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

交银启道混合(010483)

2025-06-23     0.67840.2068%
持仓重大变化
截止日期:  
 查询其他基金该项数据
序号 股票代码 股票简称 累计买入金额(万元) 占期初净值比例(%)
109992泡泡玛特10,675.945.05
202899紫金矿业5,101.422.41
3601899紫金矿业2,590.861.22
4601088中国神华6,197.652.93
5600030中信证券2,859.781.35
606030中信证券2,744.991.30
709988阿里巴巴-W5,459.222.58
8000858五粮液5,029.412.38
902359药明康德4,537.132.14
10001979南方沪港深价值混合4,161.991.97
11001979招商蛇口4,161.991.97
12002517招商丰达混合C4,105.221.94
13002517恺英网络4,105.221.94
1401109华润置地4,034.491.91
15688111金山办公3,869.211.83
1603968招商银行3,624.461.71
17000596前海开源中证军工指数A3,473.781.64
1800059696国债⑸3,473.781.64
19000596古井贡酒3,473.781.64
20301363美好医疗3,432.591.62
2100291华润啤酒3,052.321.44
2202331李宁2,986.791.41
2300700腾讯控股2,851.801.35
24300308中际旭创2,792.351.32
25601888中国中免2,560.741.21
2609626哔哩哔哩-W2,548.331.20
序号 股票代码 股票简称 累计卖出金额(万元) 占期初净值比例(%)
1002460华夏鼎利债券C7,423.373.51
2002460赣锋锂业7,423.373.51
301772赣锋锂业224.470.11
4300750宁德时代7,155.613.38
509992泡泡玛特6,728.613.18
6601088中国神华6,216.182.94
7601888中国中免5,444.372.57
8300996普联软件4,906.202.32
9603259药明康德4,718.862.23
10603806福斯特4,087.861.93
11300059东方财富4,028.401.90
12002415融通通盈灵活配置混合3,957.131.87
13002415海康威视3,957.131.87
1402899紫金矿业1,139.580.54
15601899紫金矿业2,614.351.24
16600060海信视像3,716.091.76
17300015爱尔眼科3,626.571.71
1803690美团-W3,622.581.71
19600030中信证券3,540.151.67
20601012隆基绿能3,522.991.67
2102269药明生物3,325.591.57
22300308中际旭创3,238.001.53
23600845宝信软件3,198.281.51
24688111金山办公3,120.291.48