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

安信鑫发优选混合C(012891)

2026-03-27     2.46530.7520%
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)
1002493荣盛石化154.8113.223.74164
2601318中国平安125.171.833.022306
3601899紫金矿业122.713.562.963533
4688981中芯国际110.300.902.661094
5688385复旦微电108.621.472.62267
6600426华鲁恒升105.293.352.54586
7300750宁德时代99.160.272.403869
8600519贵州茅台96.400.072.331983
9002602世纪华通96.055.632.32559
10002475立讯精密95.271.682.301803
11600028中国石化87.6914.192.12315
12600938中国海油87.222.892.11605
13000703恒逸石化85.847.972.07134
14601857中国石油85.578.222.07521
15600989宝丰能源84.214.292.03449
16600346恒力石化83.363.702.01227
17601398工商银行81.2010.241.96659
18601328交通银行77.5010.691.87390
19002415海康威视63.262.121.53574
20600549厦门钨业62.411.521.51423
21601233桐昆股份61.783.591.49250
22603345安井食品61.050.771.47276
23601688华泰证券53.552.271.29584
24688012中微公司51.530.181.24920
25600958东方证券49.164.511.19241
26603225新凤鸣48.842.511.18153
27600298安琪酵母48.111.101.16256
28002594比亚迪47.880.491.16447
29600919江苏银行47.324.551.14552
30600060海信视像45.891.891.11174
31601601中国太保45.681.091.10906
32000776广发证券45.142.051.09334
33600259中稀有色43.880.781.0661
34000680山推股份42.133.521.02130
35688382益方生物41.661.531.01267
36603501豪威集团41.550.331.00333
37600309万华化学41.410.541.00763
38688258卓易信息41.120.540.99106
39002236大华股份41.102.170.99216
40002049紫光国微40.980.520.99284
41300170汉得信息40.872.160.9986
42688318财富趋势40.780.310.9963
43300378鼎捷数智40.730.900.9890
44603039泛微网络40.690.760.9836
45300059东方财富40.571.750.98628
46300803指南针39.260.300.95168
47000833粤桂股份38.731.990.9442
48300033同花顺38.660.120.93412
49600020中原高速38.649.070.9332
50002182宝武镁业38.402.510.9365
51002847盐津铺子38.250.560.92114
52601800中国交建36.014.370.8799
53002251步步高22.204.180.5419
54605090九丰能源12.070.280.29113
55601699潞安环能10.740.910.26160
56601139深圳燃气10.561.600.2617