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持有 保利发展(600048)的基金
  报告期:2025-03-31
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(%)
1512200南方中证全指房地产ETF629,798,989.26  76,246,851.00    9.87
2003401工银可转债债券584,447,170.16  70,756,316.00    9.96
3006567中泰星元灵活配置混合329,675,895.36  39,912,336.00    5.22
4161721招商沪深300地产等权重指数分级280,575,688.26  33,968,001.00    23.05
5000746招商行业精选股票252,148,229.20  30,526,420.00    8.30
6002361国富恒瑞债券A246,632,135.12  29,858,612.00    3.68
7002362国富恒瑞债券C246,632,135.12  29,858,612.00    3.68
8004475华泰柏瑞富利混合221,623,234.00  26,830,900.00    4.49
9000880富国研究精选灵活配置混合221,584,255.06  26,826,181.00    4.89
10000991工银战略转型股票200,583,370.26  24,283,701.00    8.81
11001338安信稳健增值混合C168,392,622.16  20,386,516.00    1.47
12001316安信稳健增值混合A168,392,622.16  20,386,516.00    1.47
13450002国富弹性市值混合113,988,000.00  13,800,000.00    5.12
14004010华泰柏瑞鼎利混合A109,705,759.94  13,281,569.00    0.85
15004011华泰柏瑞鼎利混合C109,705,759.94  13,281,569.00    0.85
16006624中泰玉衡价值优选混合107,371,409.60  12,998,960.00    5.21
17450009国富中小盘股票99,120,000.00  12,000,000.00    3.07
18000251工银金融地产混合90,860,000.00  11,000,000.00    5.10
19160218国泰国证房地产行业指数分级72,382,479.12  8,763,012.00    13.59
20515060华夏中证全指房地产ETF69,549,852.54  8,420,079.00    9.81
21519690交银稳健配置混合A67,056,332.00  8,118,200.00    5.73
22009888广发稳健优选六个月持有期混合C64,124,032.00  7,763,200.00    4.05
23009887广发稳健优选六个月持有期混合A64,124,032.00  7,763,200.00    4.05
24003175华泰柏瑞多策略混合49,776,412.00  6,026,200.00    4.37
25270007广发大盘成长混合46,536,840.00  5,634,000.00    2.83
26519091新华泛资源优势混合38,063,732.00  4,608,200.00    6.07
27340008兴全有机增长混合37,103,920.00  4,492,000.00    3.15
28161728招商3年封闭运作战略配售混合(LOF)36,737,176.00  4,447,600.00    3.45
29166105信达澳银鑫安债券(LOF)36,482,239.36  4,416,736.00    1.00
30340001兴全可转债混合36,476,176.52  4,416,002.00    1.37
31070006嘉实服务增值行业混合34,948,497.78  4,231,053.00    3.52
32160628鹏华地产分级33,431,201.86  4,047,361.00    13.50
33240008华宝收益增长混合32,573,045.68  3,943,468.00    4.99
34010064圆信永丰兴研混合A27,935,320.00  3,382,000.00    3.94
35010065圆信永丰兴研混合C27,935,320.00  3,382,000.00    3.94
36020003国泰金龙行业混合25,235,126.00  3,055,100.00    3.06
37530006建信核心精选混合24,359,607.30  2,949,105.00    6.22
38001247华泰柏瑞新利混合A22,325,128.00  2,702,800.00    0.90
39002091华泰柏瑞新利混合C22,325,128.00  2,702,800.00    0.90
40519089新华优选成长混合22,105,420.26  2,676,201.00    6.07
41001583安信新常态股票21,594,787.06  2,614,381.00    3.07
42001043工银美丽城镇股票19,458,536.30  2,355,755.00    7.39
43002124广发新兴产业精选混合A18,999,652.00  2,300,200.00    2.87
44010433广发新兴产业精选混合C18,999,652.00  2,300,200.00    2.87
45001178前海开源再融资股票18,998,000.00  2,300,000.00    4.16
46001473建信大安全战略精选股票18,906,314.00  2,288,900.00    4.50
47005597建信战略精选灵活配置混合C17,040,553.46  2,063,021.00    5.50
48005596建信战略精选灵活配置混合A17,040,553.46  2,063,021.00    5.50
49040022华安可转债债券A16,344,888.00  1,978,800.00    0.24
