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代码:600117名称:西宁特钢
 
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(%)
2008-06-30270005广发聚丰19,440.2760.8404.64219.924
2008-06-30560002益民红利9,282.6484.5232.216
2008-06-30570001诺德价值优势8,536.6811.7902.038
2008-06-30378010上投先锋7,390.8280.7701.765
2008-06-30398001中海成长6,835.4781.4201.632
2008-06-30040008华安策略优选6,185.9680.4701.477
2008-06-30162703广发小盘5,456.8650.4701.303
2008-06-30110001易基平稳4,124.0000.8100.985
2008-06-30110029易方达科讯3,092.8810.3600.739
2008-06-30160706嘉实3002,836.9540.1200.677
2008-06-30560003益民创新优势2,570.0070.4880.614
2008-06-30398011中海分红2,407.4160.9300.575
2008-06-30050002博时裕富1,828.7250.1500.437
2008-06-30184700基金鸿飞974.4001.6600.233
2008-06-30213008宝盈资源优选824.8001.4400.197
2008-06-30519300大成300792.8290.1300.189
2008-06-30020011国泰沪深300491.9610.1300.117
2008-06-30184693基金普丰173.1000.0500.041
2008-06-30040004华安宝利132.8300.0300.032
2008-06-30200007长城安心回报63.0010.0100.015
2008-04-14184700基金鸿飞974.4001.6600.1970.197
2008-03-31570001诺德价值优势18,698.4892.8303.6005.888
2008-03-31560002益民红利11,887.9464.3782.289
2007-12-31570001诺德价值优势46,258.1194.6905.70626.383
2007-12-31270005广发聚丰35,104.6970.8804.330
2007-12-31500058基金银丰22,251.1543.3402.745
2007-12-31378010上投先锋20,121.5331.3602.482
2007-12-31162703广发小盘11,112.4660.6201.371
2007-12-31110001易基平稳8,728.0001.0901.077
2007-12-31460002友邦积极成长7,525.9410.8000.928
2007-12-31398001中海成长7,418.3420.9600.915
2007-12-31519003海富收益7,200.4190.8700.888
2007-12-31519690交银稳健7,135.1400.9200.880
2007-12-31210001金鹰优选6,546.0002.9700.807
2007-12-31500029基金科讯6,545.7492.9500.807
2007-12-31110029易方达科讯6,545.7492.9500.807
2007-12-31160706嘉实3005,268.1660.1300.650
2007-12-31200007长城安心回报3,491.2000.1900.431
2007-12-31519181万家和谐增长3,412.5960.7700.421
2007-12-31070011嘉实策略2,618.1990.1420.323
2007-12-31184700基金鸿飞2,182.0001.2200.269
2007-12-31160910大成创新成长1,356.6960.0500.167
2007-12-31070001嘉实成长894.6200.1500.110
2007-12-31184693基金普丰725.0000.0800.089
2007-12-31519300大成300592.3500.0500.073
2007-12-31560003益民创新优势436.4000.0430.054
2007-12-31519087新世纪优选327.3000.3900.040
2007-12-31020011国泰沪深30098.6260.0200.012
2007-12-17500029基金科讯5,780.7782.8900.8070.807
2007-09-30570001诺德价值优势45,086.7433.6906.08314.624
2007-09-30500058基金银丰28,845.4543.9503.892
2007-09-30184693基金普丰22,495.0972.2503.035
2007-09-30210001金鹰优选5,985.0003.8400.807
2007-09-30184700基金鸿飞5,984.5733.3500.807
2007-06-30500058基金银丰14,892.1182.2605.73412.774
2007-06-30050201博时价值贰号2,795.9420.4701.077
2007-06-30519690交银稳健2,097.0000.3400.807
2007-06-30110010易基价值成长1,817.3680.0700.700
2007-06-30184692基金裕隆1,802.5700.2100.694
2007-06-30110001易基平稳1,398.0000.1600.538
2007-06-30050007博时平衡配置1,398.0000.2100.538
2007-06-30410003华富成长1,397.9620.2700.538
2007-06-30050008博时第三产业1,397.9440.0800.538
2007-06-30001003华夏债券C类1,118.4000.2200.431
2007-06-30001001华夏债券A/B1,118.4000.2200.431
2007-06-30160706嘉实3001,096.3690.0800.422
2007-06-30519300大成300607.9350.0500.234
2007-06-30184693基金普丰236.9240.0300.091
2006-12-31340001兴业转基2,015.0001.2401.6821.808
2006-12-31500018基金兴和69.6330.0100.058
2006-12-31160706嘉实30042.0490.0800.035
2006-12-31519300大成30039.3200.0700.033
2006-09-30340001兴业转基2,331.6001.6802.1462.146
2006-06-30340001兴业转基3,056.9202.0402.22210.573
2006-06-30310308盛利精选2,566.2391.1701.865
2006-06-30519688交银精选2,545.0001.4001.850
2006-06-30375010上投优势2,299.6480.9601.671
2006-06-30500017基金景业928.8001.3200.675
2006-06-30000001华夏成长814.4000.3800.592
2006-06-30163402兴业趋势773.6211.6600.562
2006-06-30020008国泰混合501.9830.2000.365
2006-06-30163803中银增长386.3040.1600.281
2006-06-30020006金象保本增值203.6000.5200.148
2006-06-30519300大成300165.0680.1500.120
2006-06-30500018基金兴和136.2960.0300.099
2006-06-30150103银河银泰121.5640.1000.088
2006-06-30160706嘉实30047.5860.1400.035
2005-12-31160706嘉实30097.4210.1000.1630.261
2005-12-31500018基金兴和58.9230.0200.098
2005-06-30500018基金兴和60.5490.0200.0990.099
2004-12-31500018基金兴和84.1180.0300.0980.098
2004-06-30500018基金兴和94.4810.0300.0990.099
2002-06-30184693基金普丰83.4000.0270.0810.081
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。