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泛海建设】详情
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代码:000046名称:泛海建设
 
时间基金代码基金名称持股市值
(万元)
占净值比例(%)占个股流通市值比例(%)
2008-06-30110009易基价值13,530.0001.3403.71217.418
2008-06-30160610鹏华动力10,088.9321.0002.768
2008-06-30590002中邮核心成长9,541.7270.3992.618
2008-06-30161610融通领先成长9,020.0001.8002.475
2008-06-30184698基金天元3,854.6181.0201.057
2008-06-30590001中邮核心3,812.8200.2791.046
2008-06-30020005国泰金马3,419.5090.5800.938
2008-06-30160706嘉实3002,297.0050.1000.630
2008-06-30159901深证100ETF1,545.1260.4000.424
2008-06-30050002博时裕富1,287.9310.1000.353
2008-06-30110010易基价值成长1,199.7520.0500.329
2008-06-30184701基金景福898.4590.2400.246
2008-06-30161604融通深证100896.7930.1100.246
2008-06-30519300大成300537.0840.0900.147
2008-06-30020011国泰沪深300398.9270.1100.109
2008-06-30500001基金金泰306.6480.1500.084
2008-06-30110029易方达科讯246.0000.0300.067
2008-06-30040002华安A股164.0000.0400.045
2008-06-30020010国泰金牛创新164.0000.0400.045
2008-06-30200002长城久泰152.2250.0700.042
2008-06-30184693基金普丰119.9130.0300.033
2008-06-30202003南方绩优成长8.2000.0000.002
2008-06-30100026富国天合稳健0.1640.0000.000
2008-06-30110018易方达增强回报0.0820.0000.000
2008-03-31110009易基价值33,885.0002.4604.0498.046
2008-03-31500056基金科瑞21,211.8332.2702.535
2008-03-31184698基金天元12,237.6691.5501.462
2007-12-31110009易基价值40,950.0002.5404.04930.743
2007-12-31500056基金科瑞33,267.0292.8903.289
2007-12-31110002易基策略23,559.5951.5402.330
2007-12-31161706招商成长23,193.9661.8102.293
2007-12-31590001中邮核心20,680.2050.7202.045
2007-12-31160610鹏华动力20,247.1681.3002.002
2007-12-31270006广发优选19,534.9700.7101.932
2007-12-31202002南稳贰号18,200.0000.8901.800
2007-12-31112002易策二号16,552.4221.2301.637
2007-12-31590002中邮核心成长15,329.3960.3181.516
2007-12-31160106南方高增13,820.1791.0901.367
2007-12-31160105南方积配11,375.0001.5701.125
2007-12-31184698基金天元8,773.7290.9000.868
2007-12-31161610融通领先成长8,190.0000.8500.810
2007-12-31217005招商先锋7,261.8270.5400.718
2007-12-31050002博时裕富6,110.1770.2500.604
2007-12-31160706嘉实3005,568.7810.1400.551
2007-12-31110005易基积极5,460.0000.3000.540
2007-12-31580002东吴动力3,955.8930.9600.391
2007-12-31020005国泰金马2,678.5300.2700.265
2007-12-31519300大成3001,518.2900.1400.150
2007-12-31020010国泰金牛创新1,365.0000.1800.135
2007-12-31377010上投α1,098.0240.0800.109
2007-12-31202001南方稳健成长907.7250.0500.090
2007-12-31110010易基价值成长735.6900.0200.073
2007-12-31040002华安A股455.0000.0700.045
2007-12-31020011国泰沪深30070.0700.0100.007
2007-12-31202003南方绩优成长45.5000.0000.004
2007-12-31184693基金普丰6.3700.0000.001
2007-12-31100026富国天合稳健0.4550.0000.000
2007-09-30202002南稳贰号62,368.5172.3804.19512.450
2007-09-30110009易基价值57,646.7723.2803.877
2007-09-30500056基金科瑞41,011.9183.2702.759
2007-09-30184698基金天元24,069.0092.2601.619
2007-08-25161706招商成长16,330.7771.3701.2451.245
2007-07-01202002南稳贰号62,368.5172.3808.13611.275
2007-07-01184698基金天元24,069.0092.2603.140
2007-06-30202002南稳贰号33,778.1261.4504.40633.276
2007-06-30110009易基价值25,194.8382.0303.287
2007-06-30530005建信配置19,830.9191.0702.587
2007-06-30590001中邮核心19,273.7881.1852.514
2007-06-30161706招商成长16,330.7771.3702.130
2007-06-30160610鹏华动力15,971.7261.4302.083
2007-06-30110002易基策略15,356.1071.6902.003
2007-06-30184698基金天元15,123.8101.7001.973
2007-06-30270006广发优选14,830.7001.0201.935
2007-06-30500056基金科瑞14,161.5751.5101.847
