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广电电子】详情
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代码:600602名称:广电电子
 
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(%)
2008-06-30519180万家180364.4380.0700.1560.338
2008-06-30040002华安A股301.9630.0700.129
2008-06-30200002长城久泰122.3640.0600.052
2007-12-31519180万家180649.0470.0800.1560.359
2007-12-31040002华安A股537.7820.0800.129
2007-12-31200002长城久泰304.8120.0800.073
2007-06-30184693基金普丰249.0100.0300.0930.134
2007-06-30040002华安A股79.5800.0300.030
2007-06-30519180万家18030.1950.0700.011
2006-12-31040002华安A股77.0350.0800.0490.167
2006-12-31510180180ETF53.0150.1300.034
2006-12-31160706嘉实30044.7590.0800.029
2006-12-31500018基金兴和42.9170.0100.027
2006-12-31519300大成30042.2380.0800.027
2006-12-31519180万家1802.0990.0100.001
2006-06-30050002博时裕富222.9930.1300.1280.543
2006-06-30519300大成300171.8370.1500.099
2006-06-30040002华安A股156.0780.1600.090
2006-06-30500018基金兴和114.3220.0300.066
2006-06-30510180180ETF103.0490.2700.059
2006-06-30200002长城久泰53.2760.1200.031
2006-06-30160706嘉实30049.5500.1500.028
2006-06-30510050上证50ETF49.2100.0100.028
2006-06-30519180万家18023.2360.0500.013
2005-12-31510050上证50ETF3,311.1970.5002.4203.782
2005-12-31050002博时裕富633.6910.2200.463
2005-12-31040002华安A股363.9670.2400.266
2005-12-31200002长城久泰220.8160.2100.161
2005-12-31160706嘉实300200.7590.2100.147
2005-12-31519180万家180166.2830.2900.122
2005-12-31161606融通行业113.1000.1000.083
2005-12-31500018基金兴和88.0350.0300.064
2005-12-31161607融通巨潮72.3340.2900.053
2005-12-31180003银华道琼斯884.1470.0100.003
2005-06-30510050上证50ETF5,238.0600.7503.0695.184
2005-06-30110003易基501,094.1610.2400.641
2005-06-30050002博时裕富859.4320.2700.504
2005-06-30040002华安A股662.8240.3100.388
2005-06-30200002长城久泰443.2900.2870.260
2005-06-30519180万家180224.8880.3600.132
2005-06-30240002宝康配置209.0770.2050.123
2005-06-30500018基金兴和115.2500.0400.068
2005-06-30180003银华道琼斯880.4710.0000.000
2004-12-31110003易基507,015.8071.5802.3934.257
2004-12-31360001量化核心1,438.0090.7500.491
2004-12-31050002博时裕富1,430.1320.4000.488
2004-12-31200002长城久泰681.3030.3790.232
2004-12-31040002华安A股675.7170.4200.231
2004-12-31519180万家180481.1300.5700.164
2004-12-31240002宝康配置203.1630.2550.069
2004-12-31500018基金兴和192.8710.0700.066
2004-12-31210001金鹰优选186.0700.4700.063
2004-12-31184700基金鸿飞163.0000.3300.056
2004-12-31180003银华道琼斯888.0900.0100.003
2004-12-31184701基金景福4.0750.0000.001
2004-06-30184690基金同益6,060.7693.2001.8485.639
2004-06-30110003易基504,852.4251.0201.479
2004-06-30184701基金景福2,365.5530.8300.721
2004-06-30050002博时裕富1,314.8310.3900.401
2004-06-30210001金鹰优选1,107.3752.6400.338
2004-06-30500028基金兴业912.9282.1400.278
2004-06-30040002华安A股777.7330.6200.237
2004-06-30519180万家180566.5240.5800.173
2004-06-30240002宝康配置294.7650.3930.090
2004-06-30500018基金兴和237.9180.0800.073
2004-06-30200001长城久恒平衡3.0630.0030.001
2004-03-31210001金鹰优选1,433.0732.9300.3370.337
2003-12-31184722基金久嘉3,001.3061.3700.7882.385
2003-12-31050002博时裕富1,942.3170.4400.510
2003-12-31210001金鹰优选1,699.1002.2000.446
2003-12-31161605融通蓝筹1,040.5951.2820.273
2003-12-31519180万家180803.1140.6800.211
2003-12-31040002华安A股403.7470.3300.106
2003-12-31240002宝康配置191.9120.1820.050
2003-09-30210001金鹰优选1,914.0171.6000.5820.582
2003-06-30184720基金久富1,478.5833.1200.4180.855
2003-06-30040002华安A股1,011.6380.7900.286
2003-06-30184702基金同智439.2000.8950.124
2003-06-30500009基金安顺94.1210.0300.027
2002-12-31500015基金汉兴325.2000.1400.1120.367
2002-12-31184722基金久嘉300.8100.1600.103
2002-12-31184720基金久富264.7360.6200.091
2002-12-31184690基金同益136.7320.0770.047
2002-12-31184713基金科翔40.6500.0600.014
2002-09-30184710基金隆元868.9132.1400.3000.300
2002-06-30184698基金天元1,342.8720.4300.3501.894
2002-06-30500025基金汉鼎1,155.6912.6400.301
2002-06-30184710基金隆元1,046.4162.4000.273
2002-06-30500015基金汉兴1,030.0020.3700.268
2002-06-30184703基金金盛875.5001.8900.228
2002-06-30184688基金开元583.3710.2700.152
2002-06-30184720基金久富401.3990.7600.105
2002-06-30184690基金同益223.0980.1050.058
2002-06-30500029基金科讯206.0000.2500.054
2002-06-30184693基金普丰192.6790.0620.050
2002-06-30184689基金普惠116.2260.0570.030
2002-06-30500056基金科瑞94.5630.0300.025
2002-06-30184713基金科翔7.0040.0100.002
2001-12-31500029基金科讯288.9600.3700.0840.160
2001-12-31184698基金天元200.3730.0700.058
2001-12-31184696基金裕华60.5780.1200.018
2000-06-30500003基金安信5,072.1001.3501.0212.013
2000-06-30500009基金安顺4,927.1841.1000.992
2000-03-31500003基金安信18,106.4325.0303.6146.918
2000-03-31500009基金安顺16,149.0923.9803.223
2000-03-31174505华信基金404.0003.1200.081
1999-12-31500003基金安信16,921.2105.4107.22413.195
1999-12-31500009基金安顺12,973.2514.1705.538
1999-12-31174505华信基金523.8694.3700.224
1999-12-31174502南方基金489.1221.7300.209
1999-09-30500003基金安信11,847.9223.4404.6955.086
1999-09-30174502南方基金536.1911.7800.212
1999-09-30174505华信基金451.3473.3500.179
1999-06-30500003基金安信4,721.5491.4301.8511.851
1998-06-30500001基金金泰13,385.9936.43010.02510.025
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。