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

前海开源新兴产业混合A(008381)

2023-09-22     1.03291.7435%
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)
1000063中兴通讯7,787.19171.008.892437
2300118东方日升7,024.86274.098.02459
3002529海源复材5,845.74380.836.6727
4603867新化股份4,949.67122.215.6570
5002801微光股份4,485.74165.775.1275
6000819岳阳兴长4,456.25227.595.0949
702162康诺亚-B3,925.51104.104.48155
8600195中牧股份3,739.04320.124.27262
9300750宁德时代3,401.1914.873.883786
10002236大华股份3,140.69159.023.591163
11603283赛腾股份2,994.4167.293.42384
12300057万顺新材2,567.74305.682.9358
13600201生物股份2,527.09265.732.88225
14603185弘元绿能2,317.8631.092.65346
15002074国轩高科2,092.2275.752.39374
16600552凯盛科技1,978.70167.122.2675
17300996普联软件1,854.5960.412.12336
18300360炬华科技1,837.94102.792.10220
1901521方达控股1,642.97891.001.8813
20300082奥克股份1,216.51160.491.3923
21002645华宏科技1,203.5698.171.37115
22002908德生科技1,174.1175.901.34189
23603688石英股份1,042.649.161.19899
24688981中芯国际677.7913.420.771464
25603383顶点软件495.798.950.57313
2609966康宁杰瑞制药-B318.6146.200.3663
27002727一心堂256.879.730.29463
28300045华力创通176.4415.210.20129
2901811中广核新能源61.9130.800.0715