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代码:000717名称:韶钢松山
 
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(%)
2008-06-30360001量化核心9,836.5050.7601.64810.106
2008-06-30110029易方达科讯6,347.9990.7301.064
2008-06-30202009南方盛元5,885.1991.0800.986
2008-06-30560003益民创新优势5,717.4851.0850.958
2008-06-30161604融通深证1005,179.2100.6300.868
2008-06-30360007光大保德信优势配置5,114.8300.4000.857
2008-06-30160706嘉实3003,825.0640.1700.641
2008-06-30159901深证100ETF2,524.8400.6500.423
2008-06-30050002博时裕富2,465.0170.2000.413
2008-06-30560002益民红利1,834.7420.8940.307
2008-06-30184698基金天元1,273.3190.3400.213
2008-06-30519087新世纪优选1,058.0000.8400.177
2008-06-30110001易基平稳1,057.9440.2100.177
2008-06-30519300大成3001,051.3720.1700.176
2008-06-30020011国泰沪深300664.6350.1800.111
2008-06-30184693基金普丰290.3620.0800.049
2008-06-30200002长城久泰239.8950.1200.040
2008-06-30040002华安A股52.9000.0100.009
2008-06-30373010上投双息0.0390.0000.000
2008-06-30375010上投优势0.0030.0000.000
2008-03-31510081长盛精选3,293.1231.6200.3360.336
2007-12-31270007广发大盘成长25,855.7771.0301.98623.361
2007-12-31360001量化核心19,150.0840.6701.471
2007-12-31560003益民创新优势16,636.0041.6331.278
2007-12-31184712基金科汇16,249.2874.1501.248
2007-12-31040008华安策略优选15,932.6580.6801.224
2007-12-31270002广发稳健15,041.4771.0201.156
2007-12-31110005易基积极14,667.3110.8101.127
2007-12-31110009易基价值13,282.4180.8201.020
2007-12-31460001友邦盛世11,546.3830.8600.887
2007-12-31519011海富精选11,540.0000.8000.887
2007-12-31110001易基平稳11,540.0001.4400.887
2007-12-31360007光大保德信优势配置10,126.7720.5100.778
2007-12-31161604融通深证1009,888.9930.8000.760
2007-12-31580002东吴动力9,576.0202.3200.736
2007-12-31519013海富优势9,051.0641.1500.695
2007-12-31184698基金天元8,323.9990.8500.639
2007-12-31270006广发优选7,691.9180.2800.591
2007-12-31519005海富股票7,442.3490.8200.572
2007-12-31320003诺安股票6,808.6000.1600.523
2007-12-31360005光大红利6,325.6290.9700.486
2007-12-31202005南方成份精选5,817.3430.1900.447
2007-12-31184692基金裕隆5,769.9520.5300.443
2007-12-31320005诺安价值5,539.1770.3000.426
2007-12-31160706嘉实3005,041.1290.1300.387
2007-12-31159901深证100ETF4,448.0400.7100.342
2007-12-31530005建信配置4,345.9310.2900.334
2007-12-31112002易策二号3,966.7200.2900.305
2007-12-31519015海富通精选2号3,462.0000.6000.266
2007-12-31110029易方达科讯3,462.0001.5600.266
2007-12-31163804中银收益3,193.8730.5300.245
2007-12-31040004华安宝利2,400.4650.7400.184
2007-12-31184713基金科翔2,308.0000.5400.177
2007-12-31519300大成3001,347.4320.1200.104
2007-12-31184700基金鸿飞1,154.0000.6500.089
2007-12-31110002易基策略1,153.9450.0800.089
2007-12-31040002华安A股980.9000.1500.075
2007-12-31184693基金普丰845.8090.0900.065
2007-12-31360006光大增长807.8000.4500.062
2007-12-31200002长城久泰549.7930.1500.042
2007-12-31206001鹏华行业成长461.6000.6000.035
2007-12-31184721基金丰和230.8000.0300.018
2007-12-31020011国泰沪深300131.7870.0200.010
2007-12-31373010上投双息0.0840.0000.000
2007-12-31375010上投优势0.0070.0000.000
