513680 建信港股通恒生中国ETF
          价格图 | 
基本资料 | 
持仓明细 | 
加入比较   
          
          
            
            | 代码 | 
            股票名称 | 
            占比 | 
            持股数(万股) | 
            持股市值(万元) | 
            截止日期 | 
            
                        
            | 00700 | 
            腾讯控股 | 
            9.20% | 
            0.92 | 
            274.48 | 
            2022-12-31 | 
            
                        
            | 03690 | 
            美团-W | 
            8.68% | 
            1.66 | 
            259.05 | 
            2022-12-31 | 
            
                        
            | 00939 | 
            建设银行 | 
            8.10% | 
            55.30 | 
            241.56 | 
            2022-12-31 | 
            
                        
            | 02318 | 
            中国平安 | 
            5.41% | 
            3.50 | 
            161.48 | 
            2022-12-31 | 
            
                        
            | 00941 | 
            中国移动 | 
            4.88% | 
            3.15 | 
            145.61 | 
            2022-12-31 | 
            
                        
            | 01398 | 
            工商银行 | 
            4.62% | 
            38.40 | 
            137.89 | 
            2022-12-31 | 
            
                        
            | 03988 | 
            中国银行 | 
            3.52% | 
            41.40 | 
            105.03 | 
            2022-12-31 | 
            
                        
            | 01810 | 
            小米集团-W | 
            2.98% | 
            9.10 | 
            88.93 | 
            2022-12-31 | 
            
                        
            | 00883 | 
            中国海洋石油 | 
            2.78% | 
            9.30 | 
            82.91 | 
            2022-12-31 | 
            
                        
            | 03968 | 
            招商银行 | 
            2.68% | 
            2.05 | 
            79.93 | 
            2022-12-31 | 
            
                      
          资产配置
          
            
            | 日期 | 
            股票占比 | 
            债券占比 | 
            现金占比 | 
                        净资产(亿元) | 
            
                        
            | 2022-12-31 | 
            91.23% | 
            0.00% | 
            10.44% | 
                        0.30 | 
            
            
                        
            | 2022-09-30 | 
            92.03% | 
            0.00% | 
            9.98% | 
                        0.20 | 
            
            
                        
            | 2022-06-30 | 
            93.20% | 
            0.00% | 
            7.66% | 
                        0.21 | 
            
            
                        
            | 2022-03-31 | 
            96.77% | 
            0.00% | 
            6.84% | 
                        0.28 | 
            
            
                        
            | 2021-12-31 | 
            93.67% | 
            0.00% | 
            7.02% | 
                        0.34 | 
            
            
                        
            | 2021-09-30 | 
            93.04% | 
            0.00% | 
            7.69% | 
                        0.30 | 
            
            
                        
            | 2021-06-30 | 
            92.33% | 
            0.00% | 
            7.55% | 
                        0.35 | 
            
            
                        
            | 2021-03-31 | 
            91.95% | 
            0.00% | 
            8.40% | 
                        0.38 | 
            
            
                        
            | 2020-12-31 | 
            95.53% | 
            0.00% | 
            4.91% | 
                        0.25 | 
            
            
                        
            | 2020-09-30 | 
            93.85% | 
            0.00% | 
            6.23% | 
                        0.25 | 
            
            
                        
            | 2020-06-30 | 
            95.03% | 
            0.00% | 
            6.10% | 
                        0.06 | 
            
            
                        
            | 2020-03-31 | 
            95.99% | 
            0.00% | 
            10.15% | 
                        0.06 | 
            
            
                        
            | 2019-12-31 | 
            96.44% | 
            0.00% | 
            8.78% | 
                        0.07 | 
            
            
                        
            | 2019-09-30 | 
            94.91% | 
            0.00% | 
            11.77% | 
                        0.06 | 
            
            
                        
            | 2019-06-30 | 
            94.97% | 
            0.00% | 
            28.14% | 
                        0.02 | 
            
            
                        
            | 2019-03-31 | 
            73.36% | 
            0.00% | 
            29.95% | 
                        0.07 | 
            
            
                        
            | 2019-01-14 | 
            0.00% | 
            0.00% | 
            61.93% | 
                        2.36 |