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海优新材(688680)基金持仓图
海优新材(688680)基金持仓    年份:
截止日期基金名称基金代码持股数量(万股)持股市值(万元)占股本比例(%)占净值比(%)
2025-06-30华夏成长先锋一年持有A 01338945.802024.42180.55%3.29%
2025-06-30富国金安均衡精选A 01405743.031901.85080.51%2.06%
2025-06-30华夏新兴经济一年持有A 01271938.901719.31820.46%1.32%
2025-06-30华夏节能环保A 00464032.081417.83880.38%5.52%
2025-06-30富国稳健策略6个月持有A 01121231.961412.57010.38%2.17%
2025-06-30富国质量成长6个月持有A 01116022.51994.89340.27%2.64%
2025-06-30华夏核心成长A 01270322.27984.43570.27%3.34%
2025-06-30富国融裕两年持有A 01803817.06754.05200.20%5.15%
2025-06-30科创新能源ETF 58883010.24452.44000.12%0.97%
2025-06-30长城行业轮动A 0022969.50419.76740.11%0.52%
2025-06-30长城安心回报A 2000078.75386.94890.10%0.48%
2025-06-30弘毅远方汽车产业升级A 0155274.80212.16000.06%7.36%
2025-06-30融通新能源汽车A 0056684.50198.91320.05%0.54%
2025-06-30西部利得碳中和发起A 0129754.43195.74410.05%0.31%
2025-06-30浙商智能行业优选A 0071773.68162.52780.04%0.27%
2025-06-30天弘上证科创板综合指数增强A 0238952.33103.19810.03%--
2025-06-30科创综指ETF富国 5896002.2498.97700.03%--
2025-06-30西部利得景瑞A 6730601.7175.36100.02%0.39%
2025-06-30科创综指ETF建信 5898801.5267.30770.02%--
2025-06-30工银恒嘉一年持有A 0159731.3559.67440.02%0.48%
2025-06-30融通成长30AB 0022521.3057.31410.02%0.59%
2025-06-30金信周期价值A 0230991.0044.20000.01%--
2025-06-30科创综指ETF景顺 5898901.0043.98340.01%--
2025-06-30科创综指ETF汇添富 5890800.7934.84720.01%--
2025-06-30科创综指ETF工银 5895000.7834.25940.01%--
2025-06-30中证2000ETF 1595310.6327.88130.01%0.06%
2025-06-30长江收益增强 0033360.5022.10000.01%0.32%
2025-06-30西部利得绿色能源A 0159270.3616.04460.00%1.19%
2025-06-30科创综指ETF嘉实 5893000.188.07090.00%--
2025-06-30西部利得汇鑫6个月持有A 0184930.114.86640.00%0.40%
2025-06-30易方达上证科创板综合ETF联接A 0237290.094.13710.00%--
2025-06-30中证2000ETF增强 1595560.062.65200.00%0.06%
2025-06-30中证2000ETF基金 1595330.062.65200.00%0.18%
2025-06-30博时量化多策略A 0056350.041.76800.00%0.01%
2025-06-30鹏华价值精选 2060120.021.05190.00%0.01%
2025-06-30华安中证500指数增强A 0145870.020.88400.00%0.03%
2025-06-30博时量化价值A 0059600.020.88400.00%0.02%
2025-06-30海富通欣荣C 5192230.000.18560.00%0.08%

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