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

交银成长动力一年混合A(011275)

2026-03-30     0.6443-0.8006%
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11,978.3822.149.032936
209992泡泡玛特10,548.4362.227.95782
3688111金山办公6,783.3922.095.121893
402423贝壳-W6,748.55180.045.09528
5600276恒瑞医药5,594.1093.914.222814
609988阿里巴巴-W5,568.0643.174.202682
703690美团-W4,662.7449.973.521099
8603259药明康德4,649.8351.303.512780
901318毛戈平4,543.5361.573.43376
1000981中芯国际4,317.4066.903.261683
11600030中信证券4,076.82142.003.072044
12600699均胜电子3,542.74112.972.67800
13600519贵州茅台3,401.632.472.572963
14002304洋河股份3,289.6854.162.48581
15600702舍得酒业3,262.7358.182.46172
16000596古井贡酒3,206.2724.182.42809
17002244滨江集团3,121.83310.632.35865
18601669中国电建2,909.45559.512.19574
19601155新城控股2,726.81195.472.06567
20001979招商蛇口2,604.01301.391.961191
21000568泸州老窖2,498.6421.501.881620
22300378鼎捷数智2,256.6649.861.70381
23000750国海证券2,140.06504.731.61287
24000526学大教育2,065.7252.671.56163
25600383金地集团2,001.36654.041.51192
26600649城投控股1,384.04311.021.04291
27600941中国移动1,360.1313.461.031978
28000776广发证券1,326.9360.261.001291
2901109华润置地1,315.5953.550.99394
30002517恺英网络1,116.0351.030.841765
3100817中国金茂1,092.901,000.000.82119
3201801信达生物688.7110.000.52952
3302359药明康德625.827.020.47157
34688802沐曦股份27.630.070.023606
35301687新广益13.520.190.014401
36001280中国铀业10.330.230.014052
37688795摩尔线程6.910.020.013414
38688790昂瑞微6.050.050.003195
39688809强一股份5.270.030.003947
40301638南网数字3.300.230.004161
41688727恒坤新材1.960.060.003566
42688796百奥赛图1.790.040.003941
43301632广东建科1.550.070.003749
44301563云汉芯城1.470.010.004341
45301491汉桑科技1.350.020.003814
46301584建发致新1.200.040.004100
47001369双欣材料1.160.090.004253
48301609山大电力1.140.030.003870
49301667纳百川0.860.020.004230
50688805健信超导0.860.030.003634
51603175超颖电子0.820.020.004949
52603092德力佳0.810.010.004945
53001285瑞立科密0.770.010.003969
54301449天溯计量0.730.010.003722
55601026道生天合0.640.050.004405
56301575艾芬达0.620.010.003825
57603262技源集团0.440.020.004366
58001388信通电子0.400.010.003920
59603370华新精科0.380.010.004685
60001396誉帆科技0.240.010.003625