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

广发医疗指数分级B(502058)

2020-08-20     1.5360-0.7046%
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)
1603259药明康德784.927.379.993
2300760迈瑞医疗704.242.198.973
3300015爱尔眼科662.5814.308.443
4300347泰格医药392.433.735.003
5002044美年健康351.9419.954.483
6300003乐普医疗340.158.884.333
7600763通策医疗292.151.423.723
8300253卫宁健康265.1912.423.383
9300529健帆生物202.442.902.583
10600529山东药玻182.673.492.333
11603882金域医学171.701.702.193
12300676华大基因169.871.182.163
13002030达安基因167.714.482.143
14002223鱼跃医疗160.124.402.043
15300677英科医疗152.580.961.943
16300759康龙化成143.711.461.833
17603658安图生物140.140.941.783
18300463迈克生物138.992.841.773
19300244迪安诊断138.783.181.773
20300595欧普康视138.382.231.763
21300482万孚生物138.311.521.763
22300326凯利泰132.955.281.693
23002382蓝帆医疗106.913.541.363
24000710贝瑞基因102.701.581.313
25300451创业慧康90.605.651.153
26300685艾德生物79.540.971.013
27300298三诺生物78.292.071.003
28000503国新健康65.945.250.843
29002022科华生物61.583.000.783
30603127昭衍新药60.150.690.773
31300149睿智医药55.022.580.703
32300206理邦仪器48.242.130.613
33300639凯普生物43.030.820.553
34300238冠昊生物42.921.570.553
35600587新华医疗42.252.380.543
36300406九强生物42.231.840.543
37002950奥美医疗39.901.410.513
38603108润达医疗38.692.560.493
39300633开立医疗37.441.200.483
40300273和佳医疗37.234.630.473
41600055万东医疗36.332.380.463
42603990麦迪科技35.230.780.453
43603387基蛋生物34.670.950.443
44300653正海生物33.170.460.423
45002524光正眼科32.932.660.423
46002901大博医疗30.260.310.393
47002551尚荣医疗29.463.610.383
48300396迪瑞医疗23.440.850.303
49300870欧陆通22.140.230.283
50603367辰欣药业21.941.340.283
51000150宜华健康13.773.840.183
52300877金春股份12.190.120.163
53300871回盛生物11.610.150.153
54300868杰美特8.220.100.103
55300873海晨股份7.250.090.093
56300864南大环境7.060.040.093
57300880迦南智能3.630.370.053
58605123派克新材2.620.060.033
59300881盛德鑫泰2.260.160.033
60603155新亚强2.190.070.033
61603931格林达1.940.040.023
62300879大叶股份1.900.180.023
63605255天普股份0.970.050.013
64605008长鸿高科0.850.050.013
65605006山东玻纤0.620.160.013
66605333沪光股份0.580.050.013
67002996顺博合金0.360.040.003