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代码:002041名称:登海种业
 
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(%)
2008-06-30159902中小板3,171.5721.1201.4191.419
2008-03-31510081长盛精选463.4000.2300.3180.318
2007-12-31200008长城品牌优选2,628.7810.1102.4904.134
2007-12-31159902中小板1,735.3800.3301.644
2007-06-30200007长城安心回报1,984.6121.6302.8155.482
2007-06-30159902中小板1,851.7460.5002.627
2007-06-30500001基金金泰28.6110.0000.041
2006-12-31159902中小板1,989.9010.8503.4566.815
2006-12-31200007长城安心回报1,213.7490.5102.108
2006-12-31159901深证100ETF402.1720.1300.699
2006-12-31162102金鹰小盘237.9002.1700.413
2006-12-31161604融通深证10055.2780.0800.096
2006-12-31500001基金金泰23.2450.0100.040
2006-12-31184693基金普丰1.5940.0000.003
2006-06-30310308盛利精选5,610.0002.5705.36914.487
2006-06-30270002广发稳健2,675.8650.8102.561
2006-06-30500058基金银丰1,369.0230.3401.310
2006-06-30184696基金裕华1,171.7401.5201.121
2006-06-30162703广发小盘1,094.4250.6501.047
2006-06-30159901深证100ETF962.4010.3500.921
2006-06-30310328新动力748.0002.2500.716
2006-06-30160106南方高增745.3821.0800.713
2006-06-30184693基金普丰230.5800.0600.221
2006-06-30161604融通深证100192.8720.3900.185
2006-06-30202202南方避险122.5930.0200.117
2006-06-30500001基金金泰55.1220.0200.053
2006-06-30151002银河收益37.4000.1200.036
2006-03-31500013基金安瑞1,248.3382.4102.1142.114
2005-12-31202202南方避险2,357.1100.8704.33731.690
2005-12-31500013基金安瑞2,202.9094.7504.054
2005-12-31270002广发稳健2,169.5931.1203.992
2005-12-31162203荷银稳定1,357.8845.5702.499
2005-12-31184709基金安久1,299.4193.0002.391
2005-12-31162703广发小盘1,167.0001.4802.147
2005-12-31184720基金久富873.6011.6801.608
2005-12-31040004华安宝利791.7280.7401.457
2005-12-31162205荷银风险预算693.2022.0601.276
2005-12-31270001广发聚富645.5670.2801.188
2005-12-31162204荷银精选601.8610.4401.108
2005-12-31161604融通深证100257.7260.3800.474
2005-12-31184738基金通宝111.2620.2400.205
2005-12-31500001基金金泰72.0430.0400.133
2005-12-31184699基金同盛72.0430.0300.133
2005-12-31070006嘉实服务72.0430.0100.133
2005-12-31290002泰信先行54.0320.1270.099
2005-12-31500017基金景业40.9660.0900.075
2005-12-31100020富国天益24.5580.1100.045
2005-09-30184709基金安久2,004.9084.7103.6263.669
2005-09-30161604融通深证10023.3180.0300.042
2005-06-30500013基金安瑞1,177.8692.7902.48726.387
2005-06-30257010德盛小盘1,111.1960.1802.346
2005-06-30162703广发小盘1,079.2621.0802.279
2005-06-30270002广发稳健1,017.9860.8102.149
2005-06-30270001广发聚富727.4450.4301.536
2005-06-30184695基金景博528.3630.6101.115
2005-06-30184689基金普惠492.9840.2701.041
2005-06-30500007基金景阳286.3750.2900.605
2005-06-30184706基金天华177.4400.0900.375
2005-06-30184709基金安久155.0050.3800.327
2005-06-30161606融通行业128.9320.1000.272
2005-06-30310308盛利精选79.0150.0100.167
2005-06-30160105南方积配77.8630.0500.164
2005-06-30240001宝康消费77.8630.0510.164
2005-06-30240002宝康配置77.8630.0760.164
2005-06-30310318盛利配置68.2500.1500.144
2005-06-30160603鹏华收益67.1480.3100.142
2005-06-30350002天治品质66.0220.1300.139
2005-06-30184696基金裕华64.6880.1300.137
2005-06-30184728基金鸿阳64.6880.0400.137
2005-06-30184711基金普华64.6880.1800.137
2005-06-30500019基金普润64.6880.1500.137
2005-06-30500038基金通乾64.6880.0400.137
2005-06-30500003基金安信64.6880.0300.137
2005-06-30500001基金金泰64.6880.0300.137
2005-06-30184701基金景福64.6880.0300.137
2005-06-30184699基金同盛64.6880.0300.137
