|
|
|
|
|
 |
|
| 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(%) | | 2007-12-31 | 002011 | 华夏红利 | 5,964.000 | 0.230 | 1.944 | 4.373 | | 2007-12-31 | 500008 | 基金兴华 | 4,259.710 | 0.570 | 1.388 | | 2007-12-31 | 110009 | 易基价值 | 3,195.000 | 0.200 | 1.041 | | 2007-06-30 | 270006 | 广发优选 | 6,230.393 | 0.430 | 4.299 | 20.983 | | 2007-06-30 | 530005 | 建信配置 | 5,519.905 | 0.300 | 3.809 | | 2007-06-30 | 500011 | 基金金鑫 | 4,833.900 | 0.610 | 3.336 | | 2007-06-30 | 110001 | 易基平稳 | 2,760.000 | 0.320 | 1.905 | | 2007-06-30 | 270002 | 广发稳健 | 2,169.744 | 0.280 | 1.497 | | 2007-06-30 | 110010 | 易基价值成长 | 1,913.129 | 0.070 | 1.320 | | 2007-06-30 | 110002 | 易基策略 | 1,782.474 | 0.200 | 1.230 | | 2007-06-30 | 112002 | 易策二号 | 1,683.655 | 0.220 | 1.162 | | 2007-06-30 | 580002 | 东吴动力 | 1,528.940 | 0.440 | 1.055 | | 2007-06-30 | 121002 | 国投景气 | 919.893 | 0.360 | 0.635 | | 2007-06-30 | 184713 | 基金科翔 | 263.507 | 0.080 | 0.182 | | 2007-06-30 | 050004 | 博时精选 | 230.000 | 0.010 | 0.159 | | 2007-06-30 | 121001 | 国投融华 | 229.924 | 0.430 | 0.159 | | 2007-06-30 | 257020 | 德盛精选 | 102.310 | 0.050 | 0.071 | | 2007-06-30 | 270005 | 广发聚丰 | 96.570 | 0.020 | 0.067 | | 2007-06-30 | 184692 | 基金裕隆 | 69.325 | 0.010 | 0.048 | | 2007-06-30 | 500006 | 基金裕阳 | 62.133 | 0.010 | 0.043 | | 2007-06-30 | 500001 | 基金金泰 | 11.554 | 0.000 | 0.008 | | 2007-04-10 | 500021 | 基金金鼎 | 1,370.160 | 1.840 | 0.669 | 0.669 | | 2007-03-31 | 500011 | 基金金鑫 | 11,837.710 | 2.170 | 6.515 | 6.515 | | 2006-12-31 | 500011 | 基金金鑫 | 10,786.016 | 2.230 | 8.525 | 30.473 | | 2006-12-31 | 270006 | 广发优选 | 4,218.264 | 0.220 | 3.334 | | 2006-12-31 | 050004 | 博时精选 | 3,698.168 | 1.140 | 2.923 | | 2006-12-31 | 112002 | 易策二号 | 3,578.304 | 0.490 | 2.828 | | 2006-12-31 | 110001 | 易基平稳 | 2,871.275 | 0.190 | 2.269 | | 2006-12-31 | 500021 | 基金金鼎 | 2,521.349 | 2.930 | 1.993 | | 2006-12-31 | 270001 | 广发聚富 | 1,880.285 | 0.620 | 1.486 | | 2006-12-31 | 270002 | 广发稳健 | 1,870.988 | 0.290 | 1.479 | | 2006-12-31 | 500056 | 基金科瑞 | 1,513.336 | 0.210 | 1.196 | | 2006-12-31 | 110009 | 易基价值 | 1,037.433 | 0.080 | 0.820 | | 2006-12-31 | 020008 | 国泰混合 | 1,004.000 | 0.510 | 0.794 | | 2006-12-31 | 320003 | 诺安股票 | 803.200 | 1.980 | 0.635 | | 2006-12-31 | 184711 | 基金普华 | 496.960 | 0.590 | 0.393 | | 2006-12-31 | 184705 | 基金裕泽 | 496.903 | 0.470 | 0.393 | | 2006-12-31 | 500028 | 基金兴业 | 442.800 | 0.830 | 0.350 | | 2006-12-31 | 270005 | 广发聚丰 | 351.400 | 0.110 | 0.278 | | 2006-12-31 | 020003 | 国泰金龙行业 | 322.752 | 1.750 | 0.255 | | 2006-12-31 | 184713 | 基金科翔 | 222.159 | 0.100 | 0.176 | | 2006-12-31 | 160607 | 鹏华价值 | 169.776 | 0.090 | 0.134 | | 2006-12-31 | 500001 | 基金金泰 | 99.400 | 0.020 | 0.079 | | 2006-12-31 | 184692 | 基金裕隆 | 58.447 | 0.010 | 0.046 | | 2006-12-31 | 050007 | 博时平衡配置 | 57.027 | 0.030 | 0.045 | | 2006-12-31 | 500006 | 基金裕阳 | 52.384 | 0.010 | 0.041 | | 2006-12-31 | 184693 | 基金普丰 | 0.708 | 0.000 | 0.001 | | 2006-09-30 | 500011 | 基金金鑫 | 10,852.639 | 2.480 | 9.469 | 19.181 | | 2006-09-30 | 050004 | 博时精选 | 8,265.178 | 2.760 | 7.211 | | 2006-09-30 | 500021 | 基金金鼎 | 2,296.561 | 2.850 | 2.004 | | 2006-09-30 | 163302 | 巨田资源 | 569.060 | 5.220 | 0.497 | | 2006-08-08 | 500028 | 基金兴业 | 442.800 | 0.830 | 0.396 | 0.396 | | 2006-06-30 | 500011 | 基金金鑫 | 9,065.320 | 2.080 | 9.126 | 32.166 | | 2006-06-30 | 050004 | 博时精选 | 7,037.915 | 2.340 | 7.085 | | 2006-06-30 | 500008 | 基金兴华 | 2,301.800 | 0.690 | 2.317 | | 2006-06-30 | 500021 | 基金金鼎 | 2,031.054 | 2.520 | 2.045 | | 2006-06-30 | 184696 | 基金裕华 | 1,895.359 | 2.460 | 1.908 | | 2006-06-30 | 184692 | 基金裕隆 | 1,353.901 | 0.320 | 1.363 | | 2006-06-30 | 320001 | 诺安平衡 | 1,272.882 | 0.780 | 1.281 | | 2006-06-30 | 100016 | 富国天源平衡 | 1,210.272 | 1.760 | 1.218 | | 2006-06-30 | 500007 | 基金景阳 | 1,184.912 | 0.690 | 1.193 | | 2006-06-30 | 240005 | 华宝策略 | 873.392 | 0.652 | 0.879 | | 2006-06-30 | 040001 | 华安创新 | 799.800 | 0.270 | 0.805 | | 2006-06-30 | 500028 | 基金兴业 | 737.780 | 1.320 | 0.743 | | 2006-06-30 | 500001 | 基金金泰 | 677.000 | 0.220 | 0.682 | | 2006-06-30 | 320003 | 诺安股票 | 439.890 | 0.770 | 0.443 | | 2006-06-30 | 500003 | 基金安信 | 407.087 | 0.130 | 0.410 | | 2006-06-30 | 519008 | 添富优势 | 198.112 | 0.120 | 0.199 | | 2006-06-30 | 070009 | 嘉实短债 | 198.112 | 0.120 | 0.199 | | 2006-06-30 | 002011 | 华夏红利 | 133.300 | 0.440 | 0.134 | | 2006-06-30 | 090001 | 大成价值增长 | 133.300 | 0.210 | 0.134 | | 2006-06-30 | 184693 | 基金普丰 | 0.570 | 0.000 | 0.001 | | 2005-12-31 | 184693 | 基金普丰 | 0.157 | 0.000 | 0.001 | 0.001 | | 2005-06-30 | 184693 | 基金普丰 | 0.157 | 0.000 | 0.001 | 0.001 | | 2004-12-31 | 184693 | 基金普丰 | 1.557 | 0.000 | 0.005 | 0.005 | | 2004-06-30 | 184693 | 基金普丰 | 1.936 | 0.000 | 0.005 | 0.005 | | 2002-06-30 | 184689 | 基金普惠 | 132.104 | 0.065 | 0.158 | 0.265 | | 2002-06-30 | 500019 | 基金普润 | 89.654 | 0.182 | 0.107 | | 2001-12-31 | 500011 | 基金金鑫 | 2,454.681 | 0.760 | 3.176 | 3.176 | | 2001-06-30 | 500011 | 基金金鑫 | 4,336.329 | 1.130 | 3.803 | 3.803 | | 2000-12-31 | 500011 | 基金金鑫 | 11,342.273 | 2.560 | 7.944 | 8.297 | | 2000-12-31 | 500021 | 基金金鼎 | 504.318 | 0.920 | 0.353 | | 2000-09-30 | 500021 | 基金金鼎 | 1,561.318 | 6.410 | 1.303 | 1.303 | | 2000-06-30 | 500011 | 基金金鑫 | 7,186.633 | 1.750 | 5.656 | 5.656 | 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。 |
|
|