2007-06-30112002易策二号13,006.1001.6701.697
2007-06-30110005易基积极7,678.9260.4201.002
2007-06-30160106南方高增6,898.0000.8300.900
2007-06-30500002基金泰和6,348.4781.0100.828
2007-06-30070003嘉实稳健4,979.9110.3000.650
2007-06-30050002博时裕富4,631.6480.2100.604
2007-06-30161610融通领先成长4,371.3591.3900.570
2007-06-30202005南方成份精选3,356.5250.1600.438
2007-06-30570001诺德价值优势2,863.1800.2800.373
2007-06-30160706嘉实3002,742.0310.1900.358
2007-06-30161601新 蓝 筹2,432.0491.4900.317
2007-06-30160311华夏蓝筹核心1,724.5000.0500.225
2007-06-30160603鹏华收益1,448.5802.1400.189
2007-06-30020001国泰金鹰增长1,034.7000.9900.135
2007-06-30020005国泰金马1,034.5520.9400.135
2007-06-30202001南方稳健成长688.0760.0400.090
2007-06-30100026富国天合稳健0.3450.0000.000
2007-04-19570001诺德价值优势2,863.1800.2800.5280.528
2007-03-31184698基金天元16,166.5711.9702.8243.004
2007-03-31162102金鹰小盘1,030.4005.7700.180
2007-01-09160610鹏华动力15,971.7261.4303.3443.344
2007-01-01500056基金科瑞14,161.5751.5103.4073.407
2006-12-31270006广发优选29,338.9841.5207.05919.933
2006-12-31270001广发聚富8,976.0002.9602.160
2006-12-31500056基金科瑞8,784.6211.2302.114
2006-12-31184698基金天元7,850.7261.1801.889
2006-12-31270002广发稳健7,133.2761.0901.716
2006-12-31002001华夏回报3,739.6951.2600.900
2006-12-31110009易基价值3,671.0550.2800.883
2006-12-31110002易基策略3,179.0000.8200.765
2006-12-31410001华富优选2,554.0934.9300.614
2006-12-31270005广发聚丰2,127.7720.6700.512
2006-12-31161601新 蓝 筹1,925.6472.1400.463
2006-12-31184688基金开元1,618.6670.3900.389
2006-12-31110001易基平稳700.1730.0500.168
2006-12-31530001建信价值561.0000.3400.135
2006-12-31110005易基积极561.0000.2400.135
2006-12-31184693基金普丰69.1080.0100.017
2006-12-31163801中银中国57.7830.0500.014
2006-06-30184698基金天元3,948.4290.8402.2954.225
2006-06-30184712基金科汇1,446.7000.9400.841
2006-06-30270005广发聚丰704.7560.2600.410
2006-06-30110001易基平稳448.0330.1700.260
2006-06-30050001博时增长387.0000.1700.225
2006-06-30240005华宝策略180.9090.1350.105
2006-06-30184699基金同盛122.1480.0300.071
2006-06-30184693基金普丰31.0260.0100.018
2005-12-31184693基金普丰0.6910.0000.0010.001
2005-06-30184693基金普丰0.6830.0000.0010.001
2004-12-31184693基金普丰0.7630.0000.0010.001
2004-06-30184693基金普丰36.4650.0100.0540.054
2003-06-30500058基金银丰347.1230.1100.3930.393
2002-12-31184721基金丰和335.0000.1250.3980.763
2002-12-31500028基金兴业201.0000.5200.239
2002-12-31184728基金鸿阳80.0040.0480.095
2002-12-31184691基金景宏27.1350.0200.032
2002-06-30184721基金丰和517.0000.1640.3990.810
2002-06-30184708基金兴科227.4800.4500.176
2002-06-30500028基金兴业206.8000.4500.160
2002-06-30184689基金普惠56.2500.0280.043
2002-06-30184691基金景宏41.8770.0200.032
2001-12-31500015基金汉兴909.0700.3200.7921.567
2001-12-31184702基金同智457.6320.8610.399
2001-12-31500007基金景阳383.7400.3900.334
2001-12-31184698基金天元45.4500.0100.040
2001-12-31500039基金同德2.7270.0060.002
2001-06-30500007基金景阳1,172.1341.0000.7081.690
2001-06-30184695基金景博1,103.4000.8900.666
2001-06-30184696基金裕华261.2940.4600.158
2001-06-30184702基金同智261.2000.4470.158
2000-12-31500002基金泰和642.4100.2300.5140.535
2000-12-31184692基金裕隆26.7280.0100.021
2000-06-30500002基金泰和660.9070.2210.5290.529
数据说明:
1、"占个股总市值比例"是"基金持股市值"占"个股总市值"的比率。其中"基金持股市值"是采用基金当时公布的数据,在一定时期内是固定不变的;
2、以上数据来源于基金每季度公布的持仓明细表前十名股票;
3、显示规则按照"基金持有股票的重合率、持股总市值的高低"进行排序;
4、"个股总市值"是"报表发布日期的收盘价"与"流通盘"相乘而得,如果该数据为空,则表示该期流通盘尚未公布;
该数据仅供参考,本网站不对其完整性和准确性负责。据此入市,风险自担。