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华安产业精选混合C(014208)

2024-03-28     0.79041.4764%
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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)
101071华电国际电力股份7,142.612,271.403.4946
2605589圣泉集团6,343.39283.443.10103
3002965祥鑫科技5,534.48134.432.7128
4300568星源材质4,068.05263.821.9960
5600276恒瑞医药3,872.9085.631.891218
6300750宁德时代3,834.9323.491.882046
7000883湖北能源3,789.40895.841.8530
8688208道通科技3,714.39156.401.8238
902380中国电力3,501.791,346.401.7143
10600021上海电力3,373.73398.791.6522
1100902华能国际电力股份3,326.30886.601.6391
12300793佳禾智能3,073.27141.561.5020
13603833欧派家居2,900.9841.671.42115
14601991大唐发电2,896.471,196.891.4243
15600863内蒙华电2,687.33689.061.3155
16001203大中矿业2,637.29259.321.2911
17688268华特气体2,435.1136.141.1945
18600048保利发展2,408.37243.271.18362
19301327华宝新能2,281.0729.861.1235
20600968海油发展2,176.15763.561.0648
21603568伟明环保2,150.24134.391.0527
22603722阿科力2,093.8838.851.0224
23000923河钢资源2,018.14120.130.9942
24300228富瑞特装1,991.27280.460.9726
25600585海螺水泥1,954.6086.640.96261
26002478常宝股份1,885.37345.940.9220
27601028玉龙股份1,878.43175.390.9242
2801548金斯瑞生物科技1,864.54103.600.91135
29688003天准科技1,849.0949.280.9011
30002230科大讯飞1,842.6839.730.90