2007-12-17500029基金科讯3,006.0001.5000.2660.266
2007-09-30110001易基平稳28,343.7663.0902.1865.785
2007-09-30481006工银瑞信红利23,412.0083.0401.805
2007-09-30500029基金科讯8,710.0002.9500.672
2007-09-30001001华夏债券A/B6,424.8401.0700.495
2007-09-30001003华夏债券C类6,424.8401.0700.495
2007-09-30100018富国天利债券1,696.0450.7800.131
2007-07-30481006工银瑞信红利23,412.0083.0403.4453.445
2007-06-30110010易基价值成长15,428.6580.5602.73720.174
2007-06-30160311华夏蓝筹核心(LOF)14,099.9690.4102.501
2007-06-30110005易基积极10,735.2750.5801.904
2007-06-30375010上投优势10,345.4580.9801.835
2007-06-30184698基金天元7,285.6840.8201.293
2007-06-30161604融通深证1006,609.3760.5101.173
2007-06-30590001中邮核心5,998.4420.3691.064
2007-06-30500029基金科讯4,344.0001.8900.771
2007-06-30530003建信成长4,229.9010.5200.750
2007-06-30360001量化核心3,877.5000.7100.688
2007-06-30002021华回报二3,417.8180.4200.606
2007-06-30560002益民红利2,820.0001.5380.500
2007-06-30530001建信价值2,820.0000.2600.500
2007-06-30320005诺安价值2,714.2500.4900.482
2007-06-30002011华夏红利2,115.0000.2300.375
2007-06-30410001华富优选2,100.9000.4200.373
2007-06-30160706嘉实3002,000.8540.1400.355
2007-06-30159901深证100ETF1,937.8010.5300.344
2007-06-30519300大成3001,651.8280.1400.293
2007-06-30320003诺安股票1,515.7500.0900.269
2007-06-30202005南方成份精选1,410.0000.0700.250
2007-06-30213002宝盈区域增长1,409.9680.4500.250
2007-06-30184713基金科翔1,266.8910.4100.225
2007-06-30110001易基平稳980.3380.1100.174
2007-06-30519688交银精选923.5500.0600.164
2007-06-30360006光大增长599.2501.6100.106
2007-06-30184693基金普丰562.0820.0800.100
2007-06-30200002长城久泰269.5500.1500.048
2007-06-30040002华安A股246.7500.0900.044
2007-06-30373010上投双息0.0510.0000.000
2006-12-31159901深证100ETF2,018.6830.6400.7011.218
2006-12-31161604融通深证100451.6480.6300.157
2006-12-31050002博时裕富437.8310.2700.152
2006-12-31040002华安A股216.0000.2200.075
2006-12-31184693基金普丰104.1330.0200.036
2006-12-31160706嘉实30087.1940.1600.030
2006-12-31519300大成30081.6310.1500.028
2006-12-31200002长城久泰76.0060.1700.026
2006-12-31161607融通巨潮32.3640.0300.011
2006-06-30375010上投优势5,051.1942.1001.9267.174
2006-06-30184693基金普丰3,188.1590.7801.216
2006-06-30500029基金科讯2,896.7352.0401.105
2006-06-30159901深证100ETF2,416.0000.8700.921
2006-06-30184728基金鸿阳1,979.9680.7100.755
2006-06-30184711基金普华844.8001.4700.322
2006-06-30184701基金景福679.2480.1900.259
2006-06-30050002博时裕富616.5760.3700.235
2006-06-30519300大成300262.3800.2300.100
2006-06-30040002华安A股196.8000.2100.075
2006-06-30519996长信银利164.0001.4700.063
2006-06-30500017基金景业99.0000.1400.038
2006-06-30200002长城久泰95.3580.2200.036
2006-06-30373010上投双息91.4330.0100.035
2006-06-30160706嘉实30078.3610.2400.030
2006-06-30161607融通巨潮68.8800.4300.026
2006-06-30161604融通深证10052.4740.1100.020
2006-06-30350002天治品质32.8000.4500.013
2006-06-30180003银华道琼斯880.3280.0000.000
2005-12-31050002博时裕富1,121.2320.3900.5871.853
2005-12-31288001中信经典1,075.6800.1500.563
2005-12-31161604融通深证100658.0400.9800.344
