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东软集团】详情
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代码:600718名称:东软集团
 
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(%)
2008-06-30450002国富弹性31,015.4213.8407.88820.570
2008-06-30184701基金景福22,958.8146.2005.839
2008-06-30460001友邦盛世18,099.2252.0904.603
2008-06-30460002友邦积极成长8,805.5981.6802.240
2008-03-31450002国富弹性36,101.9064.4907.88814.229
2008-03-31184701基金景福29,017.3794.2806.340
2007-12-31160311华夏蓝筹核心58,216.8551.9808.82262.253
2007-12-31450002国富弹性48,828.9115.0907.400
2007-12-31184701基金景福44,974.8144.8806.816
2007-12-31460001友邦盛世20,383.2801.5203.089
2007-12-31000001华夏成长19,692.5851.5402.984
2007-12-31090004大成精选增值19,271.9532.7702.921
2007-12-31460002友邦积极成长18,385.5481.9502.786
2007-12-31519017大成成长17,048.2882.1302.584
2007-12-31040008华安策略优选17,005.6590.7302.577
2007-12-31160611鹏华优质治理16,246.2140.9202.462
2007-12-31450003国富潜力14,162.7050.9702.146
2007-12-31519013海富优势10,105.8171.2901.531
2007-12-31290004泰信优质10,041.6582.1501.522
2007-12-31610001信达澳银增长8,702.3010.5101.319
2007-12-31184691基金景宏8,234.7011.1801.248
2007-12-31090003大成蓝筹稳健7,549.2490.2801.144
2007-12-31288002中信红利7,335.3230.7631.112
2007-12-31150002大成优选7,001.2371.2601.061
2007-12-31090001大成价值增长6,700.1410.4101.015
2007-12-31410001华富优选6,324.2032.1000.958
2007-12-31519005海富股票5,878.9150.6500.891
2007-12-31570001诺德价值优势4,654.0830.4700.705
2007-12-31530005建信配置4,646.9420.3100.704
2007-12-31160706嘉实3004,273.2750.1100.648
2007-12-31519996长信银利4,239.8460.8100.643
2007-12-31530003建信成长4,194.1540.5600.636
2007-12-31500018基金兴和3,537.4750.3700.536
2007-12-31519300大成3002,786.6490.2500.422
2007-12-31320003诺安股票2,242.7290.0500.340
2007-12-31160910大成创新成长2,194.5000.9100.333
2007-12-31090006大成财富1,398.3000.0800.212
2007-12-31070011嘉实策略1,305.0610.0710.198
2007-12-31002001华夏回报1,293.5490.0600.196
2007-12-31184693基金普丰593.8160.0600.090
2007-12-31040002华安A股489.0320.0800.074
2007-12-31070001嘉实成长466.1000.0800.071
2007-12-31200002长城久泰312.8980.0900.047
2007-12-31020011国泰沪深30062.9470.0100.010
2007-12-31100026富国天合稳健4.6610.0000.001
2007-09-30184701基金景福34,167.2373.6506.15011.478
2007-09-30290004泰信优质29,599.1754.1625.328
2007-06-30160311华夏蓝筹核心32,716.2300.9605.54655.763
2007-06-30290004泰信优质30,234.6233.8635.125
2007-06-30184701基金景福29,502.1623.7505.001
2007-06-30090004大成精选增值24,963.7803.2404.232
2007-06-30184728基金鸿阳22,784.0755.1903.862
2007-06-30000001华夏成长17,605.8211.6302.984
2007-06-30519015海富通精选2号16,671.0881.6402.826
2007-06-30519013海富优势14,585.1921.7802.472
2007-06-30260108景顺成长14,584.5002.7302.472
2007-06-30519017大成成长12,898.8731.3602.186
2007-06-30530005建信配置12,499.7920.6802.119
2007-06-30500018基金兴和10,086.7201.2901.710
2007-06-30519688交银精选9,167.4000.5501.554
2007-06-30002011华夏红利8,334.0000.9201.413
2007-06-30519011海富精选8,334.0001.6901.413
2007-06-30570001诺德价值优势7,916.5750.7801.342
2007-06-30519005海富股票6,242.1201.5501.058
2007-06-30500056基金科瑞6,071.4730.6501.029
2007-06-30550001信诚四季5,728.8212.0700.971
2007-06-30610001信达澳银增长5,368.7380.3800.910
