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融通互联网传媒灵活配置混合(001150)

2024-09-30     0.681012.0066%
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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)
1688123聚辰股份4,075.6167.006.39454
2003021兆威机电3,184.0768.994.99321
3688630芯碁微装2,565.3741.004.02324
4301589诺瓦星云2,376.4912.223.732667
5002230科大讯飞2,104.5549.003.30754
6688652京仪装备1,884.9348.222.96531
7002475立讯精密1,847.5747.002.903794
8000977浪潮信息1,818.5050.002.85991
9002371北方华创1,727.415.402.712514
10300308中际旭创1,695.9212.302.662822
11600536中国软件1,496.0050.002.35362
12300260新莱应材1,465.8870.002.30267
13002739万达电影1,450.80120.002.28511
14000063中兴通讯1,398.5050.002.191056
15688228开普云1,335.1534.992.0944
16002322理工能科1,315.0882.092.06406
17688601力芯微1,310.7030.002.06216
18002517恺英网络1,289.25135.002.02780
19688286敏芯股份1,237.4626.001.94112
20688072拓荆科技1,201.1010.001.88754
21301236软通动力1,161.9333.001.82474
22300567精测电子1,130.2020.001.77384
23688332中科蓝讯1,050.0217.801.65301
24603661恒林股份1,013.0424.001.59155
25688047龙芯中科923.2710.501.45227
26688008澜起科技914.5616.001.431169
27002380科远智慧907.8649.611.42