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持有 锦浪科技(300763)的基金
  报告期:2022-09-30
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(%)
1004997广发高端制造股票A1,274,085,417.15  5,766,397.00    9.25
2010160广发高端制造股票C1,274,085,417.15  5,766,397.00    9.25
3009132广发小盘成长混合(LOF)C893,302,175.70  4,043,006.00    8.47
4162703广发小盘成长混合(LOF)A893,302,175.70  4,043,006.00    8.47
5002132广发鑫享混合653,756,802.75  2,958,845.00    9.26
6002420汇添富盈鑫混合398,367,105.30  1,802,974.00    8.77
7001811中欧明睿新常态混合A389,651,712.25  1,800,855.00    6.03
8005765中欧明睿新常态混合C389,651,712.25  1,800,855.00    6.03
9004813中欧先进制造股票C307,986,624.00  1,393,920.00    5.45
10004812中欧先进制造股票A307,986,624.00  1,393,920.00    5.45
11270028广发制造业精选混合A266,465,258.10  1,205,998.00    5.84
12010023广发制造业精选混合C266,465,258.10  1,205,998.00    5.84
13009273融通中国风1号灵活配置混合C198,889,689.15  900,157.00    7.12
14001852融通中国风1号灵活配置混合A198,889,689.15  900,157.00    7.12
15960024嘉实成长收益混合H178,436,789.55  807,589.00    7.95
16070001嘉实成长收益混合A178,436,789.55  807,589.00    7.95
17002296长城行业轮动混合166,464,392.85  753,403.00    4.91
18010113广发研究精选股票C161,254,417.50  744,650.00    8.17
19010112广发研究精选股票A161,254,417.50  744,650.00    8.17
20003835鹏华沪深港新兴成长混合148,317,990.30  671,274.00    3.47
21470021汇添富优选回报混合A143,617,500.00  650,000.00    9.38
22002418汇添富优选回报混合C143,617,500.00  650,000.00    9.38
23070099嘉实优质企业混合131,335,110.45  594,411.00    7.87
24005969创金合信工业周期股票C129,206,700.00  630,000.00    3.09
25005968创金合信工业周期股票A129,206,700.00  630,000.00    3.09
26001000中欧明睿新起点混合128,359,797.75  580,945.00    5.05
27007887东方红启元三年持有混合B116,987,501.25  529,475.00    1.86
28910007东方红启元三年持有混合A116,987,501.25  529,475.00    1.86
29001476中银智能制造股票113,708,603.25  514,635.00    5.69
30008150嘉实远见企业精选两年持有期混合111,007,489.50  502,410.00    8.42
31010275嘉实优质精选混合A110,419,541.55  499,749.00    8.31
32010276嘉实优质精选混合C110,419,541.55  499,749.00    8.31
33163803中银增长混合A109,788,240.34  523,126.00    5.96
34960011中银增长混合H109,788,240.34  523,126.00    5.96
35159967华夏创成长ETF107,329,555.80  485,764.00    3.92
36002124广发新兴产业精选混合A103,887,375.75  470,185.00    3.66
37010433广发新兴产业精选混合C103,887,375.75  470,185.00    3.66
38000126招商安润灵活配置混合96,899,832.00  438,560.00    7.53
39163807中银优选混合84,831,598.58  405,802.00    2.50
40501078广发科创主题3年封闭混合83,062,175.40  375,932.00    6.51
41010481汇添富高质量成长精选2年持有混合78,127,920.00  353,600.00    2.51
42008208博道嘉泰回报混合76,461,736.05  346,059.00    5.90
43000327南方新蓝筹混合71,550,680.40  323,832.00    2.76
44008467博道嘉瑞混合A71,177,274.90  322,142.00    5.06
45008468博道嘉瑞混合C71,177,274.90  322,142.00    5.06
46501095中银证券科技创新3年封闭混合65,442,075.75  296,185.00    7.60
47001879长城创业板指数增强发起式A61,013,133.00  276,140.00    5.01
48006928长城创业板指数增强发起式C61,013,133.00  276,140.00    5.01
49001035中银恒利半年定期开放债券58,829,705.10  266,258.00    2.04
50001471融通新能源灵活配置混合53,856,562.50  243,750.00    8.11
51162720广发创业板两年定开混合52,874,881.65  239,307.00    8.35
52010147博道嘉兴一年持有期混合52,744,079.25  238,715.00    4.74
53000338鹏华双债保利债券51,562,438.65  233,367.00    0.50
54000143鹏华双债加利债券45,825,030.00  207,400.00    0.49
55000190中银新回报混合A44,232,142.46  215,494.00    1.51
56010172中银新回报混合C44,232,142.46  215,494.00    1.51
57007163浦银安盛环保新能源混合A41,198,999.85  186,463.00    4.92
58007164浦银安盛环保新能源混合C41,198,999.85  186,463.00    4.92
59008793博道嘉元混合A40,533,719.40  183,452.00    5.37
60008794博道嘉元混合C40,533,719.40  183,452.00    5.37
61001809中信建投智信物联网混合A39,771,000.00  180,000.00    4.62
62004636中信建投智信物联网混合C39,771,000.00  180,000.00    4.62
63001210天弘互联网混合35,617,360.95  161,201.00    4.42
64010330东吴兴享成长混合34,375,180.05  155,579.00    3.05