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中信保诚丰裕一年持有期A(011525)

2026-04-10     1.0090-0.0495%
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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)
1600036招商银行2,136.1550.741.362499
2600031三一重工1,650.2578.101.052233
3600900长江电力1,524.8256.080.971833
4600674川投能源1,243.6389.470.79782
5600941中国移动1,243.5512.310.791978
6601899紫金矿业1,147.8533.300.734832
7601298青岛港985.62118.180.63675
8601077渝农商行973.39150.680.621145
9000333美的集团819.0110.480.523536
10601872招商轮船794.1088.430.511143
11601058赛轮轮胎738.7845.660.471512
12601088中国神华702.6817.350.451980
13601601中国太保640.3815.280.412546
14601600中国铝业594.6348.660.381856
15600026中远海能537.1645.990.34653
16002064华峰化学507.3246.120.321025
17600642申能股份493.2563.400.31544
18601318中国平安346.105.060.223717
19600795国电电力307.0960.930.201225
2000883中国海洋石油292.4315.200.191033
21601288农业银行273.4835.610.171327
22601398工商银行264.3933.340.171859
23002601龙佰集团191.109.760.121011
24603418友升股份0.820.010.004291
25603175超颖电子0.820.020.004949
26603092德力佳0.810.010.004945
27601026道生天合0.640.050.004405
28603406天富龙0.610.020.004428
29603262技源集团0.440.020.004366
30603248锡华科技0.420.030.004393
31603370华新精科0.380.010.004685
32603334丰倍生物0.290.010.004680