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新华增强债券C(002422)

2021-04-16     1.22250.0327%
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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)
1000776广发证券21.001.291.65499
2601318中国平安20.010.231.572830
3002415海康威视16.490.341.301592
4601601中国太保13.440.351.061352
5002372伟星新材12.160.650.96456
6600036招商银行11.870.270.932013
7002202金风科技9.260.650.73462
8600436片仔癀8.030.030.63575
9002352顺丰控股7.940.090.621507
10603799华友钴业7.930.100.62908
11600999招商证券7.700.330.61528
12300999金龙鱼7.580.070.602876
13600507方大特钢6.800.980.53317
14300059东方财富6.510.210.511787
15600309万华化学6.370.070.501686
16002271东方雨虹6.210.160.49983
17603899晨光文具6.200.070.49766
18601995中金公司6.020.080.471753
19603288海天味业6.020.030.47821
20601799星宇股份6.020.030.47726
21600872中炬高新6.000.090.47605
22002821凯莱英5.980.020.47836
23601456国联证券5.760.270.45196
24300012华测检测5.750.210.45523
25600918中泰证券5.550.300.44209
26603939益丰药房5.410.060.43477
27603605珀莱雅5.340.030.42360
28300760迈瑞医疗4.260.010.341807
29002025航天电器3.910.060.31552
30605009豪悦护理3.810.020.30183
31300888稳健医疗3.320.020.26450