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

申万菱信竞争优势混合A(310368)

2026-09-24     2.1655-0.4551%
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)
1000811冰轮环境276.044.915.77824
2603986兆易创新195.600.244.094016
3600938中国海油183.266.753.831977
4300408三环集团180.251.083.773604
5600674川投能源169.1911.943.531090
6300308中际旭创165.100.133.456529
7600188兖矿能源162.249.133.391366
8002353杰瑞股份157.081.033.282467
9000333美的集团143.511.903.003213
10000157中联重科135.7119.472.831127
11601077渝农商行134.6022.032.811276
12600926杭州银行127.458.822.661306
13300394天孚通信127.130.422.663025
14002463沪电股份123.770.812.593066
15301307美利信122.721.632.56237
16600183生益科技119.650.692.503420
17600498烽火通信113.341.542.371019
18688359三孚新科109.320.552.28343
19600901江苏金租106.7818.572.23790
20002938鹏鼎控股106.431.012.221850
21300620光库科技86.990.231.821103
22300502新易盛84.980.141.785240
23601318中国平安81.641.711.712736
24601168西部矿业79.522.931.661293
25002436兴森科技77.441.521.621285
26601208东材科技77.161.091.61827
27688110东芯股份74.170.361.551054
28688337普源精电69.420.931.45397
29600801华新建材64.904.161.361133
30601137博威合金63.862.861.33238
31002831裕同科技60.321.701.26694
32603067振华股份53.701.161.12700
33000408藏格矿业51.990.751.091748
34000725京东方A49.915.751.042268
35000100TCL科技49.828.561.041984
36002138顺络电子48.250.661.011503
37300751迈为股份48.020.171.001280
38688143长盈通41.740.240.87461
39600031三一重工40.782.360.852206
40601061中信金属39.423.660.82539
41000425徐工机械39.244.850.821860
42002080中材科技35.100.390.731678
43600388紫金龙净33.612.310.70354
44601872招商轮船32.331.840.681890
45600549厦门钨业31.520.370.662355
46603199九华旅游3.740.120.08254