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

泰康新回报灵活配置混合C(001799)

2026-04-14     1.70761.2871%
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)
1601318中国平安599.878.779.673717
2601601中国太保520.9412.438.402546
3600499科达制造471.1633.977.60885
4603737三棵树428.929.276.91692
5002624完美世界423.0325.816.821178
6002738中矿资源335.414.275.411614
7603337杰克科技316.747.315.11374
8300750宁德时代301.150.824.855291
9003010若羽臣206.735.913.33452
10002311海大集团198.813.593.211475
11601633长城汽车190.328.413.07867
12000333美的集团183.652.352.963536
13002142宁波银行178.656.362.881575
14001221悍高集团158.672.742.563898
15600519贵州茅台123.950.092.002963
16601688华泰证券123.855.252.001706
17601377兴业证券123.7716.682.00899
18601211国泰海通90.014.381.451810
19300251光线传媒67.814.141.09598
20002043兔宝宝64.854.501.05642
21688012中微公司63.850.231.032427
22600801华新建材62.822.561.011098
23603605珀莱雅62.320.911.00473
24600030中信证券30.431.060.492044
25001301尚太科技30.030.350.48483
26688401路维光电29.920.610.48286
27002371北方华创27.540.060.442660
28300347泰格医药18.710.330.301300
29688029南微医学18.160.220.29647
30300866安克创新8.010.070.131217
31002028思源电气7.950.050.132016
32002594比亚迪6.840.070.111360
33603193润本股份6.780.280.11115
34002003伟星股份5.940.560.10353