2005-12-31200002长城久泰314.1560.2900.164
2005-12-31160706嘉实300258.0310.2700.135
2005-12-31161607融通巨潮113.2170.4500.059
2005-12-31180003银华道琼斯880.2390.0000.000
2005-12-31184693基金普丰0.1560.0000.000
2005-06-30050002博时裕富1,469.7980.4700.6981.343
2005-06-30161604融通深证100601.4260.8300.286
2005-06-30200002长城久泰520.1710.3370.247
2005-06-30360001量化核心238.2620.1500.113
2005-06-30184693基金普丰0.1740.0000.000
2005-06-30180003银华道琼斯880.1140.0000.000
2004-12-31360001量化核心2,391.5331.2400.8752.332
2004-12-31050002博时裕富2,247.2680.6300.823
2004-12-31161604融通深证100943.6881.1000.345
2004-12-31200002长城久泰663.1370.3690.243
2004-12-31240002宝康配置125.7730.1580.046
2004-12-31180003银华道琼斯880.7380.0000.000
2004-12-31184693基金普丰0.2230.0000.000
2004-09-30000001华夏成长9,220.0002.7902.7013.739
2004-09-30510081长盛精选3,541.7881.0501.038
2004-06-30000001华夏成长10,312.0603.4003.3327.080
2004-06-30050001博时增长6,838.3881.8102.210
2004-06-30050002博时裕富1,817.9490.5400.587
2004-06-30200001长城久恒平衡841.0030.8260.272
2004-06-30161604融通深证100804.9191.1500.260
2004-06-30500005基金汉盛655.8600.3400.212
2004-06-30150103银河银泰376.2000.0700.122
2004-06-30240002宝康配置168.5320.2250.054
2004-06-30184721基金丰和97.2390.0320.031
2004-06-30184693基金普丰0.2550.0000.000
2004-03-31000001华夏成长10,576.2072.9302.2276.347
2004-03-31050001博时增长10,494.7992.6702.210
2004-03-31200001长城久恒平衡3,433.2572.9200.723
2004-03-31184708基金兴科3,276.6005.2300.690
2004-03-31500035基金汉博2,367.2094.5400.498
2003-12-31050001博时增长7,076.9882.7501.7654.992
2003-12-31500056基金科瑞4,638.9621.3501.157
2003-12-31050002博时裕富3,452.2490.7800.861
2003-12-31100016富国天源平衡3,086.5501.8600.770
2003-12-31184708基金兴科972.0001.7000.242
2003-12-31161604融通深证100786.8941.6700.196
2003-12-31184713基金科翔0.3760.0000.000
2003-09-30100016富国天源平衡8,193.1083.5803.2595.484
2003-09-30050001博时增长5,591.8792.5602.225
2003-06-30100016富国天源平衡12,354.4154.6404.12010.172
2003-06-30050001博时增长7,289.9683.5902.431
2003-06-30500056基金科瑞5,427.8011.7901.810
2003-06-30184722基金久嘉1,840.9590.9100.614
2003-06-30184712基金科汇1,557.0301.8500.519
2003-06-30184700基金鸿飞961.6802.0160.321
2003-06-30184719基金融鑫525.2410.5800.175
2003-06-30184708基金兴科362.1000.7200.121
2003-06-30180001银华优势企业180.8990.1600.060
2003-06-30184710基金隆元1.1620.0000.000
2003-03-31050001博时增长9,419.8283.7204.08610.799
2003-03-31100016富国天源平衡5,369.2641.5602.329
2003-03-31184713基金科翔4,291.1375.3001.862
2003-03-31184710基金隆元2,261.8805.5600.981
2003-03-31213001宝盈鸿利1,541.1001.5200.669
2003-03-31184700基金鸿飞1,074.6232.3700.466
2003-03-31500035基金汉博935.5142.2400.406
2002-12-31206001鹏华行业成长304.8120.0960.2950.366
2002-12-31184738基金通宝72.6080.1700.070
2001-12-31184718基金兴安160.2280.3500.1480.148
2000-12-31500018基金兴和3,826.7090.9003.0734.480
2000-12-31500008基金兴华1,752.3470.5701.407
2000-06-30500018基金兴和6,127.5001.5205.5478.387
2000-06-30500008基金兴华3,136.7641.0902.840
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。