股票选基【新-分页】
测试中
POST
/stock/option
选基
请求参数
Body 参数application/json
pageNum
integer
起始页
pageSize
integer
页面大小,尽可能大一点较好,范围:100-500
codes
array[string]
股票代码集合,最多选5个
reportDate
string
报告日期
symSet
integer
交集并集: 1-交集,2-并集; 默认值: 2
scaleGt
integer
规模(大于xx亿):0,1,5,10; 默认:1
percentageType
string
占比类型: 市值: market_value,净资产: net_asset; 默认值: net_asset
showActiveFunds
boolean
是否只展示主动基金: 否-false,是-true 默认: false
示例
{
"pageNum": 1,
"pageSize": 100,
"codes": [
"600519"
],
"reportDate": "20230630",
"symSet": 1,
"scaleGt": 1,
"percentageType": "net_asset",
"showActiveFunds": false
}
示例代码
Shell
JavaScript
Java
Swift
Go
PHP
Python
HTTP
C
C#
Objective-C
Ruby
OCaml
Dart
R
请求示例请求示例
Shell
JavaScript
Java
Swift
curl --location --request POST 'http://test-cn.your-api-server.com/stock/option' \
--header 'Content-Type: application/json' \
--data-raw '{
"pageNum": 1,
"pageSize": 100,
"codes": [
"600519"
],
"reportDate": "20230630",
"symSet": 1,
"scaleGt": 1,
"percentageType": "net_asset",
"showActiveFunds": false
}'
返回响应
🟢200成功
application/json
Body
code
integer
响应码
msg
string
响应信息
data
array [object {5}]
必需
mainCode
string
基金代码
fundName
string
基金名称
serialHoldingPeriods
integer
单个查询连续持有期数(季报)
total
number
占净资产占比或者持股市值
dataDistributions
array [object {2}]
分布数据
total
integer
总数
示例
{
"code": 200,
"msg": "操作成功",
"data": [
{
"mainCode": "110003",
"fundName": "易方达上证50增强A",
"serialHoldingPeriods": 51,
"total": 15.98,
"dataDistributions": [
{
"code": "600519",
"data": 15.98
}
]
},
{
"mainCode": "510100",
"fundName": "上证50ETF易方达",
"serialHoldingPeriods": 15,
"total": 15.96,
"dataDistributions": [
{
"code": "600519",
"data": 15.96
}
]
},
{
"mainCode": "510850",
"fundName": "工银上证50ETF",
"serialHoldingPeriods": 18,
"total": 15.89,
"dataDistributions": [
{
"code": "600519",
"data": 15.89
}
]
},
{
"mainCode": "510050",
"fundName": "上证50ETF",
"serialHoldingPeriods": 30,
"total": 15.88,
"dataDistributions": [
{
"code": "600519",
"data": 15.88
}
]
},
{
"mainCode": "510630",
"fundName": "消费30ETF",
"serialHoldingPeriods": 41,
"total": 15.64,
"dataDistributions": [
{
"code": "600519",
"data": 15.64
}
]
},
{
"mainCode": "510800",
"fundName": "50ETF基金",
"serialHoldingPeriods": 22,
"total": 15.56,
"dataDistributions": [
{
"code": "600519",
"data": 15.56
}
]
},
{
"mainCode": "512690",
"fundName": "酒ETF",
"serialHoldingPeriods": 17,
"total": 15.5,
"dataDistributions": [
{
"code": "600519",
"data": 15.5
}
]
},
{
"mainCode": "510710",
"fundName": "上证50ETF博时",
"serialHoldingPeriods": 30,
"total": 15.45,
"dataDistributions": [
{
"code": "600519",
"data": 15.45
}
]
},
{
"mainCode": "159843",
"fundName": "食品饮料ETF",
"serialHoldingPeriods": 10,
"total": 15.43,
"dataDistributions": [
{
"code": "600519",
"data": 15.43
}
]
},
{
"mainCode": "515170",
