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景顺长城顺鑫回报混合A(010211)

2024-04-19     1.0840-0.0922%
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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396.980.232.883495
2601899紫金矿业182.9114.681.332474
3300750宁德时代130.930.800.953492
4000333美的集团100.391.840.732284
5000568泸州老窖78.940.440.572305
6002463沪电股份74.993.390.541359
7002126银轮股份70.573.780.51788
8000858五粮液70.160.500.512110
9002371北方华创68.800.280.501674
10601857中国石油65.739.310.481280
11300308中际旭创62.100.550.452186
12000933神火股份54.603.250.40963
13603197保隆科技51.890.920.38694
14000625长安汽车50.903.020.371425
15600938中国海油50.132.390.361086
16002415海康威视47.571.370.342070
17300037新宙邦45.880.970.331148
18002409雅克科技44.580.800.32654
19601898中煤能源42.834.420.31655
20300124汇川技术42.300.670.311352
21603596伯特利41.580.600.301104
22300760迈瑞医疗40.680.140.291888
23002142宁波银行40.172.000.291166
24000960锡业股份34.652.420.25476
25600690海尔智家34.651.650.251394
26603171税友股份29.370.830.21294
27600961株冶集团29.183.490.21159
28300408三环集团27.980.950.201267
29000733振华科技27.650.470.20725
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