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

长城产业成长混合A(015127)

2024-09-30     0.89113.7248%
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)
1601899紫金矿业1,923.74109.498.783546
200941中国移动1,489.8621.206.80937
300883中国海洋石油1,449.4870.906.621282
4601985中国核电1,383.03129.746.311495
5000333美的集团1,194.5418.525.453410
601816中广核电力1,186.78378.005.42420
7601398工商银行1,144.33200.765.221528
801088中国神华967.9229.504.42457
9600066宇通客车719.8227.903.291292
10000651格力电器702.4317.913.211946
11601288农业银行692.37158.803.161395
12600795国电电力578.6996.612.641000
13600938中国海油574.8617.422.621942
14000338潍柴动力484.9329.862.211750
1503808中国重汽467.8225.252.14124
16601117中国化学467.4656.732.13861
17601898中煤能源445.0435.662.03708
18601298青岛港383.9340.161.75446
19600023浙能电力319.1744.891.46887
20601088中国神华318.587.181.452097
21002966苏州银行295.0539.341.35690
22600900长江电力222.117.681.012196
23600489中金黄金199.9513.510.911197
24600060海信视像190.257.690.87732
25003816中国广核181.3639.170.83997
2606690海尔智家161.516.780.74106
2700700腾讯控股147.950.440.681855
28601811新华文轩145.8410.410.67264
29600150中国船舶113.582.790.521967
30600886国投电力111.266.100.511180
3100857中国石油股份105.2714.600.48341
3201898中煤能源104.8812.600.48237
3301378中国宏桥97.099.000.44447
34000543皖能电力91.4210.330.42708
35601000唐山港70.1214.920.32648
36600690海尔智家56.762.000.261970
37603100川仪股份49.842.120.23246
38601918新集能源41.934.300.19614
3900836华润电力39.351.800.18367
40603350安乃达2.160.110.013223
41603285键邦股份2.020.110.013627
42688692达梦数据1.420.010.013844
43688691灿芯股份1.050.020.003750
44688695中创股份0.590.020.003783
45001387雪祺电气0.260.020.003371
46603312西典新能0.200.010.003987
4700688中国海外发展0.000.000.00272