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

前海联合泳隆混合C(007040)

2026-10-09     1.2676-2.8436%
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)
1600522中天科技1,642.6127.079.451801
2600487亨通光电1,640.1015.009.442284
3603606东方电缆1,571.8237.879.051003
4002487大金重工1,512.2526.098.701213
5002531天顺风能1,375.04163.117.91344
6002202金风科技984.2041.185.66863
7603218日月股份822.6380.494.73127
8300274阳光电源718.774.524.143505
9601615明阳智能645.7655.813.72673
10002080中材科技473.405.262.721678
11603092德力佳463.368.592.67827
12301155海力风电435.6010.152.51180
13300443金雷股份408.2918.922.35221
14600458时代新材360.1321.762.07304
15600483福能股份337.4933.121.94496
16300772运达股份312.2725.391.80339
17600875东方电气306.4010.651.761309
18688349三一重能288.7719.021.66520
19603693江苏新能211.4616.801.2254
20300129泰胜风能209.6524.521.21204
21002006精工科技194.3213.211.12110
22301291明阳电气190.755.301.10235
23603507振江股份181.885.531.05452
24300850新强联143.305.350.82324
25688186广大特材96.966.400.56150
26605305中际联合33.540.800.19325
27688808联讯仪器16.320.010.094601
28001280中国铀业5.470.080.031068
29688809强一股份3.800.010.022200
30688797臻宝科技3.520.010.024660
31301682宏明电子3.170.020.024016
32001399惠科股份2.750.100.024836
33688785恒运昌2.180.000.014157
34688795摩尔线程1.790.000.012450
35301669高特电子1.490.050.014783
36603459红板科技1.250.010.015123
37301262海看股份1.240.070.0198
38301687新广益1.230.020.014439
39688802沐曦股份1.160.000.012906
40001393维通利1.060.030.014559
41001237惠康科技0.870.010.014465
42301680固德电材0.790.010.004244
43301513尚水智能0.700.010.004262
44603435嘉德利0.490.010.005005
45001369双欣材料0.450.030.001883
46688712北芯生命0.430.010.003879
47688790昂瑞微0.290.000.001710
48603352至信股份0.170.010.004339
49001312福恩股份0.140.010.004520
50603293埃泰克0.140.000.005313
51001220世盟股份0.130.000.004494
52603284林平发展0.130.000.004442