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持有 森麒麟(002984)的基金
  报告期:2022-12-31
序号 基金代码 基金简称 持仓市值(元) 持仓数量(股) 占基金净值比例(%)
1001887中欧价值智选混合E400,437,436.02  13,005,438.00    3.64
2166019中欧价值智选混合A400,437,436.02  13,005,438.00    3.64
3004235中欧价值智选混合C400,437,436.02  13,005,438.00    3.64
4004241中欧时代先锋股票C306,187,614.15  9,944,385.00    1.97
5001938中欧时代先锋股票A306,187,614.15  9,944,385.00    1.97
6005739富国转型机遇混合206,111,492.95  6,694,105.00    5.02
7519133海富通改革驱动混合174,102,024.21  5,654,499.00    1.72
8166025中欧远见两年定期开放混合A123,948,224.00  4,025,600.00    2.68
9007101中欧远见两年定期开放混合C123,948,224.00  4,025,600.00    2.68
10590003中邮核心优势混合117,294,258.68  3,809,492.00    6.17
11006528富国优质发展混合C113,789,155.87  3,695,653.00    4.98
12006527富国优质发展混合A113,789,155.87  3,695,653.00    4.98
13100056富国低碳环保混合95,397,303.59  3,098,321.00    5.00
14000729建信中小盘先锋股票56,358,016.00  1,830,400.00    1.34
15001349富国改革动力混合48,872,720.68  1,587,292.00    3.16
16004848中欧睿泓定期开放混合38,992,456.00  1,266,400.00    3.09
17519003海富通收益增长混合38,167,284.00  1,239,600.00    1.26
18009274融通健康产业灵活配置混合C37,291,400.87  1,211,153.00    0.41
19000727融通健康产业灵活配置混合A37,291,400.87  1,211,153.00    0.41
20000756建信潜力新蓝筹股票36,926,447.00  1,199,300.00    1.42
21010118天弘多元收益债券A35,964,598.19  1,168,061.00    0.70
22010119天弘多元收益债券C35,964,598.19  1,168,061.00    0.70
23010062南方行业精选一年混合A34,268,069.19  1,112,961.00    1.26
24010063南方行业精选一年混合C34,268,069.19  1,112,961.00    1.26
25530005建信优化配置混合30,257,333.00  982,700.00    1.25
26070013嘉实研究精选混合A29,986,381.00  973,900.00    2.37
27100060富国高新技术产业混合28,733,228.00  933,200.00    1.96
28005242中欧时代智慧混合C25,620,359.00  832,100.00    2.79
29005241中欧时代智慧混合A25,620,359.00  832,100.00    2.79
30590008中邮战略新兴产业混合23,092,500.00  750,000.00    3.14
31007128天弘增强回报债券A22,907,760.00  744,000.00    0.25
32007129天弘增强回报债券C22,907,760.00  744,000.00    0.25
33009735天弘增强回报债券E22,907,760.00  744,000.00    0.25
34519068汇添富成长焦点混合20,367,585.00  661,500.00    0.44
35009970财通内需增长12个月定开混合19,446,964.00  631,600.00    2.19
36007345富国科技创新灵活配置混合17,495,278.27  568,213.00    1.98
37512100南方中证1000ETF16,946,816.00  550,400.00    0.16
38160718嘉实多利分级债券16,769,927.45  544,655.00    0.34
39003501泰达睿智稳健混合15,983,089.00  519,100.00    1.05
40002450平安睿享文娱混合A15,546,825.49  504,931.00    2.67
41002451平安睿享文娱混合C15,546,825.49  504,931.00    2.67
42001222鹏华外延成长混合13,292,043.00  431,700.00    0.87
43010109富国价值增长混合13,282,806.00  431,400.00    1.00
44005297南华丰淳混合C12,867,141.00  417,900.00    2.97
45005296南华丰淳混合A12,867,141.00  417,900.00    2.97
46004232中欧价值发现混合C12,315,476.57  399,983.00    0.36
47166005中欧价值发现混合A12,315,476.57  399,983.00    0.36
48001882中欧价值发现混合E12,315,476.57  399,983.00    0.36
49470018汇添富双利债券A11,995,784.00  389,600.00    0.10
50000692汇添富双利债券C11,995,784.00  389,600.00    0.10
51010080中欧优势成长混合11,669,410.00  379,000.00    0.92
52006100平安优势产业混合A11,293,710.42  366,798.00    2.26
53006101平安优势产业混合C11,293,710.42  366,798.00    2.26
54008140汇添富绝对收益定开混合C11,120,424.30  361,170.00    0.15
55000762汇添富绝对收益定开混合A11,120,424.30  361,170.00    0.15
56162204泰达宏利行业混合11,105,953.00  360,700.00    0.89
57010127平安价值成长混合C9,578,769.00  311,100.00    2.11
58010126平安价值成长混合A9,578,769.00  311,100.00    2.11
59007734南方智锐混合C9,270,869.00  301,100.00    1.54
60007733南方智锐混合A9,270,869.00  301,100.00    1.54
61005206南方优选成长混合C9,238,570.29  300,051.00    0.25
62202023南方优选成长混合A9,238,570.29  300,051.00    0.25
63000823银华高端制造业混合8,214,772.00  266,800.00    1.46
64010044天弘安康颐和混合C7,943,820.00  258,000.00    0.50
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