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

湘财研究精选一年持有期混合C(016782)

2026-09-11     1.0590-0.7684%
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)
1600900长江电力114.884.343.592124
2300498温氏股份109.408.883.41917
3300761立华股份109.366.663.41422
4002352顺丰控股102.853.293.211132
5600036招商银行96.922.733.022249
6601166兴业银行96.715.843.021791
7601211国泰海通82.814.552.582079
8002541鸿路钢构81.584.712.55421
9601117中国化学72.919.922.281107
10002714牧原股份68.231.952.131677
11300888稳健医疗59.342.121.85323
12002100天康生物58.249.231.82272
13601898中煤能源55.914.591.741090
14601111中国国航55.789.221.741009
15600415小商品城55.075.421.72888
16601377兴业证券42.106.971.31693
17600019宝钢股份37.686.941.181217
18605296神农集团35.691.281.11121
19600674川投能源35.432.501.111090
20600030中信证券34.481.201.082480
21603885吉祥航空32.103.121.00643
22601878浙商证券31.453.310.98397
23600323瀚蓝环境30.481.110.95942
24601628中国人寿29.340.830.921306
25000932华菱钢铁28.428.190.89756
26600958东方证券27.092.870.85531
27600000浦发银行25.402.950.79928
28601658邮储银行23.574.780.741136
29600150中国船舶22.640.670.712269
30601009南京银行21.662.190.681464
31600690海尔智家21.231.040.661642
32600258首旅酒店18.021.650.56634
33601665齐鲁银行16.732.900.521010
34600016民生银行15.714.880.49761
35600256广汇能源15.463.130.48641
36601688华泰证券15.050.730.471797
37000425徐工机械14.561.800.451860
38601528瑞丰银行13.042.950.41131
39000001平安银行11.361.130.351291
40601816京沪高铁11.142.460.351197
41002966苏州银行8.911.280.28700
42600908无锡银行8.691.710.27312
43002078太阳纸业8.240.660.261209
44002736国信证券7.890.790.25602
45600886国投电力7.190.540.221141
46601021春秋航空5.470.120.17880
47603323苏农银行4.641.200.14294
48600926杭州银行4.620.320.141306
49601328交通银行4.440.690.141434
50600298安琪酵母3.980.110.12871
51000528柳工3.550.470.11450
52002807江阴银行3.470.940.11231
53600309万华化学3.420.050.112794
54603393新天然气2.780.130.09283
55600928西安银行1.600.490.05168
56002311海大集团1.340.030.041187
57600754锦江酒店1.080.060.03756
58601169北京银行1.080.220.03791