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| 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(%) | | 2008-06-30 | 160607 | 鹏华价值 | 2,340.000 | 0.200 | 1.161 | 3.471 | | 2008-06-30 | 519029 | 华夏稳增 | 2,194.230 | 0.220 | 1.088 | | 2008-06-30 | 310358 | 新经济 | 1,325.831 | 0.220 | 0.658 | | 2008-06-30 | 110010 | 易基价值成长 | 1,037.931 | 0.050 | 0.515 | | 2008-06-30 | 160611 | 鹏华优质治理(LOF) | 100.598 | 0.010 | 0.050 | | 2007-12-31 | 160607 | 鹏华价值 | 14,511.265 | 1.000 | 2.792 | 7.372 | | 2007-12-31 | 110010 | 易基价值成长 | 7,772.595 | 0.210 | 1.496 | | 2007-12-31 | 519029 | 华夏稳增 | 3,996.060 | 0.260 | 0.769 | | 2007-12-31 | 310358 | 新经济 | 3,468.215 | 0.380 | 0.667 | | 2007-12-31 | 310328 | 新动力 | 3,015.940 | 0.330 | 0.580 | | 2007-12-31 | 090001 | 大成价值增长 | 2,987.957 | 0.180 | 0.575 | | 2007-12-31 | 160611 | 鹏华优质治理(LOF) | 1,960.263 | 0.110 | 0.377 | | 2007-12-31 | 160603 | 鹏华收益 | 603.200 | 0.160 | 0.116 | | 2007-09-30 | 340006 | 兴业全球视野 | 28,005.120 | 3.370 | 7.014 | 7.014 | | 2007-06-30 | 340006 | 兴业全球视野 | 21,447.360 | 3.650 | 7.014 | 7.899 | | 2007-06-30 | 530005 | 建信配置 | 1,354.000 | 0.070 | 0.443 | | 2007-06-30 | 110010 | 易基价值成长 | 1,353.858 | 0.050 | 0.443 | | 2007-03-31 | 340006 | 兴业全球视野 | 17,648.000 | 5.500 | 7.014 | 7.014 | | 2006-12-31 | 340006 | 兴业全球视野 | 14,750.000 | 3.990 | 8.768 | 21.087 | | 2006-12-31 | 260108 | 景顺成长 | 6,523.772 | 0.900 | 3.878 | | 2006-12-31 | 002011 | 华夏红利 | 6,342.302 | 1.310 | 3.770 | | 2006-12-31 | 162605 | 景顺鼎益 | 4,056.014 | 1.960 | 2.411 | | 2006-12-31 | 260101 | 景顺长城优选 | 1,917.412 | 1.410 | 1.140 | | 2006-12-31 | 162607 | 景顺资源 | 1,311.318 | 0.440 | 0.780 | | 2006-12-31 | 110009 | 易基价值 | 557.270 | 0.040 | 0.331 | | 2006-12-31 | 184693 | 基金普丰 | 14.794 | 0.000 | 0.009 | | 2006-09-30 | 410001 | 华富优选 | 596.050 | 3.940 | 0.568 | 0.568 | | 2006-06-30 | 184693 | 基金普丰 | 3,066.000 | 0.760 | 3.477 | 10.159 | | 2006-06-30 | 257010 | 德盛小盘 | 2,219.515 | 1.030 | 2.517 | | 2006-06-30 | 163801 | 中银中国 | 2,132.982 | 1.800 | 2.419 | | 2006-06-30 | 150103 | 银河银泰 | 1,539.467 | 1.250 | 1.746 | | 2006-03-31 | 257010 | 德盛小盘 | 6,856.000 | 1.570 | 7.957 | 7.957 | | 2005-12-31 | 257010 | 德盛小盘 | 7,610.865 | 1.310 | 10.147 | 13.960 | | 2005-12-31 | 184693 | 基金普丰 | 1,997.177 | 0.700 | 2.663 | | 