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华宝国策导向混合A(001088)

2026-09-30     1.4100-0.5642%
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序号 证券代码 证券简称 持仓市值(元) 持仓数量(股) 占基金净值比例(股) 其它基金持有(股)
1300502新易盛2,045.593.3710.225240
2300308中际旭创1,930.401.529.656529
3601168西部矿业1,221.3045.006.101293
4603337杰克科技1,159.3632.005.79279
5002850科达利946.505.004.731494
6002353杰瑞股份930.256.104.652467
7601100恒立液压803.477.474.021583
8601899紫金矿业729.0629.003.644040
9300818耐普矿机623.7033.003.12214
10600031三一重工615.1735.603.072206
11688981中芯国际603.523.803.023360
12300750宁德时代577.721.472.895601
13000408藏格矿业554.568.002.771748
14300390天华新能495.605.302.481449
15002432九安医疗487.696.902.44669
16002463沪电股份452.292.962.263066
17600482中国动力432.9613.202.161670
18300661圣邦股份430.443.002.152201
19001203大中矿业419.3014.002.10746
20002541鸿路钢构415.6824.002.08421
21600309万华化学383.105.601.912794
22603268松发股份213.101.531.07785
23688759必贝特12.690.410.061140
24301666大普微12.510.030.064417
25688797臻宝科技3.520.010.024660
26001399惠科股份2.810.100.014836
27301682宏明电子2.610.020.014016
28001257盛龙股份1.470.070.014416
29301669高特电子1.130.040.014783
30301687新广益1.100.010.014439
31301696三瑞智能0.970.010.004774
32301599理奇智能0.720.020.004435
33301680固德电材0.650.010.004244
34301513尚水智能0.600.010.004262
35001365天海电子0.580.020.004673
36001393维通利0.510.010.004559
37301683慧谷新材0.470.000.004675
38001237惠康科技0.440.010.004465
39603435嘉德利0.390.010.005005
40001220世盟股份0.130.000.004494
41001312福恩股份0.110.010.004520