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

富荣福康混合C(005105)

2026-04-03     1.1354-1.2781%
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)
1300640德艺文创34.524.463.6425
2300837浙矿股份31.640.933.34101
3002828贝肯能源29.322.753.0995
4301006迈拓股份29.191.773.08160
5603022新通联28.452.773.0079
6301163宏德股份27.861.042.94184
7300519新光药业27.421.842.8967
8301298东利机械27.371.732.8991
9603214爱婴室26.771.562.83133
10300371汇中股份25.772.052.72122
11603172万丰股份24.391.372.57163
12603506南都物业22.721.742.4073
13002817黄山胶囊21.742.862.29210
14301336趣睡科技21.690.422.2959
15001324长青科技21.291.182.2562
16301130西点药业21.120.742.2397
17001218丽臣实业20.500.902.16273
18600697欧亚集团20.441.552.1673
19301555惠柏新材20.060.602.12147
20301353普莱得19.840.752.0985
21301063海锅股份19.280.792.04108
22603048浙江黎明18.390.871.9495
23300971博亚精工18.100.741.9187
24002671龙泉股份18.083.451.91178
25301279金道科技17.990.521.9051
26603045福达合金17.690.901.87157
27301185鸥玛软件17.190.901.8196
28600128苏豪弘业17.031.551.80156
29300970华绿生物15.790.771.67189
30001219青岛食品13.970.981.47123
31603909建发合诚13.891.231.4754
32000978桂林旅游13.391.851.41118
33300335迪森股份13.312.311.4060
34300658延江股份12.890.871.3660
35300707威唐工业12.500.761.32132
36300717华信新材12.190.641.29130
37003027同兴科技11.820.531.2577
38603326我乐家居11.131.251.17130
39003017大洋生物11.050.371.17156
40603282亚光股份9.720.491.03201
41001299美能能源9.270.630.9834
42603700宁水集团8.560.630.90226
43600858银座股份8.311.330.8837
44001230劲旅环境7.410.340.78115
45002887绿茵生态7.390.790.7873
46301115联检科技7.270.460.77150
47603810丰山集团7.190.450.7687
48002763汇洁股份7.000.970.7488
49603168莎普爱思6.840.930.7268
50600533栖霞建设6.582.570.69107