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持有 紫金矿业(02899)的基金
  报告期:2024-12-31
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(%)
1002685中欧丰泓沪港深灵活配置混合A209,507,289.60  16,000,000.00    7.41
2002686中欧丰泓沪港深灵活配置混合C209,507,289.60  16,000,000.00    7.41
3002121广发沪港深新起点股票A182,192,776.71  13,914,000.00    5.63
4010024广发沪港深新起点股票C182,192,776.71  13,914,000.00    5.63
5501054东方红睿泽三年定开混合110,243,980.00  8,422,000.00    2.33
6501050华夏上证50AH优选指数(LOF)A67,330,405.20  5,142,000.00    2.78
7006395华夏上证50AH优选指数(LOF)C67,330,405.20  5,142,000.00    2.78
8169104东方红睿满沪港深混合(LOF)52,647,980.00  4,022,000.00    2.32
9005644广发沪港深龙头混合41,796,704.28  3,192,000.00    6.11
10008892安信价值成长混合C20,296,581.73  1,550,043.00    8.65
11008891安信价值成长混合A20,296,581.73  1,550,043.00    8.65
12004496前海开源多元策略混合A19,510,366.34  1,490,000.00    3.62
13004497前海开源多元策略混合C19,510,366.34  1,490,000.00    3.62
14004814中欧红利优享灵活配置混合A17,671,500.00  1,350,000.00    0.39
15004815中欧红利优享灵活配置混合C17,671,500.00  1,350,000.00    0.39
16008488华商恒益稳健混合12,845,873.99  981,035.00    2.90
17008468博道嘉瑞混合C9,637,335.32  736,000.00    1.70
18008467博道嘉瑞混合A9,637,335.32  736,000.00    1.70
19007193恒越核心精选混合C9,634,240.00  736,000.00    1.06
20006299恒越核心精选混合A9,634,240.00  736,000.00    1.06
21009880安信成长动力一年持有混合8,773,117.75  670,000.00    7.40
22501088嘉实瑞虹三年定期混合8,380,291.58  640,000.00    1.53
23007895嘉实价值成长混合7,830,334.95  598,000.00    1.77
24007063长盛研发回报混合1,309,420.56  100,000.00    2.78
25001902前海开源沪港深隆鑫混合C1,126,101.68  86,000.00    2.07
26001901前海开源沪港深隆鑫混合A1,126,101.68  86,000.00    2.07
27008861西部利得港股通新机遇混合A785,652.34  60,000.00    3.02
28010093西部利得港股通新机遇混合C785,652.34  60,000.00    3.02
29005847富国沪港深业绩驱动混合733,040.00  56,000.00    0.02
30009842东方红明鉴优选定开混合209,507.20  16,000.00    0.29