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

华安聚弘精选混合A(012234)

2026-01-06     0.75821.7036%
十大重仓股
截止日期:  
 查询其他基金该项数据
报表日期2025-09-30
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%) 其它基金持有(家)
1603799华友钴业10,355.46157.148.79663
2300750宁德时代6,010.3014.955.103739
309988阿里巴巴-W5,353.7233.134.551967
4605499东鹏饮料5,102.5916.804.33231
501519极兔速递-W4,837.70541.804.1186
6002049紫光国微4,743.0852.524.03187
7002468申通快递4,533.71253.283.8590
8600233圆通速递4,501.81245.333.82171
9002245蔚蓝锂芯4,376.77218.623.7252
10601899紫金矿业4,333.27147.193.682895
报表日期2025-06-30
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%) 其它基金持有(家)
1603799华友钴业10,355.46157.148.79663
2300750宁德时代6,010.3014.955.103739
309988阿里巴巴-W5,353.7233.134.551967
4605499东鹏饮料5,102.5916.804.33231
501519极兔速递-W4,837.70541.804.1186
6002049紫光国微4,743.0852.524.03187
7002468申通快递4,533.71253.283.8590
8600233圆通速递4,501.81245.333.82171
9002245蔚蓝锂芯4,376.77218.623.7252
10601899紫金矿业4,333.27147.193.682895
报表日期2025-03-31
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%) 其它基金持有(家)
1000651格力电器6,474.41142.425.851037
2600941中国移动5,736.2453.435.18737
3603087甘李药业4,507.92100.044.0741
4002179中航光电4,346.18105.933.93295
501585雅迪控股4,230.58303.603.82106
6000403派林生物3,914.20181.553.5421
7300750宁德时代3,614.5114.293.273219
800175吉利汽车3,521.11229.303.18235
9600276恒瑞医药3,084.3562.692.79894
10688122西部超导3,076.6966.382.78125