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持有 德邦科技(688035)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(%)
1270005广发聚丰混合A61,932,619.32  1,200,012.00    1.74
2010025广发聚丰混合C61,932,619.32  1,200,012.00    1.74
3010134广发新经济混合C21,160,100.00  410,000.00    1.76
4270050广发新经济混合A21,160,100.00  410,000.00    1.76
5506000南方科创板3年定开混合21,103,070.95  408,895.00    0.87
6007340南方科技创新混合A19,190,043.08  371,828.00    0.73
7007341南方科技创新混合C19,190,043.08  371,828.00    0.73
8960026博时特许价值混合R5,631,012.27  109,107.00    1.01
9050010博时特许价值混合A5,631,012.27  109,107.00    1.01
10506003富国科创板两年定期开放混合3,926,385.58  76,078.00    0.29
11000826广发百发100指数A2,188,264.00  42,400.00    0.82
12000827广发百发100指数E2,188,264.00  42,400.00    0.82
13002555博时沪港深优质企业混合C2,141,763.39  41,499.00    0.99
14001215博时沪港深优质企业混合A2,141,763.39  41,499.00    0.99
15009432德邦科技创新一年定开混合A2,064,400.00  40,000.00    1.04
16009433德邦科技创新一年定开混合C2,064,400.00  40,000.00    1.04
17009714华安聚优精选混合1,927,839.94  37,354.00    0.03
18519670银河行业混合358,637.89  6,949.00    0.04
19005483博时创新驱动混合C281,687.38  5,458.00    0.67
20005482博时创新驱动混合A281,687.38  5,458.00    0.67
21519091新华泛资源优势混合257,069.41  4,981.00    0.02
22184801鹏华前海万科REITS257,069.41  4,981.00    0.01
23002051诺安创新驱动混合C257,069.41  4,981.00    0.02
24519089新华优选成长混合257,069.41  4,981.00    0.04
25519674银河创新成长混合257,069.41  4,981.00    0.00
26010265鹏华成长智选混合C257,069.41  4,981.00    0.01
27010264鹏华成长智选混合A257,069.41  4,981.00    0.01
28001411诺安创新驱动混合A257,069.41  4,981.00    0.02
29070013嘉实研究精选混合A257,069.41  4,981.00    0.02
30009886新华景气行业混合C257,069.41  4,981.00    0.03
31009885新华景气行业混合A257,069.41  4,981.00    0.03
32007735金鹰民安回报定开混合C257,069.41  4,981.00    0.01
33002560诺安和鑫混合257,069.41  4,981.00    0.01
34070006嘉实服务增值行业混合257,069.41  4,981.00    0.02
35070032嘉实优化红利混合257,069.41  4,981.00    0.01
36006972金鹰民安回报定开混合A257,069.41  4,981.00    0.01
37006128银河和美生活混合257,069.41  4,981.00    0.04
38000584新华鑫益灵活配置混合257,069.41  4,981.00    0.05
39003634嘉实农业产业股票257,069.41  4,981.00    0.01
40519732交银定期支付双息平衡混合257,069.41  4,981.00    0.01
41506005博时科创板三年定开混合257,069.41  4,981.00    0.01
42070018嘉实回报混合257,069.41  4,981.00    0.04
43003835鹏华沪深港新兴成长混合257,069.41  4,981.00    0.01
44008960长信国防军工量化混合C243,172.42  4,981.00    0.02
45010147博道嘉兴一年持有期混合243,172.42  4,981.00    0.02
46008187淳厚信睿混合C243,172.42  4,981.00    0.01
47007126博道远航混合A243,172.42  4,981.00    0.02
48009989华宝研究精选混合243,172.42  4,981.00    0.03
49009791中欧创业板两年混合C243,172.42  4,981.00    0.02
50007127博道远航混合C243,172.42  4,981.00    0.02
51002983长信国防军工量化混合A243,172.42  4,981.00    0.02
52009308天弘安康颐养混合C243,172.42  4,981.00    0.01
53009950财通资管均衡价值一年持有期混合243,172.42  4,981.00    0.01
54010349诺安低碳经济股票C243,172.42  4,981.00    0.01
55002697中欧消费主题股票C243,172.42  4,981.00    0.02
56002923兴业聚惠灵活配置混合C243,172.42  4,981.00    0.10
57519752交银新回报灵活配置混合A243,172.42  4,981.00    0.01
58519158新华趋势领航混合243,172.42  4,981.00    0.04
59001208诺安低碳经济股票A243,172.42  4,981.00    0.01
60002408中信建投医改混合A243,172.42  4,981.00    0.01
61002621中欧消费主题股票A243,172.42  4,981.00    0.02
62519702交银趋势优先混合243,172.42  4,981.00    0.00
63000612华宝生态中国混合243,172.42  4,981.00    0.01
64001547兴业聚惠灵活配置混合A243,172.42  4,981.00    0.10
65001986前海开源人工智能主题混合243,172.42  4,981.00    0.03
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