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安信丰穗一年持有混合A(012256)

2026-09-24     1.1951-0.1003%
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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)
100883中国海洋石油379.0521.483.561147
200688中国海外发展356.6634.053.35246
3000333美的集团222.362.942.093213
4600690海尔智家212.0510.391.991642
501109华润置地177.186.801.66534
6601001晋控煤业168.509.691.58706
7002142宁波银行157.055.291.471774
8000786北新建材121.386.711.14883
9000983山西焦煤114.1419.681.07710
10600985淮北矿业101.237.210.95865
1103668兖煤澳大利亚88.403.450.83152
12603816顾家家居82.283.680.771011
13600036招商银行81.922.310.772249
14600938中国海油79.552.930.751977
15002078太阳纸业75.206.020.711209
16600048保利发展73.9915.980.69994
17601898中煤能源65.415.370.611090
1801898中煤能源59.897.000.56256
19000568泸州老窖48.030.620.451033
20000933神火股份46.852.210.441727
2102057中通快递-W33.530.230.31210
22601058赛轮轮胎32.302.800.301195
23002984森麒麟30.192.310.28330
24601600中国铝业29.623.600.281595
25600426华鲁恒升29.421.230.281920
2600868信义玻璃28.893.900.27153
27603279景津装备27.582.300.26366
2800288万洲国际25.923.600.24202
29301039中集车辆25.873.670.24474
30601166兴业银行24.341.470.231791
3101882海天国际17.911.100.1768
32600486扬农化工16.730.330.16722
33000807云铝股份4.490.200.041845