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代码:000876名称:新 希 望
 
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(%)
2008-06-30160706嘉实3001,744.0800.0800.5702.010
2008-06-30320001诺安平衡1,592.4280.1900.521
2008-06-30160611鹏华优质治理1,072.8000.1300.351
2008-06-30050002博时裕富973.4430.0800.318
2008-06-30020011国泰沪深300302.6700.0800.099
2008-06-30519300大成300257.9190.0400.084
2008-06-30184693基金普丰112.0990.0300.037
2008-06-30040002华安A股89.4000.0200.029
2007-12-31200007长城安心回报4,487.3260.2500.7361.600
2007-12-31160706嘉实3003,419.9290.0900.561
2007-12-31040001华安创新761.0860.0500.125
2007-12-31519300大成300568.4310.0500.093
2007-12-31184693基金普丰455.6240.0500.075
2007-12-31020011国泰沪深30061.4620.0100.010
2007-06-30160611鹏华优质治理6,159.9740.3501.3273.950
2007-06-30410003华富成长4,098.2340.7800.883
2007-06-30450003国富潜力3,802.4590.2900.819
2007-06-30217009招商价值3,041.9270.2200.656
2007-06-30500007基金景阳766.5000.2500.165
2007-06-30184713基金科翔459.8390.1500.099
2007-05-14184711基金普华1,323.0001.1000.2300.230
2006-12-31530003建信成长3,606.4740.5901.5333.129
2006-12-31163402兴业趋势1,743.9231.3000.741
2006-12-31410001华富优选1,299.7942.5100.552
2006-12-31002011华夏红利697.6000.1400.296
2006-12-31184693基金普丰13.9510.0000.006
2006-06-30184699基金同盛8,526.0082.2205.91211.691
2006-06-30320001诺安平衡4,704.6232.9003.262
2006-06-30320003诺安股票2,490.7704.3601.727
2006-06-30090001大成价值增长534.5000.8500.371
2006-06-30002011华夏红利534.5001.7600.371
2006-06-30184693基金普丰70.3340.0200.049
2006-03-31320001诺安平衡6,633.8304.4807.09610.275
2006-03-31320003诺安股票2,972.2517.3403.179
2005-12-31320001诺安平衡2,936.4911.9104.0059.072
2005-12-31184699基金同盛1,439.2840.5101.963
2005-12-31184693基金普丰855.6540.3001.167
2005-12-31500039基金同德775.5001.3701.058
2005-12-31020005国泰金马352.5000.5700.481
2005-12-31184702基金同智187.1650.3200.255
2005-12-31257010德盛小盘105.0450.0200.143
2005-06-30184699基金同盛2,615.0821.0003.80411.185
2005-06-30000001华夏成长2,053.2721.0002.987
2005-06-30500018基金兴和1,632.8650.6102.375
2005-06-30240005华宝策略694.2470.2081.010
2005-06-30080001长盛成长244.6680.2200.356
2005-06-30184693基金普丰167.5870.0600.244
2005-06-30500021基金金鼎149.0390.3200.217
2005-06-30400001东方龙132.2000.3670.192
2004-12-31240005华宝策略503.3760.1200.8182.575
2004-12-31184699基金同盛455.4090.1700.740
2004-12-31184693基金普丰367.5190.1400.597
2004-12-31162203荷银稳定182.3110.4500.296
2004-12-31500039基金同德76.4730.1400.124
2004-06-30184692基金裕隆1,632.0000.5302.3144.009
2004-06-30257010德盛小盘679.9290.0900.964
2004-06-30240001宝康消费354.6450.2690.503
2004-06-30184719基金融鑫128.1990.1390.182
2004-06-30184693基金普丰32.1460.0100.046
2003-12-31184692基金裕隆5,040.6391.5605.49515.878
2003-12-31500038基金通乾4,192.4002.0104.570
2003-12-31184738基金通宝1,829.0104.0001.994
2003-12-31500058基金银丰1,402.1330.4201.529
2003-12-31161601新 蓝 筹1,006.0000.7341.097
2003-12-31240001宝康消费627.4550.4100.684
2003-12-31240002宝康配置328.9850.3120.359
2003-12-31184722基金久嘉138.2600.0600.151
2003-09-30184692基金裕隆4,925.2551.7305.50713.330
2003-09-30500038基金通乾4,544.9972.4505.082
2003-09-30184738基金通宝2,452.1865.8902.742
2003-06-30184692基金裕隆5,377.0201.7905.38619.876
2003-06-30500038基金通乾5,100.8742.6505.109
2003-06-30161601新 蓝 筹2,774.3651.7602.779
2003-06-30184738基金通宝2,751.5816.1202.756
2003-06-30184695基金景博1,340.1021.4601.342
2003-06-30500016基金裕元676.9850.4300.678
2003-06-30500002基金泰和540.1610.2800.541
2003-06-30500006基金裕阳321.3880.1600.322
2003-06-30213001宝盈鸿利240.5420.3360.241
2003-06-30184722基金久嘉237.3370.1200.238
2003-06-30500021基金金鼎200.8620.4700.201
2003-06-30040001华安创新191.9900.0600.192
2003-06-30184703基金金盛90.9440.1900.091
2002-12-31500006基金裕阳1,228.9990.7001.4884.876
2002-12-31500013基金安瑞752.6011.6100.911
2002-12-31040001华安创新635.4810.1500.770
2002-12-31500016基金裕元369.5750.2700.448
2002-12-31184692基金裕隆315.6000.1200.382
2002-12-31000001华夏成长309.6760.0800.375
2002-12-31184703基金金盛136.7230.3300.166
2002-12-31184698基金天元125.6880.0500.152
2002-12-31500015基金汉兴106.8360.0500.129
2002-12-31500019基金普润45.0210.1060.055
2002-06-30184703基金金盛399.2000.8600.4091.157
2002-06-30184728基金鸿阳347.6160.1650.356
2002-06-30184708基金兴科151.4700.3000.155
2002-06-30184689基金普惠139.9630.0690.143
2002-06-30500019基金普润90.5760.1840.093
2001-12-31500002基金泰和2,737.3281.4452.7426.244
2001-12-31500035基金汉博1,392.5802.9201.395
2001-12-31184703基金金盛772.2071.7000.773
2001-12-31184692基金裕隆761.7710.2600.763
2001-12-31500006基金裕阳462.0180.2300.463
2001-12-31184718基金兴安108.2900.2300.108
2001-06-30500002基金泰和2,565.2450.9202.2354.539
2001-06-30184718基金兴安1,518.3012.7201.323
2001-06-30184703基金金盛1,124.7612.0600.980
2001-03-31184718基金兴安2,637.0504.8202.2903.282
2001-03-31184703基金金盛1,141.6662.1500.992
2000-12-31500002基金泰和3,563.4551.2503.5936.908
2000-12-31184718基金兴安2,302.9194.3202.322
2000-12-31184703基金金盛984.8071.7000.993
2000-06-30500002基金泰和2,959.2900.9903.5043.504
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。