626,827.74  17,697.00    1.04
21001849前海开源强势共识100强股票331,495.78  9,359.00    0.58
22000992广发对冲套利定期开放混合311,448.06  8,793.00    0.43
23166110信达澳银量化先锋混合(LOF)C303,584.82  8,571.00    0.03
24166109信达澳银量化先锋混合(LOF)A303,584.82  8,571.00    0.03
25008851景顺长城量化对冲策略三个月定期开放混合290,444.00  8,200.00    0.11
26420008天弘债券发起式A256,192.86  7,233.00    0.10
27420108天弘债券发起式B256,192.86  7,233.00    0.10
28000978景顺长城量化精选股票187,726.00  5,300.00    0.03
29515200申万菱信中证研发创新100ETF97,086.22  2,741.00    0.05
30530018建信深证100指数增强74,382.00  2,100.00    0.09
31159987银华中证研发创新100ETF24,581.48  694.00    0.05
32162413华宝中证1000指数分级14,168.00  400.00    0.03
33003016中金中证500指数A5,738.04  162.00    0.00
34003578中金中证500指数C5,738.04  162.00    0.00
35010056平安瑞兴一年定开混合A2,196.04  62.00    0.00
36010057平安瑞兴一年定开混合C2,196.04  62.00    0.00