2005-06-30500015基金汉兴64.6880.0300.137
2005-06-30500025基金汉鼎64.6880.1500.137
2005-06-30184691基金景宏64.6880.0400.137
2005-06-30184705基金裕泽64.6880.1200.137
2005-06-30184698基金天元64.6880.0200.137
2005-06-30500002基金泰和64.6880.0300.137
2005-06-30500058基金银丰64.6880.0200.137
2005-06-30184700基金鸿飞64.6880.1500.137
2005-06-30184693基金普丰64.6880.0200.137
2005-06-30184719基金融鑫64.6880.0800.137
2005-06-30184688基金开元64.6880.0300.137
2005-06-30500005基金汉盛64.6880.0300.137
2005-06-30184690基金同益64.6880.0300.137
2005-06-30184702基金同智64.6880.1200.137
2005-06-30070002嘉实增长62.7920.0400.133
2005-06-30070003嘉实稳健62.7920.0800.133
2005-06-30213001宝盈鸿利62.7920.1500.133
2005-06-30100016富国天源平衡62.7920.0600.133
2005-06-30070001嘉实成长62.7920.0300.133
2005-06-30202001南方稳健成长62.7920.0200.133
2005-06-30206001鹏华行业成长62.7920.0600.133
2005-06-30040001华安创新62.7920.0300.133
2005-06-30202101南方宝元债券62.7920.0600.133
2005-06-30080001长盛成长62.7920.0600.133
2005-06-30240003宝康债券62.7920.1110.133
2005-06-30202202南方避险62.7920.0200.133
2005-06-30090004大成精选增值62.7920.1100.133
2005-06-30040004华安宝利62.7920.1000.133
2005-06-30580001东吴嘉禾62.7920.0900.133
2005-06-30213002宝盈区域增长62.7920.3000.133
2005-06-30400001东方龙62.7920.1740.133
2005-06-30360001量化核心62.7920.0400.133
2005-06-30375010上投优势62.7920.0600.133
2005-06-30398001中海成长62.7920.1300.133
2005-06-30350001天治财富62.7920.2800.133
2005-06-30162204荷银精选62.7920.0300.133
2005-06-30050004博时精选62.7920.0100.133
2005-06-30090003大成蓝筹稳健62.7920.0700.133
2005-06-30160605鹏华中国5062.7920.0400.133
2005-06-30240005华宝策略62.7920.0190.133
2005-06-30340001兴业转基62.7920.0300.133
2005-06-30510081长盛精选62.7920.0300.133
2005-06-30288001中信经典62.7920.0080.133
2005-06-30180002银华保本增值62.7920.0100.133
2005-06-30150103银河银泰62.7920.0200.133
2005-06-30233001巨田基础行业62.7920.0500.133
2005-06-30070006嘉实服务62.7920.0100.133
2005-06-30162203荷银稳定62.7920.1700.133
2005-06-30255010德盛稳健62.7920.0500.133
2005-06-30510080长盛债券62.7920.3300.133
2005-06-30500028基金兴业61.7470.1500.130
2005-06-30184708基金兴科61.7470.1200.130
2005-06-30184718基金兴安61.7470.1300.130
2005-06-30500018基金兴和61.7470.0200.130
2005-06-30500008基金兴华61.7470.0300.130
2005-06-30002001华夏回报59.9370.0300.127
2005-06-30162201荷银成长59.9370.1300.127
2005-06-30000001华夏成长59.9370.0300.127
2005-06-30500035基金汉博58.8080.1300.124
2005-06-30500017基金景业58.8080.1400.124
2005-06-30161605融通蓝筹57.8830.1100.122
2005-06-30151001银河稳健51.3750.0900.108
2005-06-30500009基金安顺48.9400.0200.103
2005-06-30290002泰信先行47.0950.1000.099
2005-06-30160602鹏华普天债券42.8120.5300.090
2005-06-30100018富国天利债券42.8120.1400.090
2005-06-30184722基金久嘉35.2840.0200.074
2005-06-30161601新 蓝 筹34.2500.0400.072
2005-06-30020005国泰金马32.1700.0400.068
2005-06-30500039基金同德29.4040.0600.062
2005-06-30162102金鹰小盘28.5420.1000.060
2005-06-30162202荷银周期25.6870.1100.054
2005-06-30000011华夏大盘22.8330.0200.048
2005-06-30100020富国天益21.4050.1200.045
2005-06-30200002长城久泰21.4050.0100.045
2005-06-30161604融通深证10019.9780.0300.042
2005-06-30151002银河收益17.1250.1100.036
2005-06-30519996长信银利15.0710.0220.032
2005-06-30184738基金通宝10.2890.0200.022
2005-06-30200001长城久恒平衡9.9880.0240.021
2005-06-30184720基金久富7.3500.0200.016
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。