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代码:000562名称:宏源证券
 
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(%)
2007-12-31590002中邮核心成长78,314.3561.6263.9549.235
2007-12-31161604融通深证10015,116.0411.2200.763
2007-12-31160706嘉实30012,438.2580.3200.628
2007-12-31160610鹏华动力9,800.0000.6300.495
2007-12-31050201博时价值贰号9,799.2940.7000.495
2007-12-31050002博时裕富8,359.3650.3400.422
2007-12-31159901深证100ETF7,887.1031.2600.398
2007-12-31398021中海能源7,840.0000.4300.396
2007-12-31519005海富股票7,582.2870.8400.383
2007-12-31519013海富优势6,271.6470.8000.317
2007-12-31180003银华道琼斯885,801.6000.2900.293
2007-12-31570001诺德价值优势3,920.0000.4000.198
2007-12-31519300大成3003,500.2110.3200.177
2007-12-31161607融通巨潮2,221.1700.4200.112
2007-12-31184693基金普丰1,325.7710.1400.067
2007-12-31519100长盛1001,038.3020.4200.052
2007-12-31040002华安A股898.9340.1400.045
2007-12-31200002长城久泰784.0000.2100.040
2007-12-31373010上投双息0.1140.0000.000
2007-11-21184718基金兴安6,415.9843.4900.3240.324
2007-09-30000001华夏成长45,854.4983.3502.1852.508
2007-09-30184718基金兴安6,795.1833.1000.324
2007-06-30000001华夏成长19,337.3581.7901.3358.183
2007-06-30161604融通深证10016,501.0661.2601.140
2007-06-30160311华夏蓝筹核心13,184.7690.3900.910
2007-06-30160610鹏华动力9,669.0000.8600.668
2007-06-30530001建信价值8,203.5250.7400.567
2007-06-30184706基金天华8,110.2391.5800.560
2007-06-30180003银华道琼斯887,617.4960.9500.526
2007-06-30050002博时裕富7,158.3090.3300.494
2007-06-30160706嘉实3006,040.0660.4300.417
2007-06-30159901深证100ETF5,106.9111.3900.353
2007-06-30519300大成3004,722.8990.4000.326
2007-06-30160611鹏华优质治理3,515.7330.2000.243
2007-06-30180012银华富裕2,930.0000.2500.202
2007-06-30400001东方龙1,618.8250.9600.112
2007-06-30161607融通巨潮1,401.1260.4000.097
2007-06-30160603鹏华收益1,230.6001.8100.085
2007-06-30184693基金普丰1,189.7840.1600.082
2007-06-30161606融通行业512.7500.9100.035
2007-06-30040002华安A股378.9080.1400.026
2007-06-30202001南方稳健成长65.6320.0000.005
2007-06-30373010上投双息0.0850.0000.000
2007-03-31519994长信金利875.2004.5000.1250.125
2007-01-09160610鹏华动力9,669.0000.8602.4252.425
2006-12-31002011华夏红利11,558.2602.3802.9718.150
2006-12-31184718基金兴安3,353.7253.0900.862
2006-12-31530003建信成长3,128.0580.5100.804
2006-12-31159901深证100ETF2,724.7310.8700.700
2006-12-31500038基金通乾2,466.0000.7100.634
2006-12-31500008基金兴华2,465.8990.5600.634
2006-12-31240005华宝策略1,641.6001.1600.422
2006-12-31161606融通行业1,435.8092.4500.369
2006-12-31090004大成精选增值680.9600.0700.175
2006-12-31530001建信价值607.9760.3700.156
2006-12-31161604融通深证100604.2780.8500.155
2006-12-31050002博时裕富486.4000.3000.125
2006-12-31040002华安A股243.2000.2500.063
2006-12-31160706嘉实300160.3900.2900.041
2006-12-31519300大成300150.3380.2800.039
2006-12-31184693基金普丰1.5460.0000.000
2006-09-30500038基金通乾8,495.1303.0303.2583.258
2006-06-30500038基金通乾7,136.4892.5902.4956.024
2006-06-30161606融通行业3,458.4605.5901.209
2006-06-30184688基金开元2,956.8000.8901.034
2006-06-30202001南方稳健成长1,918.5360.6500.671
2006-06-30500010基金金元923.9081.2500.323
2006-06-30410001华富优选360.2462.2700.126
2006-06-30090004大成精选增值357.6001.0200.125
2006-06-30160706嘉实300116.3090.3500.041
2006-06-30184693基金普丰1.1590.0000.000
2006-06-30202101南方宝元债券0.8940.0010.000
2005-12-31500038基金通乾1,244.6910.6401.3001.506
2005-12-31161606融通行业197.5000.1700.206
2005-12-31184693基金普丰0.3750.0000.000
2005-06-30184693基金普丰0.4180.0000.0000.000
2004-12-31050002博时裕富590.1630.1700.5050.858
2004-12-31161604融通深证100403.7000.4700.346
2004-12-31184693基金普丰8.7060.0000.007
2004-06-30050002博时裕富585.4820.1700.4280.957
2004-06-30161604融通深证100333.2260.4800.244
2004-06-30184720基金久富317.2020.6800.232
2004-06-30184693基金普丰73.2480.0300.054
2003-12-31184710基金隆元1,506.4863.3100.9461.866
2003-12-31050002博时裕富856.5830.1900.538
2003-12-31161604融通深证100285.4400.6000.179
2003-12-31184693基金普丰264.9320.0890.166
2003-12-31240002宝康配置59.1300.0560.037
2003-06-30500028基金兴业865.0002.0500.6640.664
2002-12-31184720基金久富379.8570.8900.3220.455
2002-12-31184718基金兴安156.4000.3800.133
2002-06-30184720基金久富393.0500.7500.2300.428
2002-06-30184728基金鸿阳224.6000.1070.132
2002-06-30184696基金裕华112.3000.2100.066
2001-12-31184690基金同益122.8540.0510.0780.197
2001-12-31184710基金隆元112.6930.2700.072
2001-12-31500039基金同德73.7410.1490.047
2001-09-30500039基金同德201.0930.4100.1140.114
2001-06-30184710基金隆元461.6270.8700.2050.205
2000-12-31184690基金同益2,365.5000.6540.9861.630
2000-12-31184710基金隆元1,032.9512.0500.430
2000-12-31184702基金同智513.9960.8790.214
2000-06-30184690基金同益2,814.0000.8801.3292.036
2000-06-30184689基金普惠1,498.4550.4800.708
2000-03-31184690基金同益6,343.1122.0702.7752.775
1999-09-30184690基金同益5,114.9921.8503.1923.192
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。