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

东吴行业轮动混合(580003)

2020-10-26     1.06410.9295%
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)
1002475立讯精密3,196.6362.257.222298
2300014亿纬锂能3,095.4364.696.99998
3603939益丰药房2,675.7629.406.04550
4600276恒瑞医药2,215.3324.005.002009
5300015爱尔眼科2,210.9950.894.99941
6603658安图生物1,777.0910.944.01555
7300760迈瑞医疗1,595.755.223.601470
8601012隆基股份1,524.4037.433.441441
9300628亿联网络1,439.6021.093.25597
10000002万科A1,375.7552.633.111511
11600009上海机场1,362.8418.913.08873
12002142宁波银行1,359.7451.763.071111
13600036招商银行1,359.2840.313.071551
14000651格力电器1,356.5523.983.061706
15300463迈克生物1,273.4921.872.88319
16601318中国平安1,218.0817.062.751759
17002456欧菲光1,154.1662.762.61449
18603986兆易创新1,084.554.602.45988
19603501韦尔股份1,058.225.242.39691
20002241歌尔股份840.5828.631.901160
21600745闻泰科技812.386.451.83837
22300709精研科技801.228.331.81153
23300451创业慧康747.7440.441.69398
24600183生益科技734.6825.101.66934
25300770新媒股份709.003.171.60365
26300383光环新网599.3522.991.35512
27000977浪潮信息496.3012.671.12928
28300347泰格医药487.504.791.10915
29601888中国中免474.413.081.071240
30600436片仔癀463.082.721.05598
31603259药明康德450.164.661.021602
32002507涪陵榨菜339.939.440.77530
33600519贵州茅台321.830.220.732430
34600305恒顺醋业246.2313.270.56224
35688090瑞松科技17.910.300.04239
36688377迪威尔12.960.790.032537
37603087甘李药业10.790.110.023564
38688027国盾量子10.240.280.022473
39688600皖仪科技8.480.550.022367
40300824北鼎股份2.680.200.012004
41300842帝科股份1.850.050.003651
42600956新天绿能1.280.250.003672
43300839博汇股份1.180.050.003590
44300847中船汉光0.990.140.002139
45300845捷安高科0.830.050.003624
46300843胜蓝股份0.750.080.003668
47300840酷特智能0.700.120.003559
48300846首都在线0.380.110.003700