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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 | 162204 | 荷银精选 | 1,308.912 | 0.330 | 0.602 | 1.422 | | 2008-06-30 | 161903 | 万家公用 | 841.500 | 2.150 | 0.387 | | 2008-06-30 | 162203 | 荷银稳定 | 579.578 | 1.530 | 0.267 | | 2008-06-30 | 040002 | 华安A股 | 251.954 | 0.060 | 0.116 | | 2008-06-30 | 200002 | 长城久泰 | 110.691 | 0.050 | 0.051 | | 2007-12-31 | 161604 | 融通深证100 | 4,058.582 | 0.330 | 1.033 | 1.871 | | 2007-12-31 | 159901 | 深证100ETF | 2,016.517 | 0.320 | 0.513 | | 2007-12-31 | 040002 | 华安A股 | 1,028.137 | 0.160 | 0.262 | | 2007-12-31 | 200002 | 长城久泰 | 246.861 | 0.070 | 0.063 | | 2007-06-30 | 161604 | 融通深证100 | 3,568.164 | 0.270 | 1.231 | 2.276 | | 2007-06-30 | 162006 | 长城久富 | 1,061.440 | 0.110 | 0.366 | | 2007-06-30 | 159901 | 深证100ETF | 993.563 | 0.270 | 0.343 | | 2007-06-30 | 040002 | 华安A股 | 803.731 | 0.300 | 0.277 | | 2007-06-30 | 200002 | 长城久泰 | 171.073 | 0.090 | 0.059 | | 2006-12-31 | 159901 | 深证100ETF | 951.171 | 0.300 | 0.703 | 1.018 | | 2006-12-31 | 161604 | 融通深证100 | 216.011 | 0.300 | 0.160 | | 2006-12-31 | 040002 | 华安A股 | 118.467 | 0.120 | 0.088 | | 2006-12-31 | 160706 | 嘉实300 | 47.322 | 0.080 | 0.035 | | 2006-12-31 | 519300 | 大成300 | 44.292 | 0.080 | 0.033 | | 2006-12-31 | 184693 | 基金普丰 | 0.238 | 0.000 | 0.000 | | 2006-06-30 | 163801 | 中银中国 | 2,568.001 | 2.160 | 2.138 | 5.265 | | 2006-06-30 | 159901 | 深证100ETF | 1,105.417 | 0.400 | 0.920 | | 2006-06-30 | 184718 | 基金兴安 | 788.376 | 1.000 | 0.656 | | 2006-06-30 | 340001 | 兴业转基 | 696.800 | 0.460 | 0.580 | | 2006-06-30 | 163402 | 兴业趋势 | 592.850 | 1.270 | 0.494 | | 2006-06-30 | 040002 | 华安A股 | 211.471 | 0.220 | 0.176 | | 2006-06-30 | 161604 | 融通深证100 | 153.876 | 0.310 | 0.128 | | 2006-06-30 | 519300 | 大成300 | 126.034 | 0.110 | 0.105 | | 2006-06-30 | 200002 | 长城久泰 | 44.307 | 0.100 | 0.037 | | 2006-06-30 | 160706 | 嘉实300 | 36.332 | 0.110 | 0.030 | | 2006-06-30 | 184693 | 基金普丰 | 0.213 | 0.000 | 0.000 | | 2005-12-31 | 257010 | 德盛小盘 | 606.024 | 0.100 | 0.643 | 1.169 | | 2005-12-31 | 450001 | 国富收益 | 205.959 | 0.390 | 0.218 | | 2005-12-31 | 200002 | 长城久泰 | 161.212 | 0.150 | 0.171 | | 2005-12-31 | 160706 | 嘉实300 | 129.080 | 0.140 | 0.137 | | 2005-12-31 | 184693 | 基金普丰 | 0.168 | 0.000 | 0.000 | | 2005-06-30 | 350002 | 天治品质 | 1,293.622 | 2.570 | 1.561 | 1.953 | | 2005-06-30 | 200002 | 长城久泰 | 221.211 | 0.143 | 0.267 | | 2005-06-30 | 184720 | 基金久富 | 103.190 | 0.220 | 0.125 | | 2005-06-30 | 184693 | 基金普丰 | 0.148 | 0.000 | 0.000 | | 2005-03-31 | 350002 | 天治品质 | 1,377.232 | 2.420 | 1.606 | 1.606 | | 2004-12-31 | 070006 | 嘉实服务 | 4,137.297 | 0.520 | 4.887 | 