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景顺长城顺鑫回报混合A类(010211)

2024-10-15     1.11150.0360%
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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)
1600519贵州茅台308.150.212.813201
2601899紫金矿业251.0814.292.293546
3300750宁德时代86.770.480.794033
4000333美的集团68.221.060.623410
5601898中煤能源67.395.400.61708
6600938中国海油67.012.030.611942
7601857中国石油66.156.410.601582
8300308中际旭创59.560.430.542822
9002463沪电股份57.311.570.522202
10002415海康威视37.091.200.341832
11000568泸州老窖35.870.250.331894
12000933神火股份35.601.760.321248
13600690海尔智家32.921.160.301970
14002371北方华创31.990.100.292514
15002126银轮股份31.691.820.29661
16601138工业富联30.961.130.282306
17600489中金黄金29.161.970.271197
18600183生益科技28.221.340.261235
19000858五粮液28.170.220.262167
20601666平煤股份23.182.070.21766
21600050中国联通22.984.890.21982
22300408三环集团20.430.700.191400
23601233桐昆股份19.471.220.18968
24000768中航西飞18.740.780.17767
25601225陕西煤业18.300.710.171743
26002409雅克科技18.240.290.17728
27603225新凤鸣16.991.090.15696
28688012中微公司16.080.110.151827
29600961株冶集团13.691.450.12312
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