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振华股份(603067)基金持仓图
振华股份(603067)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(%)
2025-12-31鹏华优选价值A 008134739.2921299.05441.04%9.93%
2025-12-31长城久富LOF 162006447.4512891.01760.63%10.02%
2025-12-31景顺长城产业趋势A 010289168.094842.78800.24%1.40%
2025-12-31恒越成长精选A 010622115.263320.64060.16%6.80%
2025-12-31广发利鑫A 002446106.133057.60520.15%4.94%
2025-12-31易方达瑞程A 00396181.062335.24640.11%4.43%
2025-12-31鹏华研究精选 00502866.071903.47670.09%3.43%
2025-12-31长城双动力A 20001062.021786.73860.09%10.88%
2025-12-31广发乾享核心精选A 02534936.361047.53160.05%3.13%
2025-12-31景顺长城融景产业机遇一年持有A 01134435.261015.87810.05%1.42%
2025-12-31广发睿盛A 01203332.41933.73210.05%4.59%
2025-12-31景顺长城精选蓝筹 26011029.82859.11420.04%0.56%
2025-12-31长城产业臻选A 01633225.28728.37440.04%9.08%
2025-12-31交银安心收益A 51975321.28613.07680.03%0.39%
2025-12-31景顺长城品质投资A 00002019.75568.99750.03%1.36%
2025-12-31景顺长城沪港深领先科技 00447619.22553.72820.03%1.40%
2025-12-31华夏清洁能源龙头A 01891814.19408.81390.02%19.13%
2025-12-31德邦新兴产业A 02367411.76338.80560.02%27.52%
2025-12-31恒越嘉鑫A 01141611.00316.91000.02%4.08%
2025-12-31中证2000ETF南方 1595315.11147.33430.01%0.26%
2025-12-31华西优选价值A 0197474.78137.82700.01%4.75%
2025-12-31鹏华价值精选 2060123.0888.73480.00%0.45%
2025-12-31前海联合泓鑫A 0027801.9556.17950.00%1.28%
2025-12-31汇添富弘盛回报A 0224161.8854.16280.00%4.49%
2025-12-31交银周期回报A 5197381.7149.26510.00%0.16%
2025-12-31中欧新能源主题A 0257941.6748.11270.00%--
2025-12-31交银恒益A 0049751.2335.43630.00%0.17%
2025-12-31大摩资源LOF 1633020.9928.52190.00%0.06%
2025-12-31银华招利一年持有期A 0099770.8624.77660.00%0.57%
2025-12-31交银定期支付月月丰A 5197300.5014.40500.00%0.52%
2025-12-31前海开源沪港深汇鑫A 0019420.3610.42920.00%0.21%
2025-12-31交银稳悦回报A 0195590.349.79540.00%0.06%
2025-12-31中证2000ETF国泰 5613700.329.27680.00%0.28%
2025-12-31交银瑞鑫六个月持有A 0039000.267.49060.00%0.13%
2025-12-31中证2000ETF嘉实 1595350.195.53150.00%0.35%
2025-12-31交银臻选回报A 0109160.051.44050.00%0.13%

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