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景顺长城港股通全球竞争力混合C类(012228)

2026-09-07     0.8416-1.0115%
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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)
100700腾讯控股8,231.3322.059.582001
203306江南布衣5,222.04349.156.0862
302400心动公司4,787.25123.865.57154
4600352浙江龙盛4,727.02390.345.501108
503606福耀玻璃4,329.5897.365.0462
603690美团-W4,264.6571.684.96798
701882海天国际3,726.08228.804.3468
802359药明康德3,677.8227.554.28238
9601918新集能源3,302.02384.403.84691
1001860汇量科技3,185.02362.003.71104
1100857中国石油股份2,857.74388.003.33346
1202423贝壳-W2,711.6083.123.16524
1300941中国移动2,493.4837.702.90468
1400300美的集团2,405.5233.532.80127
1502328中国财险2,129.32171.202.48279
1603339中国龙工1,909.56845.602.2262
17002003伟星股份1,894.67225.022.21212
1800639首钢资源1,772.51944.802.0632
1900038第一拖拉机股份1,509.59259.801.76139
2002419德康农牧1,419.3539.781.65156
2101109华润置地1,356.2452.051.58534
2201880中国中免803.4519.450.9458
2301171兖矿能源614.2464.000.72347
2403898时代电气583.8516.780.68128
2500336华宝国际549.79210.300.6415
26001365天海电子2.250.070.004673
27301696三瑞智能1.870.020.004774
28001237惠康科技1.670.030.004465
29301669高特电子1.550.050.004783
30001393维通利1.510.040.004559
31301680固德电材1.310.010.004244
32301683慧谷新材1.170.010.004675
33301513尚水智能0.700.010.004262
34001312福恩股份0.220.010.004520