13.545 | | 2004-12-31 | 184701 | 基金景福 | 2,104.374 | 0.770 | 2.486 | | 2004-12-31 | 100016 | 富国天源平衡 | 1,977.637 | 1.690 | 2.336 | | 2004-12-31 | 233001 | 巨田基础行业 | 1,123.152 | 0.650 | 1.327 | | 2004-12-31 | 202001 | 南方稳健成长 | 672.798 | 0.190 | 0.795 | | 2004-12-31 | 500005 | 基金汉盛 | 563.333 | 0.280 | 0.665 | | 2004-12-31 | 184698 | 基金天元 | 484.415 | 0.150 | 0.572 | | 2004-12-31 | 200002 | 长城久泰 | 213.245 | 0.119 | 0.252 | | 2004-12-31 | 184693 | 基金普丰 | 111.853 | 0.040 | 0.132 | | 2004-12-31 | 500010 | 基金金元 | 55.710 | 0.120 | 0.066 | | 2004-12-31 | 202101 | 南方宝元债券 | 23.347 | 0.020 | 0.028 | | 2004-12-31 | 184688 | 基金开元 | 0.438 | 0.000 | 0.001 | | 2004-06-30 | 184688 | 基金开元 | 9,312.160 | 4.530 | 6.905 | 38.623 | | 2004-06-30 | 202001 | 南方稳健成长 | 6,935.783 | 1.710 | 5.143 | | 2004-06-30 | 184698 | 基金天元 | 6,376.942 | 2.000 | 4.729 | | 2004-06-30 | 257010 | 德盛小盘 | 5,148.265 | 0.650 | 3.818 | | 2004-06-30 | 070006 | 嘉实服务 | 4,670.032 | 0.560 | 3.463 | | 2004-06-30 | 070001 | 嘉实成长 | 4,031.403 | 2.010 | 2.989 | | 2004-06-30 | 100016 | 富国天源平衡 | 2,653.188 | 1.910 | 1.967 | | 2004-06-30 | 500038 | 基金通乾 | 1,961.042 | 0.990 | 1.454 | | 2004-06-30 | 233001 | 巨田基础行业 | 1,788.995 | 0.850 | 1.327 | | 2004-06-30 | 500010 | 基金金元 | 1,403.871 | 2.960 | 1.041 | | 2004-06-30 | 270001 | 广发聚富 | 1,300.926 | 0.630 | 0.965 | | 2004-06-30 | 184711 | 基金普华 | 1,055.070 | 2.680 | 0.782 | | 2004-06-30 | 000001 | 华夏成长 | 1,017.120 | 0.340 | 0.754 | | 2004-06-30 | 184689 | 基金普惠 | 756.278 | 0.370 | 0.561 | | 2004-06-30 | 500002 | 基金泰和 | 677.824 | 0.330 | 0.503 | | 2004-06-30 | 184721 | 基金丰和 | 673.398 | 0.221 | 0.499 | | 2004-06-30 | 500006 | 基金裕阳 | 646.548 | 0.300 | 0.479 | | 2004-06-30 | 002001 | 华夏回报 | 540.900 | 0.160 | 0.401 | | 2004-06-30 | 184693 | 基金普丰 | 391.606 | 0.140 | 0.290 | | 2004-06-30 | 500018 | 基金兴和 | 222.756 | 0.070 | 0.165 | | 2004-06-30 | 202202 | 南方避险 | 210.386 | 0.040 | 0.156 | |
| 2004-06-30 | 184718 | 基金兴安 | 62.920 | 0.130 | 0.047 | | 2004-06-30 | 202101 | 南方宝元债券 | 37.188 | 0.020 | 0.028 | | 2004-03-31 | 184688 | 基金开元 | 11,174.582 | 4.520 | 7.075 | 10.290 | | 2004-03-31 | 100016 | 富国天源平衡 | 3,413.001 | 2.090 | 2.161 | | 2004-03-31 | 500010 | 基金金元 | 1,664.475 | 3.100 | 1.054 | | 2003-12-31 | 184688 | 基金开元 | 10,203.230 | 4.590 | 7.486 | 24.773 | | 2003-12-31 | 202001 | 南方稳健成长 | 7,180.105 | 2.520 | 5.268 | | 2003-12-31 | 184698 | 基金天元 | 6,004.984 | 1.740 | 4.406 | | 2003-12-31 | 500038 | 基金通乾 | 2,668.675 | 1.280 | 1.958 | | 2003-12-31 | 070001 | 嘉实成长 | 1,536.261 | 1.120 | 1.127 | | 2003-12-31 | 500010 | 基金金元 | 1,453.737 | 3.060 | 1.067 | | 2003-12-31 | 500002 | 基金泰和 | 1,445.923 | 0.670 | 1.061 | | 2003-12-31 | 100016 | 富国天源平衡 | 1,077.823 | 0.650 | 0.791 | | 2003-12-31 | 217001 | 招商安泰股票 | 642.500 | 0.448 | 0.471 | | 2003-12-31 | 184711 | 基金普华 | 510.749 | 1.188 | 0.375 | | 2003-12-31 | 202202 | 南方避险 | 308.793 | 0.070 | 0.227 | |
