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工银新价值灵活配置混合C(012237)

2026-09-24     1.5360-0.7752%
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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)
1601088中国神华316.228.106.522013
2600900长江电力315.7911.936.512124
3600519贵州茅台308.230.266.353077
4601899紫金矿业304.4512.116.274040
5601225陕西煤业296.0914.556.101783
6600941中国移动294.473.426.071642
7600938中国海油277.4710.225.721977
8000933神火股份196.749.284.051727
9000333美的集团172.962.293.563213
10601319中国人保158.3223.423.26914
11600066宇通客车158.185.903.261485
12600660福耀玻璃147.282.923.031423
13002475立讯精密140.802.002.903854
14002142宁波银行130.344.392.691774
15600926杭州银行123.988.582.551306
16600426华鲁恒升111.954.682.311920
17600795国电电力102.2721.902.11926
18603713密尔克卫88.251.241.82335
19601717中创智领83.886.031.73521
20600015华夏银行80.3212.571.66920
21600036招商银行80.232.261.652249
22300750宁德时代78.600.201.625601
23600309万华化学74.571.091.542794
24600803新奥股份66.994.241.38778
25600276恒瑞医药59.331.141.222605
26600098广州发展58.809.951.21494
27601077渝农商行55.369.061.141276
28002831裕同科技51.321.441.06694
29600428中远海特47.806.120.98485
30600563法拉电子45.790.240.94865
31600016民生银行43.9213.640.91761
32002379宏桥控股34.862.360.72625
33002555三七互娱31.701.680.65611
34600886国投电力30.082.260.621141