"fundName": "食品饮料ETF",
"serialHoldingPeriods": 10,
"total": 15.42,
"dataDistributions": [
{
"code": "600519",
"data": 15.42
}
]
},
{
"mainCode": "399001",
"fundName": "中海上证50指数增强",
"serialHoldingPeriods": 8,
"total": 15.34,
"dataDistributions": [
{
"code": "600519",
"data": 15.34
}
]
},
{
"mainCode": "515710",
"fundName": "食品ETF",
"serialHoldingPeriods": 10,
"total": 15.29,
"dataDistributions": [
{
"code": "600519",
"data": 15.29
}
]
},
{
"mainCode": "502048",
"fundName": "上证50LOF",
"serialHoldingPeriods": 30,
"total": 15.23,
"dataDistributions": [
{
"code": "600519",
"data": 15.23
}
]
},
{
"mainCode": "001548",
"fundName": "天弘上证50A",
"serialHoldingPeriods": 30,
"total": 15.22,
"dataDistributions": [
{
"code": "600519",
"data": 15.22
}
]
},
{
"mainCode": "008240",
"fundName": "西藏东财上证50A",
"serialHoldingPeriods": 14,
"total": 15.08,
"dataDistributions": [
{
"code": "600519",
"data": 15.08
}
]
},
{
"mainCode": "515650",
"fundName": "消费50ETF",
"serialHoldingPeriods": 15,
"total": 14.98,
"dataDistributions": [
{
"code": "600519",
"data": 14.98
}
]
},
{
"mainCode": "510010",
"fundName": "180治理ETF",
"serialHoldingPeriods": 3,
"total": 14.83,
"dataDistributions": [
{
"code": "600519",
"data": 14.83
}
]
},
{
"mainCode": "501050",
"fundName": "50AHLOF",
"serialHoldingPeriods": 27,
"total": 14.78,
"dataDistributions": [
{
"code": "600519",
"data": 14.78
}
]
},
{
"mainCode": "161725",
"fundName": "白酒基金LOF",
"serialHoldingPeriods": 32,
"total": 14.73,
"dataDistributions": [
{
"code": "600519",
"data": 14.73
}
]
},
{
"mainCode": "160632",
"fundName": "酒LOF",
"serialHoldingPeriods": 33,
"total": 14.55,
"dataDistributions": [
{
"code": "600519",
"data": 14.55
}
]
},
{
"mainCode": "160222",
"fundName": "食品LOF",
"serialHoldingPeriods": 35,
"total": 14.18,
"dataDistributions": [
{
"code": "600519",
"data": 14.18
}
]
},
{
"mainCode": "512550",
"fundName": "A50ETF基金",
"serialHoldingPeriods": 24,
"total": 14.17,
"dataDistributions": [
{
"code": "600519",
"data": 14.17
}
]
},
{
"mainCode": "501090",
"fundName": "消费龙头LOF",
"serialHoldingPeriods": 14,
"total": 13.89,
"dataDistributions": [
{
"code": "600519",
"data": 13.89
}
]
},
{
"mainCode": "011853",
"fundName": "招商中证消费龙头指数增强A",
"serialHoldingPeriods": 8,
"total": 13.61,
"dataDistributions": [
{
"code": "600519",
"data": 13.61
}
]
},
{
"mainCode": "000835",
"fundName": "华润元大富时中国A50A",
"serialHoldingPeriods": 30,
"total": 13.06,
"dataDistributions": [
{
"code": "600519",
"data": 13.06
}
]
},
{
"mainCode": "510150",
"fundName": "消费ETF",
"serialHoldingPeriods": 50,
"total": 10.64,
"dataDistributions": [
{
"code": "600519",
"data": 10.64
}
]
},
{
"mainCode": "159736",
"fundName": "饮食ETF",
"serialHoldingPeriods": 7,
"total": 10.32,
"dataDistributions": [
{
"code": "600519",
