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

中融产业升级混合(001701)

2021-10-15     2.80301.4844%
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)
1002791坚朗五金1,109.005.725.78426
2601567三星医疗1,008.5647.355.26243
3300034钢研高纳941.5029.234.91181
4300037新宙邦896.908.964.68607
5002460赣锋锂业808.886.684.221473
6601677明泰铝业775.8339.684.05241
7002049紫光国微706.194.583.68996
8000636风华高科662.4221.923.46270
9300363博腾股份639.317.603.33464
10300767震安科技630.187.593.29143
11000012南玻A593.3157.943.09396
12002759天际股份553.5414.902.89132
13000009中国宝安552.5430.242.88289
14300627华测导航524.2715.372.73171
15688665四方光电520.863.832.72401
16002466天齐锂业494.927.982.58484
17002833弘亚数控483.3712.472.52273
18601012隆基股份476.365.362.482517
19688059华锐精密456.652.722.38486
20300487蓝晓科技404.394.782.1178
21300986志特新材400.539.952.093771
22002847盐津铺子398.884.002.08176
23688269凯立新材377.072.701.97757
24002375亚厦股份364.3246.001.90152
25600399抚顺特钢362.9820.011.89477
26600882妙可蓝多346.914.971.81283
27300811铂科新材336.356.381.7523
28688308欧科亿313.694.631.64198
29603338浙江鼎力306.365.221.60400
30603712七一二232.126.431.21248
31688383新益昌227.891.621.19576
32688276百克生物225.362.151.181267
33688598金博股份215.120.801.12267
34000301东方盛虹197.719.461.03398
35002541鸿路钢构123.122.110.64455
36605376博迁新材10.500.140.05125
37003022联泓新科9.190.300.05275
38300896爱美客8.130.010.041039
39688590新致软件7.720.420.04105
40300910瑞丰新材2.030.020.01458
41300913兆龙互连1.650.060.01243
42300907康平科技1.390.050.01156
43300909汇创达1.040.020.01301