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

天弘新价值混合C(016246)

2026-04-03     1.6265-1.2087%
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)
1601577长沙银行3,520.71362.967.86835
2600036招商银行3,502.7283.207.822499
3600919江苏银行3,499.80336.527.811803
4002142宁波银行3,488.78124.207.781575
5002271东方雨虹3,080.85226.706.87803
6601665齐鲁银行2,830.97493.206.32751
7601838成都银行2,183.29135.444.87878
8600690海尔智家1,924.1473.754.292366
9601918新集能源1,723.95260.813.85545
10000651格力电器1,532.7838.113.421811
11601009南京银行1,339.25117.172.991395
12600938中国海油1,049.6634.782.341807
13600873梅花生物952.8394.062.131088
14605090九丰能源776.4018.011.73404
15603529爱玛科技697.0623.471.56604
16600926杭州银行645.1242.221.441375
17600285羚锐制药631.8630.511.41399
18002311海大集团503.409.091.121475
19601155新城控股473.3233.931.06567
20601077渝农商行437.7967.770.981145
21000596古井贡酒421.673.180.94809
22603619中曼石油348.7515.130.78372
23002352顺丰控股296.607.740.661345
24000933神火股份281.0210.230.631673
25600886国投电力267.1220.360.60884
26002966苏州银行242.1529.210.54748
27300181佐力药业233.1914.430.52222
28300483首华燃气200.6514.150.45150
29603369今世缘99.122.850.22507
30000333美的集团96.911.240.223536
31600519贵州茅台96.400.070.222963
32603198迎驾贡酒93.362.360.21279
33601319中国人保92.7210.360.211296
34600660福耀玻璃64.120.990.141726
35600674川投能源40.172.890.09782
36000423东阿阿胶39.260.800.09795
37601001晋控煤业39.192.980.09576
38000921海信家电38.211.540.09475
39000858五粮液38.140.360.091480
40000568泸州老窖37.190.320.081620
41600016民生银行5.941.550.01911
42001386马可波罗2.000.110.003525
43301667纳百川0.860.020.004230
44603175超颖电子0.820.020.004949
45601229上海银行0.400.040.001224