"data": 10.32
}
]
},
{
"mainCode": "159672",
"fundName": "主要消费ETF",
"serialHoldingPeriods": 1,
"total": 10.21,
"dataDistributions": [
{
"code": "600519",
"data": 10.21
}
]
},
{
"mainCode": "501087",
"fundName": "交银瑞丰LOF",
"serialHoldingPeriods": 8,
"total": 10.2,
"dataDistributions": [
{
"code": "600519",
"data": 10.2
}
]
},
{
"mainCode": "159928",
"fundName": "消费ETF",
"serialHoldingPeriods": 39,
"total": 10.14,
"dataDistributions": [
{
"code": "600519",
"data": 10.14
}
]
},
{
"mainCode": "000529",
"fundName": "广发竞争优势A",
"serialHoldingPeriods": 27,
"total": 10.07,
"dataDistributions": [
{
"code": "600519",
"data": 10.07
}
]
},
{
"mainCode": "512600",
"fundName": "必选消费ETF",
"serialHoldingPeriods": 36,
"total": 10.07,
"dataDistributions": [
{
"code": "600519",
"data": 10.07
}
]
},
{
"mainCode": "009704",
"fundName": "南方景气驱动A",
"serialHoldingPeriods": 7,
"total": 10.06,
"dataDistributions": [
{
"code": "600519",
"data": 10.06
}
]
},
{
"mainCode": "519736",
"fundName": "交银新成长",
"serialHoldingPeriods": 12,
"total": 10.06,
"dataDistributions": [
{
"code": "600519",
"data": 10.06
}
]
},
{
"mainCode": "010536",
"fundName": "泰康优势企业A",
"serialHoldingPeriods": 10,
"total": 10.01,
"dataDistributions": [
{
"code": "600519",
"data": 10.01
}
]
},
{
"mainCode": "561130",
"fundName": "国货ETF",
"serialHoldingPeriods": 7,
"total": 9.97,
"dataDistributions": [
{
"code": "600519",
"data": 9.97
}
]
},
{
"mainCode": "260108",
"fundName": "景顺长城新兴成长A",
"serialHoldingPeriods": 26,
"total": 9.96,
"dataDistributions": [
{
"code": "600519",
"data": 9.96
}
]
},
{
"mainCode": "006604",
"fundName": "嘉实消费精选A",
"serialHoldingPeriods": 17,
"total": 9.95,
"dataDistributions": [
{
"code": "600519",
"data": 9.95
}
]
},
{
"mainCode": "007412",
"fundName": "景顺长城绩优成长A",
"serialHoldingPeriods": 16,
"total": 9.94,
"dataDistributions": [
{
"code": "600519",
"data": 9.94
}
]
},
{
"mainCode": "009342",
"fundName": "易方达优质企业三年持有",
"serialHoldingPeriods": 12,
"total": 9.94,
"dataDistributions": [
{
"code": "600519",
"data": 9.94
}
]
},
{
"mainCode": "162605",
"fundName": "景顺鼎益LOF",
"serialHoldingPeriods": 26,
"total": 9.94,
"dataDistributions": [
{
"code": "600519",
"data": 9.94
}
]
},
{
"mainCode": "260104",
"fundName": "景顺长城内需增长",
"serialHoldingPeriods": 22,
"total": 9.94,
"dataDistributions": [
{
"code": "600519",
"data": 9.94
}
]
},
{
"mainCode": "260109",
"fundName": "景顺长城内需增长贰号",
"serialHoldingPeriods": 22,
"total": 9.94,
"dataDistributions": [
{
"code": "600519",
"data": 9.94
}
]
},
{
"mainCode": "001112",
"fundName": "东方红中国优势",
"serialHoldingPeriods": 9,
"total": 9.93,
"dataDistributions": [
{
"code": "600519",
"data": 9.93
}
]
},
{
"mainCode": "005827",
"fundName": "易方达蓝筹精选",
"serialHoldingPeriods": 19,
"total": 9.93,
