行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

建信鑫荣回报灵活配置混合A(001498)

2024-02-05     0.9863-1.1030%
全部持股
截止日期:  
 查询其他基金该项数据
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)
1920720吉冈精密27.691.702.6530
2920725惠丰钻石22.241.202.1331
3920985海泰新能21.692.442.0845
4920799艾融软件21.441.602.0537
5920402硅烷科技21.261.352.0459
6920961创远信科20.641.501.9840
7920089禾昌聚合20.621.151.9826
8920819颖泰生物20.474.451.9636
9920932科达自控20.461.151.969
10920599同力股份20.081.901.9266
11920491奥迪威19.941.051.9160
12920077吉林碳谷19.911.201.9171
13920640富士达19.561.001.8766
14920271邦德股份19.401.101.8630
15920682球冠电缆18.622.081.7826
16920185贝特瑞18.330.801.7698
17920885星辰科技18.201.881.7429
18920680*ST广道17.970.751.7230
19920946森萱医药17.451.751.6729
20920433大唐药业17.362.891.663
21920808曙光数创17.120.451.6448
22920368连城数控16.910.401.6257
23920971天马新材16.241.001.5624
24920190雷神科技14.360.481.384
25920221易实精密13.760.801.3213
26920896旺成科技13.721.101.313
27920662方盛股份13.580.751.3014
28920346威贸电子13.320.801.2819
29920207众诚科技12.070.851.162
30920000安徽凤凰11.851.151.142
31920195三祥科技11.670.701.1213
32920826盖世食品10.981.001.0512
33920663明阳科技10.700.751.0218
34920204沪江材料10.060.680.9614
35920593鼎智科技9.600.250.9263
36920526凯华材料2.190.080.215
37301487盟固利2.000.050.192336
38301510固高科技0.550.020.053264
39301421波长光电0.490.010.052709
40920571国航远洋0.440.080.0436
41301558三态股份0.340.030.033078
42301555惠柏新材0.270.010.033285
43301509金凯生科0.260.000.032627
44301507民生健康0.250.020.023264
45301533威马农机0.250.010.023226
46301498乖宝宠物0.240.010.023095
47301251威尔高0.240.010.023535
48301469恒达新材0.230.010.022691
49301489思泉新材0.230.000.023634
50301511德福科技0.210.010.022609
51301418协昌科技0.210.000.023021
52301519舜禹股份0.200.010.023089
53301518长华化学0.200.010.022951
54301517陕西华达0.200.000.023982
55301500飞南资源0.170.010.023469
56301529福赛科技0.160.000.023669
57301559中集环科0.160.010.023437
58301371敷尔佳0.160.000.023581
59301520万邦医药0.140.000.013412