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代码:002069名称:獐 子 岛
 
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(%)
2008-06-30020005国泰金马3,570.7680.6001.6693.303
2008-06-30159902中小板3,232.5561.1401.511
2008-06-30202001南方稳健成长122.4530.0100.057
2008-06-30500001基金金泰101.3000.0500.047
2008-06-30202002南稳贰号23.8460.0000.011
2008-06-30320003诺安股票14.8340.0000.007
2008-03-31510080长盛债券1,190.4110.5700.2950.295
2007-12-31110010易基价值成长10,914.4280.2902.1619.914
2007-12-31202001南方稳健成长9,662.3980.5301.913
2007-12-31202002南稳贰号8,029.7430.3901.590
2007-12-31159902中小板7,480.9421.4101.481
2007-12-31500011基金金鑫5,593.2230.5901.107
2007-12-31110009易基价值3,827.2000.2400.758
2007-12-31320003诺安股票2,217.6140.0500.439
2007-12-31202007南方隆元808.9360.0700.160
2007-12-31184703基金金盛725.0530.4900.144
2007-12-31184688基金开元460.4220.0700.091
2007-12-31184693基金普丰219.2030.0200.043
2007-12-31040002华安A股137.7790.0200.027
2007-12-31020011国泰沪深3000.9570.0000.000
2007-08-25161706招商成长5,710.1480.4802.5072.507
2007-06-30202001南方稳健成长20,730.7151.0909.64946.785
2007-06-30202002南稳贰号9,975.8650.4304.643
2007-06-30110010易基价值成长9,115.8810.3304.243
2007-06-30519015海富通精选2号7,592.0380.7503.534
2007-06-30161706招商成长5,710.1480.4802.658
2007-06-30159902中小板5,644.5001.5102.627
2007-06-30217005招商先锋5,152.7511.3702.398
2007-06-30530003建信成长4,175.6000.5101.943
2007-06-30500011基金金鑫3,903.7170.4901.817
2007-06-30519087新世纪优选3,795.9922.2501.767
2007-06-30530005建信配置3,248.7530.1801.512
2007-06-30160605鹏华中国503,070.2050.3801.429
2007-06-30110009易基价值3,036.8000.2401.413
2007-06-30070006嘉实服务2,803.5810.3101.305
2007-06-30530001建信价值2,722.4000.2501.267
2007-06-30161604融通深证1002,480.3060.1901.154
2007-06-30090004大成精选增值1,779.5570.2300.828
2007-06-30070011嘉实策略1,084.4720.0500.505
2007-06-30160611鹏华优质治理1,062.8800.0600.495
2007-06-30200007长城安心回报920.4090.7600.428
2007-06-30161005富国天惠759.2000.1600.353
2007-06-30159901深证100ETF748.1690.2000.348
2007-06-30240003宝康债券341.6400.0750.159
2007-06-30160706嘉实300300.6430.0200.140
2007-06-30112002易策二号254.3320.0300.118
2007-06-30040002华安A股109.3250.0400.051
2007-05-14500019基金普润76.2000.0600.0350.035
2007-04-10500021基金金鼎761.7041.0200.3230.323
2007-03-31240001宝康消费5,483.1621.4392.4392.715
2007-03-31240003宝康债券621.2040.2370.276
2007-02-11184720基金久富173.0780.1300.0700.070
2006-12-31519018汇添均衡13,701.7461.7606.53946.185
2006-12-31530003建信成长11,933.9521.9505.695
2006-12-31100020富国天益10,978.0221.8305.239
2006-12-31202002南稳贰号8,291.9841.3203.957
2006-12-31110009易基价值8,050.8580.6003.842
2006-12-31500011基金金鑫7,018.4291.4503.350
2006-12-31240001宝康消费4,306.5812.1152.055
2006-12-31090004大成精选增值4,072.1700.4301.943
2006-12-31240008华宝收益3,776.5731.6661.802
2006-12-31519008添富优势3,379.4081.8401.613
2006-12-31500021基金金鼎2,988.4003.4701.426
2006-12-31184703基金金盛2,009.6991.8200.959