| 2003-12-31 | 184738 | 基金通宝 | 255.400 | 0.560 | 0.187 | | 2003-12-31 | 217002 | 招商安泰平衡 | 128.500 | 0.233 | 0.094 | | 2003-12-31 | 202101 | 南方宝元债券 | 37.586 | 0.020 | 0.028 | | 2003-12-31 | 184703 | 基金金盛 | 2.030 | 0.000 | 0.001 | | 2003-09-30 | 184688 | 基金开元 | 9,660.908 | 5.030 | 7.559 | 12.669 | | 2003-09-30 | 202001 | 南方稳健成长 | 6,242.095 | 2.250 | 4.884 | | 2003-09-30 | 202202 | 南方避险 | 289.569 | 0.060 | 0.227 | | 2003-06-30 | 184688 | 基金开元 | 10,136.662 | 5.060 | 7.335 | 22.096 | | 2003-06-30 | 184698 | 基金天元 | 5,790.052 | 1.900 | 4.189 | | 2003-06-30 | 202001 | 南方稳健成长 | 5,594.750 | 2.120 | 4.048 | | 2003-06-30 | 500038 | 基金通乾 | 2,869.644 | 1.490 | 2.076 | | 2003-06-30 | 000001 | 华夏成长 | 2,654.376 | 0.770 | 1.921 | | 2003-06-30 | 500010 | 基金金元 | 1,491.304 | 3.500 | 1.079 | | 2003-06-30 | 184703 | 基金金盛 | 1,166.280 | 2.460 | 0.844 | | 2003-06-30 | 161601 | 新 蓝 筹 | 505.005 | 0.320 | 0.365 | | 2003-06-30 | 184738 | 基金通宝 | 329.858 | 0.730 | 0.239 | | 2003-03-31 | 184688 | 基金开元 | 11,436.605 | 5.780 | 8.256 | 21.008 | | 2003-03-31 | 184698 | 基金天元 | 6,841.806 | 2.330 | 4.939 | | 2003-03-31 | 202001 | 南方稳健成长 | 5,888.076 | 1.950 | 4.251 | | 2003-03-31 | 500038 | 基金通乾 | 3,432.941 | 1.840 | 2.478 | | 2003-03-31 | 184703 | 基金金盛 | 1,501.674 | 3.320 | 1.084 | | 2002-12-31 | 184688 | 基金开元 | 10,011.475 | 5.380 | 8.186 | 23.117 | | 2002-12-31 | 184698 | 基金天元 | 6,179.405 | 2.260 | 5.053 | | 2002-12-31 | 202001 | 南方稳健成长 | 5,011.609 | 1.760 | 4.098 | | 2002-12-31 | 500038 | 基金通乾 | 3,032.342 | 1.760 | 2.480 | | 2002-12-31 | 184703 | 基金金盛 | 1,517.533 | 3.650 | 1.241 | | 2002-12-31 | 500010 | 基金金元 | 1,301.191 | 3.450 | 1.064 | | 2002-12-31 | 000001 | 华夏成长 | 1,107.579 | 0.280 | 0.906 | | 2002-12-31 | 161601 | 新 蓝 筹 | 109.490 | 0.061 | 0.090 | | 2002-09-30 | 184688 | 基金开元 | 11,031.625 | 5.430 | 8.031 | 21.424 | | 2002-09-30 | 184698 | 基金天元 | 7,001.164 | 2.340 | 5.097 | | 2002-09-30 | 202001 | 南方稳健成长 | 4,767.584 | 1.420 | 3.471 | | 2002-09-30 | 500038 | 基金通乾 | 3,435.594 | 1.790 | 2.501 | | 2002-09-30 | 184703 | 基金金盛 | 1,716.749 | 3.780 | 1.250 | | 2002-09-30 | 500010 | 基金金元 | 1,474.228 | 3.540 | 1.073 | | 2002-06-30 | 184688 | 基金开元 | 12,309.851 | 5.760 | 9.304 | 22.548 | | 2002-06-30 | 184698 | 基金天元 | 7,294.032 | 2.310 | 5.513 | | 2002-06-30 | 202001 | 南方稳健成长 | 4,833.661 | 1.390 | 3.654 | | 2002-06-30 | 500038 | 基金通乾 | 3,716.808 | 