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投资组合

股票组合

报告期末按公允价值基金资产净值比例大小排序的前十名股票投资明细

股票代码股票名称数量(股)公允价值(元)占基金资产净值比例(%)
002024苏宁云商6,116,29379,939,949.515.87
601933永辉超市5,767,05266,494,109.564.89
002142宁波银行3,715,70066,325,2454.87
601166兴业银行3,601,30066,119,8684.86
601318中国平安837,90065,557,2964.82
002550千红制药1,409,24244,983,004.643.30
002405四维图新1,057,35243,139,961.63.17
300144宋城演艺712,60541,003,291.73.01
002215诺普信2,259,16439,399,820.162.89
600111北方稀土1,319,50035,864,0102.63