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方正富邦天璇混合A(008306)

2020-09-18     1.27561.7225%
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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)
1600325华发股份665.7694.307.63237
2300418昆仑万维656.4526.307.52355
3002624完美世界651.3311.307.461118
4601155新城控股624.8020.007.16282
5601012隆基股份606.8814.906.951441
6601088中国神华574.4040.006.58805
7600887伊利股份560.3418.006.421494
8603766隆鑫通用544.49140.706.2490
9600340华夏幸福539.5023.606.18509
10601933永辉超市525.2856.006.02694
11601966玲珑轮胎517.1025.605.92359
12600297广汇汽车513.26160.905.88190
13600057厦门象屿505.7992.305.7967
14688126沪硅产业96.813.681.11191
15688528秦川物联3.900.340.042154
16688377迪威尔3.600.220.042537
17688027国盾量子3.410.090.042473
18688600皖仪科技3.390.220.042367
19605166聚合顺2.600.160.031000
20603087甘李药业2.590.030.033564
21300842帝科股份1.850.050.023651
22600956新天绿能1.280.250.013672
23300839博汇股份1.180.050.013590
24300845捷安高科0.830.050.013624
25300843胜蓝股份0.750.080.013668
26300840酷特智能0.700.120.013559
27300846首都在线0.380.110.003700