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代码:000939名称:凯迪电力
 
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(%)
2008-06-30162204荷银精选1,308.9120.3300.6021.422
2008-06-30161903万家公用841.5002.1500.387
2008-06-30162203荷银稳定579.5781.5300.267
2008-06-30040002华安A股251.9540.0600.116
2008-06-30200002长城久泰110.6910.0500.051
2007-12-31161604融通深证1004,058.5820.3301.0331.871
2007-12-31159901深证100ETF2,016.5170.3200.513
2007-12-31040002华安A股1,028.1370.1600.262
2007-12-31200002长城久泰246.8610.0700.063
2007-06-30161604融通深证1003,568.1640.2701.2312.276
2007-06-30162006长城久富1,061.4400.1100.366
2007-06-30159901深证100ETF993.5630.2700.343
2007-06-30040002华安A股803.7310.3000.277
2007-06-30200002长城久泰171.0730.0900.059
2006-12-31159901深证100ETF951.1710.3000.7031.018
2006-12-31161604融通深证100216.0110.3000.160
2006-12-31040002华安A股118.4670.1200.088
2006-12-31160706嘉实30047.3220.0800.035
2006-12-31519300大成30044.2920.0800.033
2006-12-31184693基金普丰0.2380.0000.000
2006-06-30163801中银中国2,568.0012.1602.1385.265
2006-06-30159901深证100ETF1,105.4170.4000.920
2006-06-30184718基金兴安788.3761.0000.656
2006-06-30340001兴业转基696.8000.4600.580
2006-06-30163402兴业趋势592.8501.2700.494
2006-06-30040002华安A股211.4710.2200.176
2006-06-30161604融通深证100153.8760.3100.128
2006-06-30519300大成300126.0340.1100.105
2006-06-30200002长城久泰44.3070.1000.037
2006-06-30160706嘉实30036.3320.1100.030
2006-06-30184693基金普丰0.2130.0000.000
2005-12-31257010德盛小盘606.0240.1000.6431.169
2005-12-31450001国富收益205.9590.3900.218
2005-12-31200002长城久泰161.2120.1500.171
2005-12-31160706嘉实300129.0800.1400.137
2005-12-31184693基金普丰0.1680.0000.000
2005-06-30350002天治品质1,293.6222.5701.5611.953
2005-06-30200002长城久泰221.2110.1430.267
2005-06-30184720基金久富103.1900.2200.125
2005-06-30184693基金普丰0.1480.0000.000
2005-03-31350002天治品质1,377.2322.4201.6061.606
2004-12-31070006嘉实服务4,137.2970.5204.88713.545
2004-12-31184701基金景福2,104.3740.7702.486
2004-12-31100016富国天源平衡1,977.6371.6902.336
2004-12-31233001巨田基础行业1,123.1520.6501.327
2004-12-31202001南方稳健成长672.7980.1900.795
2004-12-31500005基金汉盛563.3330.2800.665
2004-12-31184698基金天元484.4150.1500.572
2004-12-31200002长城久泰213.2450.1190.252
2004-12-31184693基金普丰111.8530.0400.132
2004-12-31500010基金金元55.7100.1200.066
2004-12-31202101南方宝元债券23.3470.0200.028
2004-12-31184688基金开元0.4380.0000.001
2004-06-30184688基金开元9,312.1604.5306.90538.623
2004-06-30202001南方稳健成长6,935.7831.7105.143
2004-06-30184698基金天元6,376.9422.0004.729
2004-06-30257010德盛小盘5,148.2650.6503.818
2004-06-30070006嘉实服务4,670.0320.5603.463
2004-06-30070001嘉实成长4,031.4032.0102.989
2004-06-30100016富国天源平衡2,653.1881.9101.967
2004-06-30500038基金通乾1,961.0420.9901.454
2004-06-30233001巨田基础行业1,788.9950.8501.327
2004-06-30500010基金金元1,403.8712.9601.041
2004-06-30270001广发聚富1,300.9260.6300.965
2004-06-30184711基金普华1,055.0702.6800.782
2004-06-30000001华夏成长1,017.1200.3400.754
2004-06-30184689基金普惠756.2780.3700.561
2004-06-30500002基金泰和677.8240.3300.503
2004-06-30184721基金丰和673.3980.2210.499
2004-06-30500006基金裕阳646.5480.3000.479
2004-06-30002001华夏回报540.9000.1600.401
2004-06-30184693基金普丰391.6060.1400.290
2004-06-30500018基金兴和222.7560.0700.165
2004-06-30202202南方避险210.3860.0400.156
2004-06-30184718基金兴安62.9200.1300.047
2004-06-30202101南方宝元债券37.1880.0200.028
2004-03-31184688基金开元11,174.5824.5207.07510.290
2004-03-31100016富国天源平衡3,413.0012.0902.161
2004-03-31500010基金金元1,664.4753.1001.054
2003-12-31184688基金开元10,203.2304.5907.48624.773
2003-12-31202001南方稳健成长7,180.1052.5205.268
2003-12-31184698基金天元6,004.9841.7404.406
2003-12-31500038基金通乾2,668.6751.2801.958
2003-12-31070001嘉实成长1,536.2611.1201.127
2003-12-31500010基金金元1,453.7373.0601.067