1.780 | 2.809 | | 2002-06-30 | 500010 | 基金金元 | 1,594.898 | 3.480 | 1.206 | | 2002-06-30 | 184689 | 基金普惠 | 53.518 | 0.026 | 0.040 | | 2002-06-30 | 184708 | 基金兴科 | 28.230 | 0.060 | 0.021 | | 2002-03-31 | 184688 | 基金开元 | 10,805.791 | 5.240 | 8.816 | 21.836 | | 2002-03-31 | 184698 | 基金天元 | 6,288.517 | 2.030 | 5.131 | | 2002-03-31 | 202001 | 南方稳健成长 | 5,118.957 | 1.570 | 4.176 | | 2002-03-31 | 500038 | 基金通乾 | 3,062.259 | 1.520 | 2.498 | | 2002-03-31 | 500010 | 基金金元 | 1,487.889 | 3.410 | 1.214 | | 2001-12-31 | 184688 | 基金开元 | 10,451.092 | 5.150 | 8.297 | 17.167 | | 2001-12-31 | 184698 | 基金天元 | 7,257.229 | 2.360 | 5.761 | | 2001-12-31 | 202001 | 南方稳健成长 | 1,866.800 | 0.530 | 1.482 | | 2001-12-31 | 500010 | 基金金元 | 1,507.242 | 3.470 | 1.197 | | 2001-12-31 | 500008 | 基金兴华 | 507.207 | 0.230 | 0.403 | | 2001-12-31 | 184710 | 基金隆元 | 36.013 | 0.080 | 0.029 | | 2001-09-30 | 184688 | 基金开元 | 11,189.824 | 5.130 | 8.500 | 16.632 | | 2001-09-30 | 184698 | 基金天元 | 8,598.855 | 2.600 | 6.532 | | 2001-09-30 | 500010 | 基金金元 | 2,106.070 | 4.490 | 1.600 | | 2001-06-30 | 184688 | 基金开元 | 17,408.456 | 6.890 | 9.747 | 16.150 | | 2001-06-30 | 184698 | 基金天元 | 8,463.843 | 2.240 | 4.739 | | 2001-06-30 | 500010 | 基金金元 | 2,921.422 | 5.400 | 1.636 | | 2001-06-30 | 184710 | 基金隆元 | 51.653 | 0.100 | 0.029 | | 2001-03-31 | 184688 | 基金开元 | 19,370.000 | 7.840 | 10.577 | 12.224 | | 2001-03-31 | 500010 | 基金金元 | 3,017.071 | 5.800 | 1.647 | | 2000-12-31 | 184688 | 基金开元 | 23,612.263 | 6.280 | 10.521 | 17.548 | | 2000-12-31 | 184698 | 基金天元 | 10,079.842 | 2.120 | 4.491 | | 2000-12-31 | 500010 | 基金金元 | 5,692.672 | 10.520 | 2.536 | | 2000-09-30 | 184688 | 基金开元 | 22,350.372 | 6.400 | 11.279 | 20.908 | | 2000-09-30 | 184698 | 基金天元 | 13,847.027 | 3.120 | 6.988 | | 2000-09-30 | 500010 | 基金金元 | 5,235.861 | 10.560 | 2.642 | | 2000-06-30 | 184688 | 基金开元 | 27,926.431 | 8.340 | 11.085 | 20.806 | | 2000-06-30 | 184698 | 基金天元 | 17,283.541 | 4.060 | 6.860 | | 2000-06-30 | 500001 | 基金金泰 | 4,451.423 | 1.410 | 1.767 | | 2000-06-30 | 184695 | 基金景博 | 2,757.061 | 2.150 | 1.094 | | 2000-03-31 | 184688 | 基金开元 | 23,371.381 | 7.200 | 9.785 | 16.219 | | 2000-03-31 | 184698 | 基金天元 | 11,661.021 | 2.920 | 4.882 | | 2000-03-31 | 184695 | 基金景博 | 3,709.038 | 3.070 | 1.553 | | 1999-12-31 | 184688 | 基金开元 | 14,141.477 | 4.910 | 11.382 | 19.876 | | 1999-12-31 | 184698 | 基金天元 | 8,446.701 | 2.860 | 6.798 | | 1999-12-31 | 184695 | 基金景博 | 2,106.672 | 1.990 | 1.696 | | 1999-09-30 | 184688 | 基金开元 | 3,695.080 | 1.250 | 4.023 | 4.023 | 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。 |
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