2007-06-30184718基金兴安4,535.3892.9800.769
2007-06-30519007海富回报3,750.3001.7500.636
2007-06-30519300大成3003,264.1530.2700.553
2007-06-30162607景顺资源2,779.1641.5000.471
2007-06-30260101景顺长城优选2,726.3140.3500.462
2007-06-30160706嘉实3002,481.6860.1700.421
2007-06-30160910大成创新成长2,083.5000.1800.353
2007-06-30460001友邦盛世1,954.3231.6000.331
2007-06-30519996长信银利1,767.6752.8500.300
2007-06-30500008基金兴华1,519.0980.2600.258
2007-06-30519690交银稳健1,375.1100.2200.233
2007-06-30090006大成财富1,333.2110.6500.226
2007-06-30090003大成蓝筹稳健1,250.1001.2300.212
2007-06-30184693基金普丰653.6920.0900.111
2007-06-30360001量化核心416.7000.0800.071
2007-06-30200002长城久泰250.9120.1400.043
2007-06-30070011嘉实策略250.0200.0100.042
2007-06-30040002华安A股190.8490.0700.032
2007-06-30070001嘉实成长83.3400.0100.014
2007-06-30100026富国天合稳健4.1670.0000.001
2007-06-11184695基金景博2,194.5000.9100.3520.352
2007-04-19570001诺德价值优势7,916.5750.7801.7261.726
2007-03-31184701基金景福21,655.2523.7304.90619.906
2007-03-31090004大成精选增值21,508.9492.5604.873
2007-03-31002011华夏红利12,979.9032.5102.940
2007-03-31519011海富精选12,472.0003.7202.825
2007-03-31184728基金鸿阳8,107.0361.9901.837
2007-03-31184695基金景博6,248.0003.8201.415
2007-03-31184718基金兴安3,953.8782.9100.896
2007-03-31519996长信银利943.1953.1200.214
2007-01-15519017大成成长3,564.1784.7301.0172.034
2007-01-15500017基金景业3,564.1784.7301.017
2007-01-01500056基金科瑞6,071.4730.6501.8181.818
2006-12-31184701基金景福16,497.9202.8304.94041.817
2006-12-31184695基金景博14,161.0008.4304.240
2006-12-31519003海富收益14,154.0004.7904.238
2006-12-31519011海富精选11,795.0004.9603.532
2006-12-31500018基金兴和11,478.6022.0503.437
2006-12-31483003工银平衡10,103.6801.1703.025
2006-12-31184698基金天元7,699.3001.1602.305
2006-12-31090004大成精选增值6,939.9470.7302.078
2006-12-31184718基金兴安6,153.7785.6801.843
2006-12-31002011华夏红利5,299.0171.0901.587
2006-12-31500017基金景业4,660.8445.1501.396
2006-12-31481001工银价值4,434.6271.4301.328
2006-12-31002021华回报二3,837.8880.5401.149
2006-12-31184728基金鸿阳2,887.4060.8200.865
2006-12-31180001银华优势企业2,594.9000.5800.777
2006-12-31000001华夏成长2,404.6871.0400.720
2006-12-31519007海富回报2,083.7541.2200.624
2006-12-31184708基金兴科1,752.0081.6100.525
2006-12-31002001华夏回报1,639.2080.5500.491
2006-12-31090003大成蓝筹稳健1,438.8112.7100.431
2006-12-31110001易基平稳1,250.2700.0800.374
2006-12-31090006大成财富1,179.3700.4700.353
2006-12-31519013海富优势1,064.3550.3900.319
2006-12-31519300大成300852.6441.6100.255
2006-12-31160607鹏华价值707.7000.3900.212
2006-12-31519005海富股票572.7650.1600.172
2006-12-31519996长信银利495.2485.6600.148
2006-12-31530001建信价值471.8470.2900.141
2006-12-31184711基金普华346.5590.4100.104
2006-12-31040002华安A股235.9000.2400.071
2006-12-31110009易基价值235.9000.0200.071
2006-12-31160706嘉实300119.9340.2100.036
2006-12-31200002长城久泰105.8840.2300.032
2006-09-30519003海富收益13,319.7004.2006.14523.137
2006-09-30519011海富精选10,717.4934.9304.945
2006-09-30184701基金景福8,258.4142.1103.810
2006-09-30184695基金景博7,600.0005.8003.506
2006-09-30184718基金兴安4,285.3685.2201.977
2006-09-30500017基金景业3,238.1144.7901.494