2003-12-31500002基金泰和1,445.9230.6701.061
2003-12-31100016富国天源平衡1,077.8230.6500.791
2003-12-31217001招商安泰股票642.5000.4480.471
2003-12-31184711基金普华510.7491.1880.375
2003-12-31202202南方避险308.7930.0700.227
2003-12-31184738基金通宝255.4000.5600.187
2003-12-31217002招商安泰平衡128.5000.2330.094
2003-12-31202101南方宝元债券37.5860.0200.028
2003-12-31184703基金金盛2.0300.0000.001
2003-09-30184688基金开元9,660.9085.0307.55912.669
2003-09-30202001南方稳健成长6,242.0952.2504.884
2003-09-30202202南方避险289.5690.0600.227
2003-06-30184688基金开元10,136.6625.0607.33522.096
2003-06-30184698基金天元5,790.0521.9004.189
2003-06-30202001南方稳健成长5,594.7502.1204.048
2003-06-30500038基金通乾2,869.6441.4902.076
2003-06-30000001华夏成长2,654.3760.7701.921
2003-06-30500010基金金元1,491.3043.5001.079
2003-06-30184703基金金盛1,166.2802.4600.844
2003-06-30161601新 蓝 筹505.0050.3200.365
2003-06-30184738基金通宝329.8580.7300.239
2003-03-31184688基金开元11,436.6055.7808.25621.008
2003-03-31184698基金天元6,841.8062.3304.939
2003-03-31202001南方稳健成长5,888.0761.9504.251
2003-03-31500038基金通乾3,432.9411.8402.478
2003-03-31184703基金金盛1,501.6743.3201.084
2002-12-31184688基金开元10,011.4755.3808.18623.117
2002-12-31184698基金天元6,179.4052.2605.053
2002-12-31202001南方稳健成长5,011.6091.7604.098
2002-12-31500038基金通乾3,032.3421.7602.480
2002-12-31184703基金金盛1,517.5333.6501.241
2002-12-31500010基金金元1,301.1913.4501.064
2002-12-31000001华夏成长1,107.5790.2800.906
2002-12-31161601新 蓝 筹109.4900.0610.090
2002-09-30184688基金开元11,031.6255.4308.03121.424
2002-09-30184698基金天元7,001.1642.3405.097
2002-09-30202001南方稳健成长4,767.5841.4203.471
2002-09-30500038基金通乾3,435.5941.7902.501
2002-09-30184703基金金盛1,716.7493.7801.250
2002-09-30500010基金金元1,474.2283.5401.073
2002-06-30184688基金开元12,309.8515.7609.30422.548
2002-06-30184698基金天元7,294.0322.3105.513
2002-06-30202001南方稳健成长4,833.6611.3903.654
2002-06-30500038基金通乾3,716.8081.7802.809
2002-06-30500010基金金元1,594.8983.4801.206
2002-06-30184689基金普惠53.5180.0260.040
2002-06-30184708基金兴科28.2300.0600.021
2002-03-31184688基金开元10,805.7915.2408.81621.836
2002-03-31184698基金天元6,288.5172.0305.131
2002-03-31202001南方稳健成长5,118.9571.5704.176
2002-03-31500038基金通乾3,062.2591.5202.498
2002-03-31500010基金金元1,487.8893.4101.214
2001-12-31184688基金开元10,451.0925.1508.29717.167
2001-12-31184698基金天元7,257.2292.3605.761
2001-12-31202001南方稳健成长1,866.8000.5301.482
2001-12-31500010基金金元1,507.2423.4701.197
2001-12-31500008基金兴华507.2070.2300.403
2001-12-31184710基金隆元36.0130.0800.029
2001-09-30184688基金开元11,189.8245.1308.50016.632
2001-09-30184698基金天元8,598.8552.6006.532
2001-09-30500010基金金元2,106.0704.4901.600
2001-06-30184688基金开元17,408.4566.8909.74716.150
2001-06-30184698基金天元8,463.8432.2404.739
2001-06-30500010基金金元2,921.4225.4001.636
2001-06-30184710基金隆元51.6530.1000.029
2001-03-31184688基金开元19,370.0007.84010.57712.224
2001-03-31500010基金金元3,017.0715.8001.647
2000-12-31184688基金开元23,612.2636.28010.52117.548
2000-12-31184698基金天元10,079.8422.1204.491
2000-12-31500010基金金元5,692.67210.5202.536
2000-09-30184688基金开元22,350.3726.40011.27920.908
2000-09-30184698基金天元13,847.0273.1206.988
2000-09-30500010基金金元5,235.86110.5602.642
2000-06-30184688基金开元27,926.4318.34011.08520.806
2000-06-30184698基金天元17,283.5414.0606.860
2000-06-30500001基金金泰4,451.4231.4101.767
2000-06-30184695基金景博2,757.0612.1501.094
2000-03-31184688基金开元23,371.3817.2009.78516.219
2000-03-31184698基金天元11,661.0212.9204.882
2000-03-31184695基金景博3,709.0383.0701.553
1999-12-31184688基金开元14,141.4774.91011.38219.876
1999-12-31184698基金天元8,446.7012.8606.798
1999-12-31184695基金景博2,106.6721.9901.696
1999-09-30184688基金开元3,695.0801.2504.0234.023
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。