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宁波银行(002142)基金重仓图
本页面仅统计宁波银行占基金投资份额超过5%的基金。
宁波银行(002142)基金重仓    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(%)
2025-09-30中欧价值回报A 018409455.3512035.02480.07%5.20%
2025-09-30交银瑞丰LOF 501087259.766865.45680.04%7.32%
2025-09-30天弘精选A 420001166.014387.51200.03%7.77%
2025-09-30天弘新价值A 001484149.603953.92800.02%6.36%
2025-09-30浙商智选价值A 010381142.663770.44040.02%5.41%
2025-09-30易方达现代服务业 001857110.662924.64340.02%6.29%
2025-09-30鹏华策略优选 160627104.312756.91320.02%5.43%
2025-09-30天弘弘丰增强回报A 00689894.712503.05320.01%5.18%
2025-09-30嘉实金融精选A 00566262.961664.03280.01%7.48%
2025-09-30兴业国企改革A 00162345.001189.35000.01%7.12%
2025-09-30天弘价值驱动A 02137229.00766.39070.00%7.38%
2025-09-30国泰海通远见价值A 01793527.87736.60410.00%34.31%
2025-09-30天弘多元增利A 01552426.30695.18830.00%8.65%
2025-09-30天弘广盈六个月持有A 01668214.37379.79910.00%7.25%
2025-09-30天弘多元锐选一年持有A 0191307.65202.18950.00%8.30%
2025-09-30天弘金融优选A 0201937.04186.06720.00%22.33%
2025-09-30西部利得价值回报A 0209791.8448.63120.00%8.71%
2025-09-30海富通新内需A 5191301.5139.90930.00%8.62%

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