2006-09-30184708基金兴科2,423.9042.8801.118
2006-09-30162102金鹰小盘306.2005.0000.141
2006-06-30519003海富收益10,486.0792.7306.18825.905
2006-06-30519011海富精选8,379.3853.8204.945
2006-06-30184695基金景博7,566.3005.7304.465
2006-06-30184701基金景福4,844.0861.3502.858
2006-06-30500016基金裕元2,322.9351.1501.371
2006-06-30184718基金兴安1,921.6002.4401.134
2006-06-30500017基金景业1,627.8222.3200.961
2006-06-30550001信诚四季1,368.0900.4000.807
2006-06-30500038基金通乾1,171.5760.4300.691
2006-06-30519300大成3001,059.3280.9400.625
2006-06-30090001大成价值增长957.6001.5200.565
2006-06-30184708基金兴科594.2420.7300.351
2006-06-30360005光大红利530.5801.8200.313
2006-06-30184738基金通宝396.3300.6000.234
2006-06-30500018基金兴和149.3760.0400.088
2006-06-30519180万家180134.6230.3000.079
2006-06-30040002华安A股134.2140.1400.079
2006-06-30510180180ETF117.6650.3100.069
2006-06-30200002长城久泰77.9730.1800.046
2006-06-30160706嘉实30059.9700.1800.035
2005-12-31519003海富收益5,783.1600.7206.52114.853
2005-12-31519011海富精选3,132.0721.2503.532
2005-12-31100022富国天瑞1,801.2372.6802.031
2005-12-31310308盛利精选889.4990.1901.003
2005-12-31500058基金银丰515.6410.1700.581
2005-12-31200002长城久泰181.0760.1700.204
2005-12-31040002华安A股174.5250.1100.197
2005-12-31519180万家180154.9830.2700.175
2005-12-31160706嘉实300147.9140.1600.167
2005-12-31500025基金汉鼎143.5190.3100.162
2005-12-31310318盛利配置138.3370.3500.156
2005-12-31500018基金兴和78.5060.0300.089
2005-12-31375010上投优势31.7040.0300.036
2005-06-30200002长城久泰300.4750.1950.3720.933
2005-06-30040002华安A股267.4820.1200.331
2005-06-30519180万家180113.6400.1800.141
2005-06-30500018基金兴和71.5410.0300.089
2004-12-31200002长城久泰504.4100.2810.4000.903
2004-12-31040002华安A股321.9000.2000.255
2004-12-31519180万家180223.3210.2600.177
2004-12-31500018基金兴和89.1210.0300.071
2004-06-30070006嘉实服务6,447.4550.7705.0207.369
2004-06-30257010德盛小盘1,269.5910.1600.989
2004-06-30184718基金兴安480.1321.0000.374
2004-06-30184710基金隆元345.0000.7800.269
2004-06-30184719基金融鑫329.9470.3580.257
2004-06-30040002华安A股263.5800.2100.205
2004-06-30519180万家180236.6070.2400.184
2004-06-30500018基金兴和91.4260.0300.071
2004-06-30184721基金丰和0.4200.0000.000
2003-12-31040002华安A股326.5040.2600.2810.732
2003-12-31519180万家180266.7370.2300.229
2003-12-31500002基金泰和208.8960.1000.180
2003-12-31240002宝康配置44.5720.0420.038
2003-12-31500001基金金泰4.8170.0000.004
2003-09-30162201荷银成长880.0281.8000.6550.655
2003-06-30184699基金同盛2,964.0001.0092.2075.603
2003-06-30500025基金汉鼎1,140.4482.9000.849
2003-06-30500007基金景阳1,011.3410.9900.753
2003-06-30500058基金银丰851.0330.2800.634
2003-06-30500001基金金泰585.5460.3200.436
2003-06-30040002华安A股367.6540.2900.274
2003-06-30184702基金同智268.1860.5460.200
2003-06-30500039基金同德231.2400.4870.172
2003-06-30500011基金金鑫107.2400.0400.080
2003-03-31500025基金汉鼎1,402.6633.5400.9121.762
2003-03-31184720基金久富1,308.1092.8500.850
2002-12-31184692基金裕隆4,276.2371.6402.79710.256
2002-12-31184701基金景福2,183.7680.8701.428
2002-12-31184699基金同盛1,846.8720.7011.208
2002-12-31184720基金久富1,397.7723.2800.914
2002-12-31500025基金汉鼎1,226.1433.3700.802
2002-12-31500007基金景阳951.4651.0400.622
