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天天基金网 > 基金档案 > 景顺长城电子信息产业股票C

重大变动

  • 累计买入
  • 累计卖出
  • 查询指定年度的重大变化:

累计买入、卖出金额超出期初基金资产净值2%或前20名的股票明细。

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
35,229.63
14.52%
2
33,993.01
14.01%
3
32,476.78
13.38%
4
32,449.27
13.37%
5
28,537.20
11.76%
6
28,079.22
11.57%
7
26,751.79
11.02%
8
24,439.99
10.07%
9
23,332.37
9.61%
10
22,942.69
9.45%
11
22,032.89
9.08%
12
21,940.73
9.04%
13
21,119.33
8.70%
14
20,742.95
8.55%
15
19,322.55
7.96%
16
18,576.77
7.65%
17
17,895.31
7.37%
18
16,926.12
6.97%
19
16,371.89
6.75%
20
16,281.85
6.71%
21
16,256.57
6.70%
22
15,464.99
6.37%
23
15,319.72
6.31%
24
15,214.36
6.27%
25
15,147.76
6.24%
26
14,885.91
6.13%
27
14,565.45
6.00%
28
14,368.62
5.92%
29
14,337.81
5.91%
30
14,355.50
5.91%
31
14,180.85
5.84%
32
13,672.53
5.63%
33
13,117.18
5.40%
34
12,796.29
5.27%
35
12,472.14
5.14%
36
12,104.82
4.99%
37
12,020.19
4.95%
38
11,519.28
4.75%
39
11,448.55
4.72%
40
11,414.25
4.70%
41
10,781.14
4.44%
42
10,638.80
4.38%
43
10,595.78
4.37%
44
9,879.80
4.07%
45
9,203.41
3.79%
46
9,100.86
3.75%
47
8,954.00
3.69%
48
8,670.75
3.57%
49
7,658.82
3.16%
50
7,518.52
3.10%
51
7,108.09
2.93%
52
7,023.93
2.89%
53
6,662.12
2.74%
54
5,882.14
2.42%
55
5,774.50
2.38%
56
5,459.57
2.25%
57
5,238.42
2.16%
58
5,118.02
2.11%
59
5,019.93
2.07%
60
4,930.96
2.03%

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
23,870.67
9.84%
2
23,253.53
9.58%
3
23,130.06
9.53%
4
22,760.25
9.38%
5
21,010.48
8.66%
6
19,151.49
7.89%
7
18,316.68
7.55%
8
16,450.94
6.78%
9
15,866.54
6.54%
10
15,167.66
6.25%
11
14,862.25
6.12%
12
14,862.74
6.12%
13
14,762.22
6.08%
14
14,550.24
5.99%
15
14,349.32
5.91%
16
14,136.69
5.82%
17
13,241.95
5.46%
18
12,844.78
5.29%
19
12,796.29
5.27%
20
12,645.17
5.21%
21
11,764.54
4.85%
22
11,087.84
4.57%
23
10,723.35
4.42%
24
9,890.39
4.08%
25
9,879.80
4.07%
26
9,690.73
3.99%
27
9,664.93
3.98%
28
9,239.38
3.81%
29
8,985.84
3.70%
30
7,110.52
2.93%
31
6,930.57
2.86%
32
6,718.02
2.77%
33
6,621.31
2.73%
34
6,633.15
2.73%
35
6,493.07
2.68%
36
6,245.15
2.57%
37
5,882.14
2.42%
38
5,696.98
2.35%
39
5,426.01
2.24%
40
5,155.27
2.12%
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