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

泰康优势企业混合C(010537)

2026-04-17     0.6186-1.3554%
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)
100700腾讯控股6,271.1911.599.892935
2000333美的集团5,536.7870.858.733536
3002027分众传媒5,008.73679.617.902127
4600486扬农化工4,772.9168.787.52963
5600900长江电力4,434.15163.086.991833
603606福耀玻璃4,286.5170.626.7671
7002517恺英网络3,362.29153.745.301765
8600519贵州茅台2,950.752.144.652963
9600809山西汾酒2,860.9716.664.511294
1002400心动公司2,454.0841.903.87195
11600079ST人福2,166.50119.633.42302
12600031三一重工2,062.9297.633.252233
13000568泸州老窖1,613.6413.882.541620
14600660福耀玻璃1,611.7224.882.541726
15300124汇川技术1,266.6516.812.001706
16300760迈瑞医疗1,199.846.301.891619
17600690海尔智家1,187.0945.501.872366
1801816中广核电力1,141.62430.801.8098
1909633农夫山泉944.3622.321.49201
2000883中国海洋石油327.0817.000.521033
2109987百胜中国306.300.920.48204
22600221海航控股258.16142.630.41119
23002602世纪华通38.562.260.061533
24301656联合动力13.440.530.023889
25001280中国铀业10.330.230.024052
26301638南网数字3.300.230.014161
27001233海安集团1.920.040.003481
28301563云汉芯城1.470.010.004341
29301491汉桑科技1.350.020.003814
30301584建发致新1.200.040.004100
31001369双欣材料1.160.090.004253
32301609山大电力1.140.030.003870
33301687新广益1.060.020.004401
34001221悍高集团0.910.020.003898
35301667纳百川0.860.020.004230
36603418友升股份0.820.010.004291
37603175超颖电子0.820.020.004949
38603092德力佳0.810.010.004945
39001285瑞立科密0.770.010.003969
40301668昊创瑞通0.740.020.004113
41301449天溯计量0.730.010.003722
42601026道生天合0.640.050.004405
43301575艾芬达0.620.010.003825
44603406天富龙0.610.020.004428
45603262技源集团0.440.020.004366
46603248锡华科技0.420.030.004393
47001388信通电子0.400.010.003920
48603370华新精科0.380.010.004685
49603376大明电子0.290.010.004539
50603334丰倍生物0.290.010.004680
51001396誉帆科技0.240.010.003625