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长园新材】详情
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代码:600525名称:长园新材
 
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(%)
2008-06-30110005易基积极8,915.8730.9305.27430.151
2008-06-30040005华安宏利8,680.0110.6705.134
2008-06-30160605鹏华中国505,935.3621.4103.511
2008-06-30110010易基价值成长4,127.6520.1802.442
2008-06-30240008华宝收益3,939.8090.5902.330
2008-06-30110009易基价值3,777.5210.3702.234
2008-06-30184689基金普惠2,075.7000.7001.228
2008-06-30184693基金普丰2,007.4680.5801.187
2008-06-30160607鹏华价值1,896.6480.1701.122
2008-06-30500009基金安顺1,887.0000.4701.116
2008-06-30002011华夏红利1,117.0660.0400.661
2008-06-30500003基金安信1,101.1400.3500.651
2008-06-30184712基金科汇899.8520.8300.532
2008-06-30110029易方达科讯736.0220.0900.435
2008-06-30240010华宝行业精选660.4460.0400.391
2008-06-30002001华夏回报655.7400.0400.388
2008-06-30110002易基策略566.0470.0800.335
2008-06-30112002易策二号565.9210.0800.335
2008-06-30184713基金科翔461.8390.3100.273
2008-06-30560002益民红利392.4960.1910.232
2008-06-30160603鹏华收益288.7880.1400.171
2008-06-30206001鹏华行业成长173.2270.2600.102
2008-06-30240005华宝策略109.9630.0100.065
2007-12-31040005华安宏利17,581.1771.0606.14934.908
2007-12-31110005易基积极14,954.5290.8305.230
2007-12-31257030德盛优势13,686.0304.3104.786
2007-12-31500009基金安顺9,082.1590.9603.176
2007-12-31110010易基价值成长7,532.5810.2002.634
2007-12-31110002易基策略7,006.5000.4602.450
2007-12-31160605鹏华中国504,697.3850.5901.643
2007-12-31184689基金普惠4,671.0000.6101.634
2007-12-31160607鹏华价值3,611.4490.2501.263
2007-12-31184693基金普丰3,588.9720.3801.255
2007-12-31580002东吴动力2,909.2440.7001.017
2007-12-31110009易基价值2,810.2280.1700.983
2007-12-31240004华宝动力2,151.3650.4500.752
2007-12-31500038基金通乾1,554.9570.2400.544
2007-12-31184713基金科翔879.4000.2100.308
2007-12-31110029易方达科讯700.9680.3200.245
2007-12-31184712基金科汇700.6500.1800.245
2007-12-31110001易基平稳621.2430.0800.217
2007-12-31240008华宝收益467.1000.0540.163
2007-12-31255010德盛稳健466.7031.1200.163
2007-12-31253010德盛安心140.1300.8700.049
2007-12-17500029基金科讯674.8560.3400.3240.324
2007-06-30040005华安宏利15,152.7141.2707.12535.919
2007-06-30112002易策二号11,693.2111.5005.498
2007-06-30110002易基策略10,404.6351.1504.892
2007-06-30110005易基积极10,119.0530.5504.758
2007-06-30500009基金安顺8,593.6011.1004.041
2007-06-30160605鹏华中国507,123.6660.8703.349
2007-06-30184689基金普惠5,523.3990.9402.597
2007-06-30110010易基价值成长4,382.0040.1602.060
2007-06-30110001易基平稳2,154.3330.2501.013
2007-06-30184713基金科翔1,019.0720.3300.479
2007-06-30163804中银收益180.2081.0800.085
2007-06-30460001友邦盛世45.9800.0400.022
2007-05-14500019基金普润858.6000.6600.4770.477
2007-03-31112002易策二号13,882.5222.0308.3548.655
2007-03-31420001天弘精选499.5923.5400.301
2006-12-31112002易策二号7,792.8991.0606.66624.500
2006-12-31040005华安宏利4,445.2201.9403.803
2006-12-31500009基金安顺4,209.7970.6403.601
2006-12-31184693基金普丰3,580.5770.6503.063
2006-12-31184689基金普惠3,088.6690.7702.642
2006-12-31160605鹏华中国501,348.1472.0001.153
2006-12-31184711基金普华1,193.0091.4201.021
2006-12-31110002易基策略1,007.2020.2600.862
2006-12-31500019基金普润812.4000.7800.695
2006-12-31420001天弘精选484.1562.5800.414
2006-12-31110009易基价值311.0380.0200.266
2006-12-31040004华安宝利277.6330.1600.237
2006-12-31500018基金兴和64.3370.0100.055
2006-12-31160607鹏华价值25.0510.0100.021
2006-06-30184693基金普丰5,735.3391.4108.73122.622
2006-06-30162703广发小盘1,970.4851.1603.000
2006-06-30500019基金普润1,507.6872.0102.295
2006-06-30184711基金普华1,416.8022.4602.157
2006-06-30270005广发聚丰1,225.6530.4501.866
2006-06-30206001鹏华行业成长1,225.1311.6401.865
2006-06-30160605鹏华中国501,032.6011.7601.572
2006-06-30160603鹏华收益664.5202.7501.012
2006-06-30500018基金兴和81.8570.0200.125
2006-03-31510081长盛精选10.5300.0100.0300.030
2005-12-31080001长盛成长852.9640.7602.62611.440
2005-12-31160605鹏华中国50631.5070.5001.944
2005-12-31184693基金普丰629.8750.2201.939
2005-12-31206001鹏华行业成长566.5850.5401.744
2005-12-31500019基金普润488.5001.0201.504
2005-12-31510081长盛精选415.4320.1801.279
2005-12-31184713基金科翔90.9590.0900.280
2005-12-31500018基金兴和40.6390.0100.125
2005-06-30500018基金兴和33.3080.0100.1260.126
2004-12-31500018基金兴和39.5320.0100.1250.125
2004-06-30500018基金兴和47.3820.0200.1250.125
2003-06-30500011基金金鑫21.6810.0100.0450.045
2002-12-31184698基金天元901.5060.3302.1783.164
2002-12-31184710基金隆元226.1170.6100.546
2002-12-31184711基金普华23.4920.0580.057
2002-12-31184699基金同盛21.8140.0080.053
2002-12-31184703基金金盛20.1360.0500.049
2002-12-31080001长盛成长19.8720.0100.048
2002-12-31500011基金金鑫18.4580.0100.045
2002-12-31110001易基平稳18.2160.0050.044
2002-12-31500009基金安顺16.7800.0100.041
2002-12-31500010基金金元16.7800.0400.041
2002-12-31184690基金同益13.4240.0080.032
2002-12-31000001华夏成长13.2480.0000.032
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。