2002-12-31206001鹏华行业成长757.7200.2380.496
2002-12-31500058基金银丰618.9010.2200.405
2002-12-31500038基金通乾514.5870.3000.337
2002-12-31500035基金汉博394.9120.9860.258
2002-12-31184721基金丰和378.4550.1410.248
2002-12-31500015基金汉兴278.2020.1200.182
2002-12-31100016富国天源平衡261.1430.0700.171
2002-12-31202101南方宝元债券259.6050.0700.170
2002-12-31184722基金久嘉228.2790.1200.149
2002-12-31184718基金兴安68.1000.1700.045
2002-12-31184708基金兴科39.3620.0900.026
2002-09-30184720基金久富1,592.5003.3300.8740.874
2002-06-30184692基金裕隆5,706.8081.8502.6319.252
2002-06-30184699基金同盛2,929.9820.9221.351
2002-06-30500007基金景阳2,108.9242.0100.972
2002-06-30184720基金久富1,864.9403.5400.860
2002-06-30000001华夏成长1,778.2520.4800.820
2002-06-30184701基金景福1,584.0760.5200.730
2002-06-30184721基金丰和823.3650.2610.380
2002-06-30500038基金通乾718.9860.3400.331
2002-06-30500015基金汉兴437.8120.1600.202
2002-06-30184706基金天华383.6560.1550.177
2002-06-30500035基金汉博380.6000.8200.175
2002-06-30184728基金鸿阳338.5440.1610.156
2002-06-30184713基金科翔328.4030.3900.151
2002-06-30500056基金科瑞215.9910.0700.100
2002-06-30500008基金兴华190.3000.0900.088
2002-06-30184690基金同益90.8280.0430.042
2002-06-30184705基金裕泽76.1200.1600.035
2002-06-30184693基金普丰70.2930.0230.032
2002-06-30184698基金天元19.9620.0100.009
2002-06-30184708基金兴科19.0300.0400.009
2002-03-31500016基金裕元3,899.7542.4501.8053.058
2002-03-31184705基金裕泽1,456.1093.0700.674
2002-03-31500025基金汉鼎1,253.2122.9500.580
2001-12-31184689基金普惠5,059.9382.5002.09410.541
2001-12-31500006基金裕阳4,885.3682.4202.021
2001-12-31184698基金天元2,694.9080.8801.115
2001-12-31500016基金裕元2,053.6921.3200.850
2001-12-31184692基金裕隆1,916.1250.6500.793
2001-12-31500002基金泰和1,494.3390.7890.618
2001-12-31500025基金汉鼎1,373.4633.0900.568
2001-12-31500035基金汉博1,268.1662.6600.525
2001-12-31500018基金兴和1,056.7370.3300.437
2001-12-31184708基金兴科959.0291.9700.397
2001-12-31184690基金同益811.3880.3330.336
2001-12-31184705基金裕泽634.0881.3700.262
2001-12-31500015基金汉兴486.1250.1700.201
2001-12-31500029基金科讯316.9500.4100.131
2001-12-31500039基金同德249.3340.5040.103
2001-12-31184713基金科翔150.8680.1900.062
2001-12-31500011基金金鑫66.0950.0200.027
2001-09-30184689基金普惠5,421.5332.5302.1275.274
2001-09-30500006基金裕阳4,544.1082.1701.783
2001-09-30500016基金裕元2,001.9421.2500.786
2001-09-30500025基金汉鼎1,471.6143.1900.577
2001-06-30184689基金普惠17,866.4077.3505.42320.987
2001-06-30500006基金裕阳11,550.0334.8303.506
2001-06-30500005基金汉盛8,535.8463.6702.591
2001-06-30184692基金裕隆7,453.8872.1802.262
2001-06-30500015基金汉兴5,229.2591.5301.587
2001-06-30500016基金裕元3,205.7311.8400.973
2001-06-30184699基金同盛2,941.2950.7800.893
2001-06-30184693基金普丰2,671.0020.7460.811
2001-06-30500002基金泰和2,254.8960.8100.684
2001-06-30500007基金景阳2,037.2011.7400.618
2001-06-30184705基金裕泽1,491.7472.8100.453
2001-06-30500025基金汉鼎1,162.6252.2300.353
2001-06-30500011基金金鑫1,107.6180.2900.336
2001-06-30500035基金汉博1,057.4202.0400.321
2001-06-30500010基金金元580.9591.0700.176
2001-03-31184689基金普惠20,045.9558.3605.80325.366
2001-03-31184693基金普丰13,734.6093.9103.976
2001-03-31500006基金裕阳13,544.5685.6703.921
