持有 陕西煤业(601225)的基金 |
报告期:2023-03-31 |
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(%) |
1 | 515220 | 国泰中证煤炭ETF | 423,308,838.96 | 20,811,644.00 | 10.96 |
2 | 001316 | 安信稳健增值混合A | 416,970,813.60 | 20,500,040.00 | 2.57 |
3 | 001338 | 安信稳健增值混合C | 416,970,813.60 | 20,500,040.00 | 2.57 |
4 | 009100 | 安信稳健增利混合A | 389,511,467.82 | 19,150,023.00 | 2.73 |
5 | 009101 | 安信稳健增利混合C | 389,511,467.82 | 19,150,023.00 | 2.73 |
6 | 000385 | 景顺长城景颐双利债券A | 354,092,591.88 | 17,408,682.00 | 1.34 |
7 | 000386 | 景顺长城景颐双利债券C | 354,092,591.88 | 17,408,682.00 | 1.34 |
8 | 161032 | 富国中证煤炭指数分级 | 232,548,908.22 | 11,433,083.00 | 10.41 |
9 | 240022 | 华宝资源优选混合 | 183,060,000.00 | 9,000,000.00 | 9.84 |
10 | 001832 | 易方达瑞恒混合 | 181,877,798.52 | 8,941,878.00 | 4.33 |
11 | 110025 | 易方达资源行业混合 | 168,117,829.20 | 8,265,380.00 | 9.31 |
12 | 519212 | 万家宏观择时多策略混合 | 163,843,601.94 | 8,055,241.00 | 9.82 |
13 | 000925 | 汇添富外延增长主题股票 | 145,815,426.00 | 7,168,900.00 | 8.73 |
14 | 519191 | 万家新利灵活配置混合 | 98,328,217.86 | 4,834,229.00 | 9.86 |
15 | 004740 | 中欧瑞丰灵活配置混合(LOF)C | 98,185,837.86 | 4,827,229.00 | 4.26 |
16 | 166023 | 中欧瑞丰灵活配置混合(LOF)A | 98,185,837.86 | 4,827,229.00 | 4.26 |
17 | 519185 | 万家精选混合 | 88,716,672.90 | 4,361,685.00 | 9.85 |
18 | 008810 | 安信民稳增长混合C | 86,750,100.00 | 4,265,000.00 | 5.44 |
19 | 008809 | 安信民稳增长混合A | 86,750,100.00 | 4,265,000.00 | 5.44 |
20 | 002066 | 景顺长城景盛双息收益债券C | 84,006,640.80 | 4,130,120.00 | 0.79 |
21 | 002065 | 景顺长城景盛双息收益债券A | 84,006,640.80 | 4,130,120.00 | 0.79 |
22 | 161728 | 招商3年封闭运作战略配售混合(LOF) | 75,495,978.00 | 3,711,700.00 | 5.83 |
23 | 168204 | 中融中证煤炭指数分级 | 74,895,541.20 | 3,682,180.00 | 10.14 |
24 | 710001 | 富安达优势成长混合 | 74,556,270.00 | 3,665,500.00 | 8.01 |
25 | 010011 | 景顺长城景颐招利6个月持有债券A | 65,495,959.38 | 3,220,057.00 | 1.28 |
26 | 010012 | 景顺长城景颐招利6个月持有债券C | 65,495,959.38 | 3,220,057.00 | 1.28 |
27 | 007548 | 易方达ESG责任投资股票发起式 | 56,315,358.00 | 2,768,700.00 | 8.79 |
28 | 001382 | 易方达国企改革混合 | 56,109,110.40 | 2,758,560.00 | 9.80 |
29 | 008999 | 景顺长城景颐嘉利6个月持有期债券A | 55,406,160.00 | 2,724,000.00 | 1.21 |
30 | 009000 | 景顺长城景颐嘉利6个月持有期债券C | 55,406,160.00 | 2,724,000.00 | 1.21 |
31 | 166105 | 信达澳银鑫安债券(LOF) | 55,233,270.00 | 2,715,500.00 | 1.82 |
