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

国泰产业精选混合C(014239)

2026-04-17     0.9912-0.2014%
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)
1000333美的集团1,037.8313.286.063536
200700腾讯控股1,022.541.895.972935
309988阿里巴巴-W739.055.734.312681
4002352顺丰控股731.5319.094.271345
5300285国瓷材料697.3125.444.07797
6301033迈普医学638.639.463.73274
702192医脉通612.8569.953.58122
8600885宏发股份567.7218.683.311107
9605376博迁新材548.718.393.20582
1001801信达生物519.977.553.03952
11000683博源化工408.6854.932.39938
12002601龙佰集团408.2420.852.381011
13688279峰岹科技401.021.972.34403
14301525儒竞科技359.844.172.10131
15603786科博达344.424.412.01659
16300003乐普医疗298.3318.871.741085
17605133嵘泰股份252.377.361.47179
1801530三生制药232.5910.651.36820
19688676金盘科技215.702.391.26939
20688278特宝生物207.532.481.21623
21002706良信股份196.9518.271.15382
22688698伟创电气194.671.971.14498
23300408三环集团188.954.131.101835
24002475立讯精密184.873.261.083835
25300012华测检测184.0113.581.07852
26300274阳光电源181.641.061.063526
27002384东山精密180.302.131.052006
28002126银轮股份179.554.751.051088
29688772珠海冠宇179.098.321.051221
30300394天孚通信176.640.871.032139
31002675东诚药业119.958.730.70211
32688729屹唐股份4.620.190.033394
33001280中国铀业3.270.070.024052
34301632广东建科1.550.070.013749
35301563云汉芯城1.470.010.014341
36301491汉桑科技1.350.020.013814
37301584建发致新1.200.040.014100
38301609山大电力1.140.030.013870
39301638南网数字1.100.080.014161
40001386马可波罗1.070.060.013525
41001221悍高集团0.910.020.013898
42301667纳百川0.800.010.004230
43301687新广益0.770.010.004401
44301668昊创瑞通0.740.020.004113
45301449天溯计量0.680.010.003722
46001233海安集团0.630.010.003481
47301575艾芬达0.620.010.003825
48603406天富龙0.610.020.004428
49603418友升股份0.500.010.004291
50001285瑞立科密0.450.010.003969
51603262技源集团0.440.020.004366
52001388信通电子0.400.010.003920
53603370华新精科0.380.010.004685
54001369双欣材料0.380.030.004253
55001396誉帆科技0.240.010.003625