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

()

     %
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(%)
1920964润农节水5,247.1312.87
2920371欧福蛋业3,930.929.64
3920429康比特3,802.389.33
4920403康农种业3,216.897.89
5920576天力复合3,077.427.55
6920419路斯股份2,965.137.27
7920476海能技术2,961.547.26
8920640富士达2,661.296.53
9920522纳科诺尔2,580.406.33
10601872招商轮船2,549.356.25
11920571国航远洋2,491.166.11
12920273一致魔芋2,457.086.03
13920060万源通2,259.255.54
14920735德源药业2,006.164.92
15600026中远海能1,963.954.82
16600397江钨装备1,872.024.59
17920047诺思兰德1,841.344.52
18920491奥迪威1,776.844.36
19000737诺安聚利债券C1,747.534.29
20000737北方铜业1,747.534.29
21920418苏轴股份1,596.013.91
22600988赤峰黄金1,547.093.79
23920982锦波生物1,296.013.18
24920510丰光精密1,157.102.84
25000603易方达创新驱动混合1,150.792.82
26000603盛达资源1,150.792.82
27920689克莱特1,010.112.48
28920221易实精密981.812.41
29920174五新隧装879.502.16
30920208青矩技术861.022.11
31920058华洋赛车836.052.05
32920271邦德股份824.512.02
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(%)
1920982锦波生物5,887.4014.44
2920174五新隧装4,440.1910.89
3920273一致魔芋4,012.779.84
4920576天力复合3,834.059.40
5920689克莱特3,653.668.96
6920571国航远洋3,346.278.21
7920418苏轴股份3,149.967.73
8920839万通液压2,954.627.25
9920208青矩技术2,736.066.71
10920403康农种业2,575.666.32
11000737诺安聚利债券C2,463.826.04
12000737北方铜业2,463.826.04
13920640富士达2,454.256.02
14920062科润智控2,401.185.89
15000933前海开源睿远稳健增利混合C1,819.464.46
16000933神火股份1,819.464.46
17920694中裕科技1,789.534.39
18603993洛阳钼业1,683.684.13
19920060万源通1,405.403.45
20920510丰光精密1,318.863.23
21920476海能技术1,314.803.22
22920271邦德股份1,276.303.13
23601872招商轮船1,241.813.05
24920058华洋赛车1,179.722.89
25920599同力股份1,145.492.81
26920429康比特1,140.582.80
27920978开特股份989.682.43
28000603易方达创新驱动混合953.012.34
29000603盛达资源953.012.34
30920564天润科技943.492.31
31601600中国铝业941.312.31
32920491奥迪威907.752.23
33601899紫金矿业899.482.21
34920522纳科诺尔895.882.20
35000426大成信用增利一年债券A846.262.08
36000426兴业银锡846.262.08
37600938中国海油828.652.03