2001-03-31184692基金裕隆10,891.4993.1903.153
2001-03-31500005基金汉盛9,750.1124.2102.823
2001-03-31500016基金裕元7,608.2034.4102.202
2001-03-31500015基金汉兴7,293.8702.1502.111
2001-03-31500007基金景阳3,680.0473.2001.065
2001-03-31184705基金裕泽1,076.1622.0500.312
2000-12-31184689基金普惠26,067.3717.8306.61841.824
2000-12-31184692基金裕隆20,324.2164.3705.160
2000-12-31500006基金裕阳18,989.9115.3404.821
2000-12-31184693基金普丰17,884.4084.0604.541
2000-12-31500005基金汉盛11,495.4433.6202.918
2000-12-31500018基金兴和10,749.0292.5302.729
2000-12-31500016基金裕元9,865.6514.2202.505
2000-12-31184698基金天元9,194.3361.9402.334
2000-12-31500015基金汉兴8,599.5192.0702.183
2000-12-31500011基金金鑫7,271.0681.6401.846
2000-12-31500001基金金泰4,851.9911.4501.232
2000-12-31500008基金兴华4,245.2671.3901.078
2000-12-31500007基金景阳2,692.7281.8700.684
2000-12-31500035基金汉博2,400.7754.5400.610
2000-12-31184691基金景宏2,335.9370.8000.593
2000-12-31184699基金同盛2,099.4050.4930.533
2000-12-31500002基金泰和1,498.6510.5300.380
2000-12-31500025基金汉鼎1,433.9702.7500.364
2000-12-31184705基金裕泽1,431.7882.4000.364
2000-12-31184696基金裕华1,306.9462.1800.332
2000-09-30184689基金普惠24,517.7347.7606.58525.126
2000-09-30500006基金裕阳18,836.3565.5505.059
2000-09-30184693基金普丰16,821.2274.0404.518
2000-09-30184692基金裕隆13,915.2023.1303.737
2000-09-30500005基金汉盛10,812.0693.6802.904
2000-09-30184698基金天元8,647.7571.9502.323
2000-06-30184689基金普惠22,893.7517.3106.34630.020
2000-06-30500006基金裕阳16,892.0035.0404.682
2000-06-30184693基金普丰16,536.7143.9864.584
2000-06-30184692基金裕隆15,321.2933.4504.247
2000-06-30184698基金天元9,057.7422.1292.511
2000-06-30500005基金汉盛8,972.4953.0702.487
2000-06-30500011基金金鑫8,962.5072.1902.484
2000-06-30500001基金金泰4,941.3731.5701.370
2000-06-30500016基金裕元1,678.1100.7600.465
2000-06-30184691基金景宏1,656.1360.6100.459
2000-06-30500007基金景阳1,391.2611.0300.386
2000-03-31500006基金裕阳24,746.0837.9106.93138.566
2000-03-31184689基金普惠23,761.4538.0606.655
2000-03-31184692基金裕隆22,123.7425.4306.196
2000-03-31184693基金普丰17,893.5334.7605.011
2000-03-31184698基金天元12,796.5623.2003.584
2000-03-31500011基金金鑫12,429.9913.3403.481
2000-03-31500005基金汉盛8,739.3763.0802.448
2000-03-31500001基金金泰8,558.0312.8802.397
2000-03-31500016基金裕元6,651.2143.2601.863
1999-12-31184689基金普惠16,689.0246.1806.16432.888
1999-12-31500006基金裕阳16,440.1985.5006.072
1999-12-31184692基金裕隆16,429.2245.0606.068
1999-12-31184693基金普丰14,297.2974.9505.281
1999-12-31500011基金金鑫11,838.5094.0804.372
1999-12-31500001基金金泰6,802.3282.6302.512
1999-12-31500016基金裕元6,384.3194.1902.358
1999-12-31500500淄博基金164.0001.6200.061
1999-09-30500006基金裕阳24,938.3577.89011.50121.834
1999-09-30184692基金裕隆17,167.9555.0207.918
1999-09-30500008基金兴华5,236.1201.7202.415
1999-06-30500006基金裕阳32,460.0009.45010.84513.736
1999-06-30500008基金兴华8,656.0002.8102.892
1999-03-31500006基金裕阳13,689.1566.41010.33410.334
1998-12-31500006基金裕阳13,774.4686.64010.14110.141
1998-10-30500006基金裕阳2,917.6791.4402.1772.177
1998-09-30500008基金兴华6,640.7003.3304.7904.790
1998-07-31500008基金兴华6,830.4273.3104.6354.635
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。