50040023华安可转债债券B16,344,888.00  1,978,800.00    0.24
51002317招商睿逸混合15,926,932.00  1,928,200.00    5.97
52001118华宝事件驱动混合15,836,072.00  1,917,200.00    3.58
53163827中银产业债债券A15,119,104.00  1,830,400.00    0.50
54008936中银产业债债券C15,119,104.00  1,830,400.00    0.50
55000124华宝服务优选混合14,764,419.60  1,787,460.00    2.66
56217002招商安泰平衡混合13,079,710.00  1,583,500.00    7.28
57487021工银优质精选混合12,494,902.00  1,512,700.00    5.47
58009313前海联合价值优选混合C10,741,304.00  1,300,400.00    5.89
59009312前海联合价值优选混合A10,741,304.00  1,300,400.00    5.89
60003592华泰柏瑞享利混合C7,731,360.00  936,000.00    0.85
61003591华泰柏瑞享利混合A7,731,360.00  936,000.00    0.85
62001384东方新思路灵活配置混合A7,434,000.00  900,000.00    6.67
63001385东方新思路灵活配置混合C7,434,000.00  900,000.00    6.67
64006289华夏养老2040三年持有混合(FOF)7,222,544.00  874,400.00    0.47
65010430招商安阳债券A7,124,250.00  862,500.00    0.33
66010431招商安阳债券C7,124,250.00  862,500.00    0.33
67010123华泰柏瑞优势领航混合C6,231,344.00  754,400.00    2.58
68010122华泰柏瑞优势领航混合A6,231,344.00  754,400.00    2.58
69501051圆信永丰汇利混合(LOF)6,011,628.00  727,800.00    3.79
70006650招商安庆债券5,591,194.00  676,900.00    3.61
71560003益民创新优势混合4,609,080.00  558,000.00    1.20
72004975交银恒益灵活配置混合3,536,106.00  428,100.00    0.67
73007893平安估值精选混合A3,469,200.00  420,000.00    3.23
74007894平安估值精选混合C3,469,200.00  420,000.00    3.23
75002594工银现代服务业混合2,714,236.00  328,600.00    1.94
76008477安信价值驱动三年持有混合2,535,745.66  306,991.00    3.37
77009590东方盛世灵活配置混合C2,179,814.00  263,900.00    3.01
78002497东方盛世灵活配置混合A2,179,814.00  263,900.00    3.01
79005445华宝价值发现混合2,012,136.00  243,600.00    2.69
80006564圆信永丰精选回报混合1,996,442.00  241,700.00    3.86
81002561东吴安鑫量化混合1,914,668.00  231,800.00    2.70
82004205东方支柱产业灵活配置混合1,817,200.00  220,000.00    4.48
83004937中航混改精选混合C1,812,244.00  219,400.00    9.45
84004936中航混改精选混合A1,812,244.00  219,400.00    9.45
85005323前海开源泽鑫混合A1,696,604.00  205,400.00    1.84
86005324前海开源泽鑫混合C1,696,604.00  205,400.00    1.84
87002844金鹰多元策略混合1,692,474.00  204,900.00    2.56
88009266鹏扬景合六个月混合1,675,954.00  202,900.00    0.55
89000417国联安新精选混合1,528,100.00  185,000.00    3.81
90009672平安恒泽混合C1,512,406.00  183,100.00    3.11
91009671平安恒泽混合A1,512,406.00  183,100.00    3.11
92005665鹏扬景欣混合C1,271,214.00  153,900.00    0.57
93005664鹏扬景欣混合A1,271,214.00  153,900.00    0.57
94009999东方中国红利混合1,239,000.00  150,000.00    4.03
95000056建信消费升级混合949,074.00  114,900.00    1.99
96002159东吴国企改革混合780,570.00  94,500.00    5.47
97005219华夏聚惠(FOF)C750,834.00  90,900.00    0.44
98005218华夏聚惠(FOF)A750,834.00  90,900.00    0.44
99004158信诚至诚混合B581,504.00  70,400.00    6.46
100004157信诚至诚混合A581,504.00  70,400.00    6.46
101007652华夏稳健养老一年持有混合(FOF)413,000.00  50,000.00    0.54
102008089华夏中证全指房地产ETF联接C322,140.00  39,000.00    0.10
103008088华夏中证全指房地产ETF联接A322,140.00  39,000.00    0.10
104660009农银增强收益债券A198,240.00  24,000.00    0.48
105660109农银增强收益债券C198,240.00  24,000.00    0.48