32 | 161724 | 招商中证煤炭等权指数分级 | 55,229,344.38 | 2,715,307.00 | 3.37 |
33 | 009439 | 西部利得国企红利指数增强(LOF)C | 48,885,156.00 | 2,403,400.00 | 3.53 |
34 | 501059 | 西部利得国企红利指数增强(LOF)A | 48,885,156.00 | 2,403,400.00 | 3.53 |
35 | 009849 | 安信稳健聚申一年持有混合 | 48,816,000.00 | 2,400,000.00 | 4.24 |
36 | 000876 | 建信稳定得利债券C | 48,100,032.00 | 2,364,800.00 | 0.47 |
37 | 000875 | 建信稳定得利债券A | 48,100,032.00 | 2,364,800.00 | 0.47 |
38 | 007401 | 浦银安盛颐和稳健养老一年混合(FOF)A | 43,850,395.80 | 2,155,870.00 | 2.15 |
39 | 007402 | 浦银安盛颐和稳健养老一年混合(FOF)C | 43,850,395.80 | 2,155,870.00 | 2.15 |
40 | 519017 | 大成积极成长混合 | 43,159,466.34 | 2,121,901.00 | 4.36 |
41 | 005402 | 广发资源优选股票A | 41,696,593.20 | 2,049,980.00 | 4.91 |
42 | 010235 | 广发资源优选股票C | 41,696,593.20 | 2,049,980.00 | 4.91 |
43 | 003624 | 创金合信资源主题精选股票A | 34,621,019.10 | 1,702,115.00 | 5.08 |
44 | 003625 | 创金合信资源主题精选股票C | 34,621,019.10 | 1,702,115.00 | 5.08 |
45 | 206004 | 鹏华信用增利B | 31,929,732.00 | 1,569,800.00 | 1.04 |
46 | 206003 | 鹏华信用增利A | 31,929,732.00 | 1,569,800.00 | 1.04 |
47 | 001710 | 安信新趋势混合A | 30,607,632.00 | 1,504,800.00 | 0.84 |
48 | 001711 | 安信新趋势混合C | 30,607,632.00 | 1,504,800.00 | 0.84 |
49 | 630011 | 华商主题精选混合 | 29,143,152.00 | 1,432,800.00 | 8.34 |
50 | 005852 | 中银添利债券发起C | 28,884,834.00 | 1,420,100.00 | 0.34 |
51 | 007100 | 中银添利债券发起E | 28,884,834.00 | 1,420,100.00 | 0.34 |
52 | 380009 | 中银添利债券发起A | 28,884,834.00 | 1,420,100.00 | 0.34 |
53 | 121003 | 国投瑞银核心企业混合 | 28,024,126.56 | 1,377,784.00 | 3.01 |
54 | 159930 | 汇添富中证能源ETF | 26,959,124.16 | 1,325,424.00 | 14.59 |
55 | 006341 | 中金MSCI质量指数A | 25,117,866.00 | 1,234,900.00 | 4.76 |
56 | 006342 | 中金MSCI质量指数C | 25,117,866.00 | 1,234,900.00 | 4.76 |
57 | 217002 | 招商安泰平衡混合 | 24,753,780.00 | 1,217,000.00 | 6.57 |
58 | 009069 | 大成睿鑫股票A | 22,120,014.42 | 1,087,513.00 | 5.64 |
59 | 009070 | 大成睿鑫股票C | 22,120,014.42 | 1,087,513.00 | 5.64 |
60 | 009782 | 富国兴泉回报12个月持有期混合A | 20,518,992.00 | 1,008,800.00 | 4.07 |
61 | 009783 | 富国兴泉回报12个月持有期混合C | 20,518,992.00 | 1,008,800.00 | 4.07 |
62 | 009249 | 易方达磐泰一年持有混合A | 20,496,638.34 | 1,007,701.00 | 0.52 |
63 | 009250 | 易方达磐泰一年持有混合C | 20,496,638.34 | 1,007,701.00 | 0.52 |
64 | 162209 | |