2005-12-31 | 050004 | 博时精选 | 584.027 | 0.120 | 0.779 | | 2005-12-31 | 184720 | 基金久富 | 278.980 | 0.540 | 0.372 | | 2005-09-30 | 257010 | 德盛小盘 | 10,561.825 | 1.710 | 12.799 | 12.799 | | 2005-06-30 | 257010 | 德盛小盘 | 9,143.702 | 1.490 | 13.033 | 20.377 | | 2005-06-30 | 050004 | 博时精选 | 2,710.249 | 0.550 | 3.863 | | 2005-06-30 | 184692 | 基金裕隆 | 1,288.213 | 0.470 | 1.836 | | 2005-06-30 | 184693 | 基金普丰 | 944.984 | 0.360 | 1.347 | | 2005-06-30 | 160603 | 鹏华收益 | 209.400 | 0.970 | 0.298 | | 2005-03-31 | 257010 | 德盛小盘 | 9,858.762 | 1.480 | 12.447 | 12.447 | | 2004-12-31 | 257010 | 德盛小盘 | 7,935.650 | 1.100 | 9.489 | 17.800 | | 2004-12-31 | 050004 | 博时精选 | 3,188.954 | 0.520 | 3.813 | | 2004-12-31 | 184693 | 基金普丰 | 2,165.809 | 0.810 | 2.590 | | 2004-12-31 | 184706 | 基金天华 | 1,087.861 | 0.510 | 1.301 | | 2004-12-31 | 500056 | 基金科瑞 | 507.380 | 0.150 | 0.607 | | 2004-09-30 | 257010 | 德盛小盘 | 6,308.312 | 0.810 | 7.052 | 7.052 | | 2004-06-30 | 500056 | 基金科瑞 | 2,285.057 | 0.680 | 2.972 | 5.518 | | 2004-06-30 | 184693 | 基金普丰 | 787.153 | 0.290 | 1.024 | | 2004-06-30 | 184713 | 基金科翔 | 719.553 | 0.780 | 0.936 | | 2004-06-30 | 257010 | 德盛小盘 | 451.408 | 0.060 | 0.587 | | 2002-12-31 | 020001 | 国泰金鹰增长 | 851.732 | 0.370 | 1.195 | 1.195 | | 2002-06-30 | 184728 | 基金鸿阳 | 348.948 | 0.166 | 0.466 | 0.674 | | 2002-06-30 | 184712 | 基金科汇 | 140.547 | 0.170 | 0.188 | | 2002-06-30 | 184690 | 基金同益 | 15.675 | 0.007 | 0.021 | | 2001-12-31 | 184692 | 基金裕隆 | 7,542.687 | 2.550 | 9.822 | 10.041 | | 2001-12-31 | 184712 | 基金科汇 | 167.719 | 0.210 | 0.218 | | 2001-09-30 | 184692 | 基金裕隆 | 10,609.619 | 3.450 | 11.824 | 11.824 | | 2001-06-30 | 184692 | 基金裕隆 | 14,384.419 | 4.200 | 11.146 | 11.146 | | 2001-03-31 | 184692 | 基金裕隆 | 14,096.016 | 4.120 | 12.200 | 12.200 | | 2000-12-31 | 184692 | 基金裕隆 | 14,062.593 | 3.030 | 11.978 | 13.335 | | 2000-12-31 | 500010 | 基金金元 | 1,593.554 | 2.940 | 1.357 | | 2000-09-30 | 184692 | 基金裕隆 | 12,188.299 | 2.740 | 12.613 | 13.966 | | 2000-09-30 | 500010 | 基金金元 | 1,307.581 | 2.640 | 1.353 | | 2000-06-30 | 184692 | 基金裕隆 | 12,300.510 | 2.770 | 12.281 | 12.560 | | 2000-06-30 | 184688 | 基金开元 | 279.044 | 0.083 | 0.279 | 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。 |
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