2006-12-31240005华宝策略1,219.4020.8610.582
2006-12-31180010银华优质增长740.4000.0700.353
2006-12-31500015基金汉兴699.8610.1500.334
2006-12-31202001南方稳健成长634.4340.2400.303
2006-12-31500058基金银丰580.4070.1100.277
2006-12-31159902中小板578.9040.2500.276
2006-12-31240003宝康债券578.9040.3470.276
2006-12-31020005国泰金马517.4950.9500.247
2006-12-31288001中信经典512.2680.1800.244
2006-12-31530001建信价值370.2000.2300.177
2006-12-31500002基金泰和341.3350.0800.163
2006-12-31184690基金同益338.5480.0900.162
2006-12-31161005富国天惠319.6530.7300.153
2006-12-31500039基金同德318.9220.3000.152
2006-12-31184713基金科翔274.0960.1300.131
2006-12-31184712基金科汇262.8900.1200.125
2006-12-31184688基金开元262.8900.0600.125
2006-12-31184693基金普丰262.8900.0500.125
2006-12-31184696基金裕华262.8900.2500.125
2006-12-31500018基金兴和262.8900.0500.125
2006-12-31002001华夏回报260.5320.0900.124
2006-12-31202202南方避险260.5320.0400.124
2006-12-31240002宝康配置260.5320.1210.124
2006-12-31070006嘉实服务260.5320.0600.124
2006-12-31110002易基策略260.5320.0700.124
2006-12-31373010上投双息260.5320.0400.124
2006-12-31540001汇丰2016260.5320.1000.124
2006-12-31217008招商安本增利260.5320.0800.124
2006-12-31160607鹏华价值260.5320.1400.124
2006-12-31070010嘉实主题260.5320.0300.124
2006-12-31288102中信双利260.5320.1400.124
2006-12-31000001华夏成长260.5320.1100.124
2006-12-31110001易基平稳260.5320.0200.124
2006-12-31500009基金安顺260.1030.0400.124
2006-12-31500019基金普润255.4560.2500.122
2006-12-31112002易策二号248.0340.0300.118
2006-12-31070003嘉实稳健243.1550.0400.116
2006-12-31020003国泰金龙行业222.1201.2000.106
2006-12-31184711基金普华185.7890.2200.089
2006-12-31206001鹏华行业成长184.1230.2500.088
2006-12-31398011中海分红184.1230.1510.088
2006-12-31217005招商先锋184.1230.1400.088
2006-12-31270005广发聚丰184.1230.0600.088
2006-12-31184720基金久富148.6280.1300.071
2006-12-31500005基金汉盛130.0480.0300.062
2006-12-31500035基金汉博130.0480.1200.062
2006-12-31400001东方龙115.0730.4150.055
2006-12-31500025基金汉鼎111.4670.1300.053
2006-12-31163402兴业趋势92.0610.0700.044
2006-12-31500001基金金泰74.7100.0200.036
2006-12-31320001诺安平衡74.0400.0400.035
2006-12-31160605鹏华中国5073.6480.1100.035
2006-12-31160603鹏华收益64.4370.3300.031
2006-12-31151001银河稳健36.8200.2900.018
2006-12-31398001中海成长36.8200.2100.018
2006-12-31161903万家公用27.6170.4400.013
2006-12-31184699基金同盛23.9970.0100.011
2006-12-31163503天治核心成长23.0120.2500.011
2006-12-31350002天治品质14.8080.2300.007
2006-12-31020001国泰金鹰增长7.4040.0100.004
2006-12-31510081长盛精选0.7400.0000.000
2006-09-30240003宝康债券492.5060.4360.3451.350
2006-09-30217008招商安本增利492.5060.1600.345
2006-09-30288102中信双利489.3570.1100.343
2006-09-30070005嘉实债券197.5870.7100.139
2006-09-30510080长盛债券105.7350.8700.074
2006-09-30092002大成债券C类62.9900.0500.044
2006-09-30090002大成债券62.9900.0500.044
2006-09-30510081长盛精选15.7480.0200.011
2006-09-30200002长城久泰6.2990.0200.004
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。