序号 |
股票代码 |
股票名称 |
相关资讯 |
本期累计买入金额(万元) |
占期初基金资产净值比例(%) |
---|---|---|---|---|---|
1 |
2,392.41 |
21.69% |
|||
2 |
1,406.92 |
12.76% |
|||
3 |
1,382.07 |
12.53% |
|||
4 |
1,286.45 |
11.66% |
|||
5 |
1,278.36 |
11.59% |
|||
6 |
1,196.34 |
10.85% |
|||
7 |
1,114.34 |
10.10% |
|||
8 |
1,083.92 |
9.83% |
|||
9 |
1,053.36 |
9.55% |
|||
10 |
993.81 |
9.01% |
|||
11 |
922.77 |
8.37% |
|||
12 |
909.42 |
8.25% |
|||
13 |
893.93 |
8.11% |
|||
14 |
892.56 |
8.09% |
|||
15 |
875.32 |
7.94% |
|||
16 |
754.28 |
6.84% |
|||
17 |
735.22 |
6.67% |
|||
18 |
726.11 |
6.58% |
|||
19 |
722.19 |
6.55% |
|||
20 |
680.51 |
6.17% |
|||
21 |
674.09 |
6.11% |
|||
22 |
640.40 |
5.81% |
|||
23 |
634.05 |
5.75% |
|||
24 |
632.84 |
5.74% |
|||
25 |
628.06 |
5.69% |
|||
26 |
627.17 |
5.69% |
|||
27 |
588.39 |
5.33% |
|||
28 |
586.37 |
5.32% |
|||
29 |
550.36 |
4.99% |
|||
30 |
544.08 |
4.93% |
|||
31 |
535.82 |
4.86% |
|||
32 |
520.53 |
4.72% |
|||
33 |
505.52 |
4.58% |
|||
34 |
479.23 |
4.35% |
|||
35 |
469.48 |
4.26% |
|||
36 |
467.71 |
4.24% |
|||
37 |
457.57 |
4.15% |
|||
38 |
453.74 |
4.11% |
|||
39 |
447.36 |
4.06% |
|||
40 |
435.35 |
3.95% |
|||
41 |
423.91 |
3.84% |
|||
42 |
417.06 |
3.78% |
|||
43 |
402.57 |
3.65% |
|||
44 |
398.29 |
3.61% |
|||
45 |
397.30 |
3.60% |
|||
46 |
393.68 |
3.57% |
|||
47 |
361.44 |
3.28% |
|||
48 |
357.02 |
3.24% |
|||
49 |
357.02 |
3.24% |
|||
50 |
340.05 |
3.08% |
|||
51 |
338.52 |
3.07% |
|||
52 |
325.46 |
2.95% |
|||
53 |
319.81 |
2.90% |
|||
54 |
315.03 |
2.86% |
|||
55 |
314.99 |
2.86% |
|||
56 |
314.45 |
2.85% |
|||
57 |
303.49 |
2.75% |
|||
58 |
298.35 |
2.71% |
|||
59 |
294.69 |
2.67% |
|||
60 |
292.80 |
2.65% |
|||
61 |
287.95 |
2.61% |
|||
62 |
278.37 |
2.52% |
|||
63 |
274.48 |
2.49% |
|||
64 |
273.70 |
2.48% |
|||
65 |
268.63 |
2.44% |
|||
66 |
266.89 |
2.42% |
|||
67 |
253.79 |
2.30% |
|||
68 |
244.51 |
2.22% |
|||
69 |
240.90 |
2.18% |
|||
70 |
233.70 |
2.12% |
|||
71 |
231.89 |
2.10% |
|||
72 |
229.92 |
2.08% |
|||
73 |
227.54 |
2.06% |
|||
74 |
225.10 |
2.04% |
序号 |
股票代码 |
股票名称 |
相关资讯 |
本期累计买入金额(万元) |
占期初基金资产净值比例(%) |
---|---|---|---|---|---|
1 |
319.00 |
2.89% |
|||
2 |
264.51 |
2.40% |
|||
3 |
255.26 |
2.31% |
|||
4 |
231.89 |
2.10% |
|||
5 |
227.54 |
2.06% |
|||
6 |
148.69 |
1.35% |
|||
7 |
140.20 |
1.27% |
|||
8 |
131.30 |
1.19% |
|||
9 |
124.77 |
1.13% |
|||
10 |
119.94 |
1.09% |
|||
11 |
115.12 |
1.04% |
|||
12 |
112.09 |
1.02% |
|||
13 |
110.98 |
1.01% |
|||
14 |
107.74 |
0.98% |
|||
15 |
104.47 |
0.95% |
|||
16 |
99.90 |
0.91% |
|||
17 |
99.29 |
0.90% |
|||
18 |
90.54 |
0.82% |
|||
19 |
86.43 |
0.78% |
|||
20 |
85.29 |
0.77% |
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