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申万菱信安鑫回报灵活配置混合A(001201)

2023-07-26     1.38600.0000%
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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)
1600519贵州茅台16.910.010.933382
2000733振华科技16.290.170.891073
3300750宁德时代11.900.050.653786
4688016心脉医疗11.390.060.62330
5601689拓普集团11.300.140.621307
6688308欧科亿11.060.280.61326
7300595欧普康视10.870.360.60383
8301031中熔电气10.860.080.60214
9300450先导智能7.230.200.40768
10600438通威股份6.520.190.361004
11603129春风动力6.480.040.36611
12603187海容冷链6.440.320.35317
13300748金力永磁6.280.210.34277
14002402和而泰6.110.360.34506
15002475立讯精密5.840.180.322273
16300416苏试试验5.410.250.30543
17002179中航光电5.310.120.291337
18600036招商银行5.240.160.291358
19688696极米科技5.120.040.28194
20000858五粮液4.910.030.272437
21002555三七互娱4.880.140.271805
22002507涪陵榨菜4.760.260.26412
23600585海螺水泥4.750.200.26828
24603678火炬电子4.480.130.25236
25601012隆基绿能4.470.160.251355
26603290斯达半导4.300.020.24503
27600887伊利股份4.250.150.231461
28002985北摩高科3.970.090.22244
29300529健帆生物3.710.160.20301
30002049紫光国微2.800.030.151126