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

景顺长城安益回报一年持有期混合C类(012139)

2025-04-17     1.12000.3494%
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)
100883中国海洋石油1,441.2681.404.23966
2600519贵州茅台1,402.080.924.112862
300700腾讯控股853.412.212.502375
4601225陕西煤业600.5725.821.761653
501898中煤能源523.9260.901.54239
6000858五粮液361.492.581.062441
7300750宁德时代351.121.321.034949
8000630铜陵有色328.46101.690.96423
9601899紫金矿业304.8220.160.893162
10600961株冶集团304.6538.710.89238
1100267中信股份220.0425.800.6578
12001323慕思股份214.765.680.63276
1301585雅迪控股208.5017.400.61415
1401177中国生物制药179.5860.600.53155
15603993洛阳钼业160.2724.100.471192
1601055中国南方航空股份136.0236.000.40137
1700525广深铁路股份134.4267.200.3992
1803908中金公司129.1710.880.38145
1900753中国国航119.2325.000.35210
20000596古井贡酒116.110.670.34833
21603369今世缘114.432.530.34728
2200960龙湖集团114.3712.350.34139
2300168青岛啤酒股份105.202.000.31416
24600079人福医药101.944.360.301033
2500981中芯国际85.402.900.25896
2601787山东黄金85.207.330.25156
27600887伊利股份81.492.700.242301
2800780同程旅行65.393.880.19392
2902331李宁64.024.200.19350
3002328中国财险61.315.400.18253
31002155湖南黄金58.673.730.17381
32300502新易盛45.080.390.132373
33300677英科医疗44.491.760.13608
34002709天赐材料43.782.220.13656
35000651格力电器42.270.930.122826
3609633农夫山泉42.131.340.12251
37002050三花智控35.501.510.101413
38600893航发动力34.400.830.101055
39601038一拖股份33.852.290.1099
4002380中国电力33.1711.300.10100
41600873梅花生物32.603.250.10869
42002245蔚蓝锂芯30.682.870.09298
43601021春秋航空30.570.530.09822
4406862海底捞29.452.000.09293
4503800协鑫科技11.8011.800.03523
4601919中远海控11.260.950.03103
47603259药明康德3.850.070.011690
4801208五矿资源0.380.160.00106
4903690美团-W0.280.000.001207