"dataDistributions": [
{
"code": "600519",
"data": 9.93
}
]
},
{
"mainCode": "010887",
"fundName": "南方消费升级A",
"serialHoldingPeriods": 4,
"total": 9.93,
"dataDistributions": [
{
"code": "600519",
"data": 9.93
}
]
},
{
"mainCode": "011169",
"fundName": "建信臻选",
"serialHoldingPeriods": 9,
"total": 9.93,
"dataDistributions": [
{
"code": "600519",
"data": 9.93
}
]
},
{
"mainCode": "070006",
"fundName": "嘉实服务增值行业",
"serialHoldingPeriods": 16,
"total": 9.92,
"dataDistributions": [
{
"code": "600519",
"data": 9.92
}
]
},
{
"mainCode": "008954",
"fundName": "安信价值回报三年持有A",
"serialHoldingPeriods": 13,
"total": 9.91,
"dataDistributions": [
{
"code": "600519",
"data": 9.91
}
]
},
{
"mainCode": "009240",
"fundName": "泰康蓝筹优势",
"serialHoldingPeriods": 11,
"total": 9.91,
"dataDistributions": [
{
"code": "600519",
"data": 9.91
}
]
},
{
"mainCode": "001473",
"fundName": "建信大安全",
"serialHoldingPeriods": 17,
"total": 9.88,
"dataDistributions": [
{
"code": "600519",
"data": 9.88
}
]
},
{
"mainCode": "001623",
"fundName": "兴业国企改革A",
"serialHoldingPeriods": 18,
"total": 9.88,
"dataDistributions": [
{
"code": "600519",
"data": 9.88
}
]
},
{
"mainCode": "008166",
"fundName": "工银消费行业A",
"serialHoldingPeriods": 13,
"total": 9.87,
"dataDistributions": [
{
"code": "600519",
"data": 9.87
}
]
},
{
"mainCode": "002662",
"fundName": "前海开源沪港深大消费A",
"serialHoldingPeriods": 13,
"total": 9.86,
"dataDistributions": [
{
"code": "600519",
"data": 9.86
}
]
},
{
"mainCode": "166025",
"fundName": "中欧远见定开",
"serialHoldingPeriods": 7,
"total": 9.86,
"dataDistributions": [
{
"code": "600519",
"data": 9.86
}
]
},
{
"mainCode": "000974",
"fundName": "安信消费医药主题",
"serialHoldingPeriods": 14,
"total": 9.85,
"dataDistributions": [
{
"code": "600519",
"data": 9.85
}
]
},
{
"mainCode": "011645",
"fundName": "国泰核心价值两年持有A",
"serialHoldingPeriods": 8,
"total": 9.85,
"dataDistributions": [
{
"code": "600519",
"data": 9.85
}
]
},
{
"mainCode": "000117",
"fundName": "广发轮动配置",
"serialHoldingPeriods": 18,
"total": 9.84,
"dataDistributions": [
{
"code": "600519",
"data": 9.84
}
]
},
{
"mainCode": "001874",
"fundName": "前海开源沪港深价值精选",
"serialHoldingPeriods": 16,
"total": 9.84,
"dataDistributions": [
{
"code": "600519",
"data": 9.84
}
]
},
{
"mainCode": "005241",
"fundName": "中欧时代智慧A",
"serialHoldingPeriods": 14,
"total": 9.84,
"dataDistributions": [
{
"code": "600519",
"data": 9.84
}
]
},
{
"mainCode": "005612",
"fundName": "嘉实核心优势",
"serialHoldingPeriods": 16,
"total": 9.84,
"dataDistributions": [
{
"code": "600519",
"data": 9.84
}
]
},
{
"mainCode": "001102",
"fundName": "前海开源国家比较优势A",
"serialHoldingPeriods": 18,
"total": 9.83,
"dataDistributions": [
{
"code": "600519",
"data": 9.83
}
]
},
{
"mainCode": "001222",
"fundName": "鹏华外延成长",
"serialHoldingPeriods": 5,
