金牛理财网

华夏智胜优选混合C(021370)

基金公司:
基金名称:
单位净值: 1.2289元 日增长率%: 1.19 今年以来收益率%: 1.49(排名:2483/8277) 净值日期: 04-13
投资风格: -- 风险定位: 高风险 基金类型: 偏股混合型(股票上限95%) 申购状态: 开放 赎回状态:开放
三年评级: -- 成立日期: 2024-08-05 资产净值(亿元): 0.38(2024-12-30) 基金经理: 孙蒙

行业配置

截止日期:
积极投资(点击展开)
指数投资
2024-Q42024-Q32024-Q22024-Q1
行业名称市值(万元)占资产净值%市值(万元)占资产净值%市值(万元)占资产净值%市值(万元)占资产净值%
农、林、牧、渔业6,802.380.5710,437.530.617,593.830.628,797.470.69
采矿业41,319.673.4669,834.564.1056,619.204.6260,842.874.76
制造业731,167.3761.251,017,618.5859.71765,972.3762.45783,029.6261.24
电力、热力、燃气及水生产和供应业43,251.903.6259,541.033.4948,767.413.9846,623.873.65
建筑业12,802.741.0715,368.630.9012,326.211.0011,942.650.93
批发和零售业28,075.452.3535,682.422.0925,716.222.1031,419.242.46
交通运输、仓储和邮政业17,985.631.5131,182.531.8324,379.851.9925,823.732.02
住宿和餐饮业3,722.550.315,874.900.343,833.970.311,939.690.15
信息传输、软件和信息技术服务业103,380.518.66125,338.937.3586,045.147.0290,372.547.07
金融业121,928.5710.21168,752.759.90112,568.119.18119,387.789.34
房地产业15,057.871.2622,164.511.3013,697.081.1214,467.741.13
租赁和商务服务业10,247.130.8612,707.360.759,247.110.7520,031.941.57
科学研究和技术服务业8,175.750.6814,642.720.869,695.370.7910,419.370.81
水利、环境和公共设施管理业5,689.610.487,318.360.435,493.420.455,843.460.46
教育2,812.680.242,743.620.161,347.410.112,588.570.20
卫生和社会工作6,825.850.5711,447.790.677,507.760.618,208.860.64
文化、体育和娱乐业15,395.541.2923,829.761.4018,208.661.4819,796.181.55
综合2,853.090.242,860.140.172,165.780.183,229.620.25
合计1,177,494.2998.631,637,346.1296.061,211,184.9098.761,264,765.2098.92