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

华宝新兴消费混合C(011154)

2026-04-03     0.7502-0.6752%
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)
103690美团-W8,957.0596.009.871098
200700腾讯控股8,926.9716.509.842935
3000333美的集团8,909.10114.009.823536
4600519贵州茅台8,813.956.409.712963
5000858五粮液8,454.0179.809.321480
6000568泸州老窖8,019.1869.008.841620
7600809山西汾酒6,524.6038.007.191294
802015理想汽车-W5,271.6490.005.81401
909858优然牧业4,129.52900.004.55407
10688169石头科技2,280.9015.002.511265
1109899网易云音乐2,267.9913.502.50206
1201405达势股份2,135.6233.002.3546
1300883中国海洋石油1,923.86100.002.121033
14002594比亚迪1,465.8015.001.621360
15002032苏泊尔1,322.4030.001.46405
16689009九号公司1,111.8020.001.231035
1702400心动公司585.7410.000.65195
1801364古茗447.6420.000.49254
19688795摩尔线程141.280.340.163414
20688759必贝特31.541.260.033082
21688809强一股份5.270.030.013947
22301638南网数字3.300.230.004161
23001386马可波罗3.010.160.003525
24001233海安集团1.920.040.003481
25688796百奥赛图1.790.040.003941
26301632广东建科1.550.070.003749
27301563云汉芯城1.470.010.004341
28301491汉桑科技1.350.020.003814
29001369双欣材料1.160.090.004253
30301609山大电力1.140.030.003870
31301687新广益1.060.020.004401
32688805健信超导0.860.030.003634
33603418友升股份0.820.010.004291
34603175超颖电子0.820.020.004949
35603092德力佳0.810.010.004945
36001285瑞立科密0.770.010.003969
37301449天溯计量0.730.010.003722
38601026道生天合0.640.050.004405
39301575艾芬达0.620.010.003825
40603406天富龙0.610.020.004428
41603262技源集团0.440.020.004366
42603248锡华科技0.420.030.004393
43603370华新精科0.380.010.004685
44603376大明电子0.290.010.004539
45603334丰倍生物0.290.010.004680
46001396誉帆科技0.240.010.003625