"total": 9.83,
"dataDistributions": [
{
"code": "600519",
"data": 9.83
}
]
},
{
"mainCode": "001679",
"fundName": "前海开源中国稀缺资产A",
"serialHoldingPeriods": 18,
"total": 9.83,
"dataDistributions": [
{
"code": "600519",
"data": 9.83
}
]
},
{
"mainCode": "011153",
"fundName": "华宝新兴消费A",
"serialHoldingPeriods": 6,
"total": 9.83,
"dataDistributions": [
{
"code": "600519",
"data": 9.83
}
]
},
{
"mainCode": "012067",
"fundName": "嘉实蓝筹优势A",
"serialHoldingPeriods": 7,
"total": 9.83,
"dataDistributions": [
{
"code": "600519",
"data": 9.83
}
]
},
{
"mainCode": "519664",
"fundName": "银河美丽优萃A",
"serialHoldingPeriods": 18,
"total": 9.83,
"dataDistributions": [
{
"code": "600519",
"data": 9.83
}
]
},
{
"mainCode": "010717",
"fundName": "前海开源优质企业6个月持有A",
"serialHoldingPeriods": 10,
"total": 9.82,
"dataDistributions": [
{
"code": "600519",
"data": 9.82
}
]
},
{
"mainCode": "012225",
"fundName": "嘉实优势精选A",
"serialHoldingPeriods": 8,
"total": 9.82,
"dataDistributions": [
{
"code": "600519",
"data": 9.82
}
]
},
{
"mainCode": "013270",
"fundName": "前海开源聚利一年持有A",
"serialHoldingPeriods": 7,
"total": 9.82,
"dataDistributions": [
{
"code": "600519",
"data": 9.82
}
]
},
{
"mainCode": "001837",
"fundName": "前海开源沪港深蓝筹A",
"serialHoldingPeriods": 14,
"total": 9.81,
"dataDistributions": [
{
"code": "600519",
"data": 9.81
}
]
},
{
"mainCode": "010196",
"fundName": "易方达核心优势A",
"serialHoldingPeriods": 10,
"total": 9.81,
"dataDistributions": [
{
"code": "600519",
"data": 9.81
}
]
},
{
"mainCode": "530006",
"fundName": "建信核心精选",
"serialHoldingPeriods": 17,
"total": 9.81,
"dataDistributions": [
{
"code": "600519",
"data": 9.81
}
]
},
{
"mainCode": "001287",
"fundName": "安信优势增长A",
"serialHoldingPeriods": 9,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "001875",
"fundName": "前海开源沪港深优势精选A",
"serialHoldingPeriods": 18,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "004868",
"fundName": "交银股息优化",
"serialHoldingPeriods": 23,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "005596",
"fundName": "建信战略精选A",
"serialHoldingPeriods": 17,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "010585",
"fundName": "创金合信医药消费A",
"serialHoldingPeriods": 7,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "011893",
"fundName": "易方达长期价值A",
"serialHoldingPeriods": 7,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "012690",
"fundName": "广发消费领先A",
"serialHoldingPeriods": 7,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "160627",
"fundName": "鹏华策略优选",
"serialHoldingPeriods": 20,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "290006",
"fundName": "泰信蓝筹精选",
"serialHoldingPeriods": 5,
"total": 9.8,
"dataDistributions": [
{
"code": "600519",
"data": 9.8
}
]
},
{
"mainCode": "000477",
"fundName": "广发主题领先",
"serialHoldingPeriods": 16,
