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

景顺长城港股通全球竞争力混合A类(012227)

2026-04-03     0.9333-0.0856%
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7,736.7114.308.102935
209626哔哩哔哩-W7,638.6443.848.00474
300857中国石油股份5,965.87788.206.25312
403306江南布衣5,638.68321.305.9157
503690美团-W5,544.0459.425.811098
601519极兔速递-W5,314.71563.085.57383
702899紫金矿业4,876.42151.405.11408
802517锅圈4,433.041,370.964.64150
9000792盐湖股份3,878.20137.724.061933
1000883中国海洋石油3,749.60194.903.931033
1101898中煤能源3,746.70416.903.92265
1209696天齐锂业3,022.0165.543.1780
1302057中通快递-W2,643.0618.032.77301
1400667中国东方教育2,532.69422.302.65197
15002738中矿资源2,330.5829.672.441614
16601918新集能源2,327.65352.142.44545
1701277力量发展2,202.291,819.602.3120
18600486扬农化工1,931.1227.832.02963
19002311海大集团1,853.0133.461.941475
2002688新奥能源1,615.0725.841.69206
2103899中集安瑞科1,558.57182.601.6387
2209899网易云音乐361.202.150.38206
23688729屹唐股份8.510.350.013394
24301491汉桑科技1.350.020.003814
25301609山大电力1.140.030.003870
26001221悍高集团0.910.020.003898