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国投瑞银中证全指公用事业ETF联接A(024192)基金投资组合(持股)图
国投瑞银中证全指公用事业ETF联接A(024192)基金投资组合(持股)    年份:
截止日期股票代码股票名称数量(万股)持有市值(万元)占基金资产净值比例(%)
2025-12-31600900长江电力 22.42609.6013.83%
2025-12-31601985中国核电 36.46315.387.15%
2025-12-31600905三峡能源 63.27258.775.87%
2025-12-31600795国电电力 39.08196.964.47%
2025-12-31600157永泰能源 95.76150.343.41%
2025-12-31600011华能国际 19.73147.193.34%
2025-12-31600886国投电力 10.60139.073.16%
2025-12-31003816中国广核 34.46129.572.94%
2025-12-31600021上海电力 6.22124.522.83%
2025-12-31600674川投能源 8.62119.822.72%
2025-12-31600023浙能电力 17.6687.421.98%
2025-12-31600027华电国际 17.2585.561.94%
2025-12-31600803新奥股份 4.0884.701.92%
2025-12-31600930华电新能 13.0381.961.86%
2025-12-31600025华能水电 8.2074.461.69%
2025-12-31600642申能股份 8.8168.541.55%
2025-12-31000155川能动力 5.7066.411.51%
2025-12-31605090九丰能源 1.5365.941.50%
2025-12-31600863华能蒙电 14.4064.511.46%
2025-12-31000875电投绿能 11.1462.831.43%
2025-12-31600008首创环保 19.3057.901.31%
2025-12-31601991大唐发电 16.1256.261.28%
2025-12-31000591太阳能 11.9052.841.20%
2025-12-31600995南网储能 4.1752.421.19%
2025-12-31601016节能风电 16.8849.801.13%
2025-12-31000598兴蓉环境 6.5246.751.06%
2025-12-31600483福能股份 4.8646.021.04%
2025-12-31600578京能电力 8.9345.541.03%
2025-12-31000883湖北能源 9.2942.180.96%
2025-12-31002015协鑫能科 4.2141.890.95%
2025-12-31000967盈峰环境 5.6141.180.93%
2025-12-31000027深圳能源 6.1940.360.92%
2025-12-31000543皖能电力 4.9539.350.89%
2025-12-31600236桂冠电力 4.8838.210.87%
2025-12-31600452涪陵电力 4.0337.760.86%
2025-12-31000685中山公用 3.2337.630.85%
2025-12-31600864哈投股份 5.4636.200.82%
2025-12-31001286陕西能源 3.3030.720.70%
2025-12-31600098广州发展 4.5930.020.68%
2025-12-31000537绿发电力 3.6229.720.67%
2025-12-31600116三峡水利 4.2227.600.63%
2025-12-31000791甘肃能源 4.2527.410.62%
2025-12-31000966长源电力 6.1226.130.59%
2025-12-31601139深圳燃气 3.7624.820.56%
2025-12-31002608江苏国信 3.2924.310.55%
2025-12-31600032浙江新能 3.1323.190.53%
2025-12-31600167联美控股 2.9921.020.48%
2025-12-31000539粤电力A 3.8817.150.39%
2025-12-31002911佛燃能源 0.8510.300.23%
2025-12-31001289龙源电力 0.6810.230.23%
2025-12-31603370华新精科 0.000.200.00%

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