"total": 9.79,
"dataDistributions": [
{
"code": "600519",
"data": 9.79
}
]
},
{
"mainCode": "000532",
"fundName": "景顺长城优势企业A",
"serialHoldingPeriods": 26,
"total": 9.79,
"dataDistributions": [
{
"code": "600519",
"data": 9.79
}
]
},
{
"mainCode": "002959",
"fundName": "汇添富盈泰",
"serialHoldingPeriods": 16,
"total": 9.79,
"dataDistributions": [
{
"code": "600519",
"data": 9.79
}
]
},
{
"mainCode": "020005",
"fundName": "国泰金马稳健回报A",
"serialHoldingPeriods": 25,
"total": 9.78,
"dataDistributions": [
{
"code": "600519",
"data": 9.78
}
]
},
{
"mainCode": "180012",
"fundName": "银华富裕主题A",
"serialHoldingPeriods": 36,
"total": 9.78,
"dataDistributions": [
{
"code": "600519",
"data": 9.78
}
]
},
{
"mainCode": "000083",
"fundName": "汇添富消费行业",
"serialHoldingPeriods": 29,
"total": 9.77,
"dataDistributions": [
{
"code": "600519",
"data": 9.77
}
]
},
{
"mainCode": "011626",
"fundName": "嘉实匠心回报A",
"serialHoldingPeriods": 9,
"total": 9.77,
"dataDistributions": [
{
"code": "600519",
"data": 9.77
}
]
},
{
"mainCode": "011847",
"fundName": "易方达商业模式优选A",
"serialHoldingPeriods": 7,
"total": 9.77,
"dataDistributions": [
{
"code": "600519",
"data": 9.77
}
]
},
{
"mainCode": "164205",
"fundName": "天弘文化新兴产业A",
"serialHoldingPeriods": 10,
"total": 9.77,
"dataDistributions": [
{
"code": "600519",
"data": 9.77
}
]
},
{
"mainCode": "202212",
"fundName": "南方平衡配置",
"serialHoldingPeriods": 17,
"total": 9.77,
"dataDistributions": [
{
"code": "600519",
"data": 9.77
}
]
},
{
"mainCode": "420003",
"fundName": "天弘永定成长A",
"serialHoldingPeriods": 12,
"total": 9.77,
"dataDistributions": [
{
"code": "600519",
"data": 9.77
}
]
},
{
"mainCode": "910004",
"fundName": "东方红启恒三年持有A",
"serialHoldingPeriods": 9,
"total": 9.77,
"dataDistributions": [
{
"code": "600519",
"data": 9.77
}
]
},
{
"mainCode": "006345",
"fundName": "景顺长城集英成长两年",
"serialHoldingPeriods": 17,
"total": 9.76,
"dataDistributions": [
{
"code": "600519",
"data": 9.76
}
]
},
{
"mainCode": "011917",
"fundName": "山西证券品质生活A",
"serialHoldingPeriods": 8,
"total": 9.76,
"dataDistributions": [
{
"code": "600519",
"data": 9.76
}
]
},
{
"mainCode": "110015",
"fundName": "易方达行业领先",
"serialHoldingPeriods": 21,
"total": 9.76,
"dataDistributions": [
{
"code": "600519",
"data": 9.76
}
]
},
{
"mainCode": "012057",
"fundName": "鹏华品质成长A",
"serialHoldingPeriods": 7,
"total": 9.75,
"dataDistributions": [
{
"code": "600519",
"data": 9.75
}
]
},
{
"mainCode": "900013",
"fundName": "中信证券品质生活A",
"serialHoldingPeriods": 8,
"total": 9.75,
"dataDistributions": [
{
"code": "600519",
"data": 9.75
}
]
},
{
"mainCode": "007548",
"fundName": "易方达ESG责任投资",
"serialHoldingPeriods": 15,
"total": 9.74,
"dataDistributions": [
{
"code": "600519",
"data": 9.74
}
]
}
],
"total": 916
}
修改于 2023-08-22 06:51:36