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

景顺资源垄断混合A(162607)

2025-06-12     0.4410-0.2262%
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(%)
1000100TCL科技20,889.5911.51
2600153建发股份12,335.836.80
3002497东方盛世灵活配置混合A11,756.746.48
4002497雅化集团11,756.746.48
5600383金地集团10,021.565.52
6001979南方沪港深价值混合9,904.885.46
7001979招商蛇口9,904.885.46
8601155新城控股9,705.625.35
9300633开立医疗8,682.314.78
10000039农银高增长混合8,386.834.62
11000039中集集团8,386.834.62
12600079人福医药7,957.404.38
13002372大成景穗灵活配置混合C7,325.674.04
14002372伟星新材7,325.674.04
15002410华夏新活力混合C7,260.534.00
16002410广联达7,260.534.00
17002714鹏华金城混合D7,225.993.98
18002714牧原股份7,225.993.98
19600325华发股份6,910.303.81
20603737三棵树6,283.433.46
21002271招商安弘灵活配置混合6,000.693.31
22002271东方雨虹6,000.693.31
23002541招商丰和混合C5,436.373.00
24002541鸿路钢构5,436.373.00
25600048保利发展5,393.862.97
26002597兴业成长动力混合A4,796.572.64
27002597金禾实业4,796.572.64
28000560诺安天天宝货币E3,950.562.18
29000560我爱我家3,950.562.18
30688019安集科技3,890.442.14
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(%)
1001979南方沪港深价值混合22,457.4212.37
2001979招商蛇口22,457.4212.37
3600150中国船舶19,632.6810.82
4000100TCL科技13,826.217.62
5600685中船防务10,496.185.78
6600079人福医药9,435.135.20
7600325华发股份8,957.894.94
8002714鹏华金城混合D8,859.844.88
9002714牧原股份8,859.844.88
10002244景顺长城低碳科技主题混合8,484.694.68
11002244滨江集团8,484.694.68
12000560诺安天天宝货币E8,394.564.63
13000560我爱我家8,394.564.63
14603737三棵树8,176.954.51
15600383金地集团7,516.094.14
16000039农银高增长混合7,374.674.06
17000039中集集团7,374.674.06
18603882金域医学6,388.503.52
19002597兴业成长动力混合A5,135.682.83
20002597金禾实业5,135.682.83
21688019安集科技4,931.362.72
22600048保利发展4,895.132.70
23002262中银宝利混合C4,801.122.65
24002262恩华药业4,801.122.65
25601155新城控股4,580.512.52
26002410华夏新活力混合C4,317.252.38
27002410广联达4,317.252.38
28002738泓德裕康债券A4,186.512.31
29002738中矿资源4,186.512.31
30300737科顺股份3,848.592.12
31002372大成景穗灵活配置混合C3,829.882.11
32002372伟星新材3,829.882.11