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

泰康科技创新一年定开混合(009490)

2026-09-04     1.2977-2.4652%
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)
1688249晶合集成2,141.3636.289.871018
201888建滔积层板2,125.0824.689.79877
3300308中际旭创2,057.401.629.486529
4300502新易盛2,028.593.349.355240
500148建滔集团1,950.7219.058.99579
6301319唯特偶1,865.7311.158.60379
7300401花园生物1,310.9959.896.04283
8603005晶方科技1,152.2821.395.31388
9002409雅克科技1,122.505.005.17941
10000636风华高科724.5710.033.34820
11002281光迅科技686.032.673.161648
12688498源杰科技673.680.363.102568
13600105永鼎股份647.139.592.981518
14688025杰普特538.241.152.481138
15688110东芯股份472.622.322.181054
16002225濮耐股份452.6695.702.0995
17600246万通发展436.6222.982.01378
18688260昀冢科技264.171.831.22201
19300408三环集团237.001.421.093604
20300661圣邦股份216.651.511.002201
21301321翰博高新215.894.890.99184
22301666大普微11.720.030.054417
23001248华润新能源8.960.890.044901
24688797臻宝科技3.700.010.024660
25688807优迅股份3.340.010.02938
26688818电科蓝天3.290.050.023927
27001399惠科股份2.990.110.014836
28301682宏明电子2.380.010.014016
29688785恒运昌1.810.000.014157
30001257盛龙股份1.400.070.014416
31301669高特电子1.100.040.014783
32301531春光集团1.000.020.004581
33301696三瑞智能0.910.010.004774
34301599理奇智能0.670.020.004435
35301338凯格精机0.650.000.00430
36301680固德电材0.630.010.004244
37301513尚水智能0.560.010.004262
38001365天海电子0.540.020.004673
39001393维通利0.480.010.004559
40001237惠康科技0.410.010.004465
41603248锡华科技0.380.020.001140
42688816易思维0.380.010.003741
43688712北芯生命0.370.010.003879
4402555茶百道0.310.080.0027
45601112振石股份0.260.010.004902
46603352至信股份0.140.010.004339
47001220世盟股份0.110.000.004494
48603284林平发展0.110.000.004442
49001312福恩股份0.100.010.004520
50600075新疆天业0.080.020.00212