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代码:600748名称:上实发展
 
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(%)
2008-03-31519029华夏稳增72,175.9925.3507.54526.213
2008-03-31530005建信配置56,676.5513.7605.925
2008-03-31000001华夏成长46,427.9904.2804.853
2008-03-31519011海富精选21,582.0002.0802.256
2008-03-31519013海富优势18,004.1903.4101.882
2008-03-31519003海富收益14,971.8292.5701.565
2008-03-31020010国泰金牛创新10,941.4452.1801.144
2008-03-31519015海富通精选2号9,983.0492.5801.044
2007-12-31530005建信配置64,991.2834.3705.26761.471
2007-12-31519029华夏稳增62,568.8554.1305.070
2007-12-31590002中邮核心成长46,924.8580.9743.803
2007-12-31519011海富精选45,471.5453.1703.685
2007-12-31519018汇添均衡34,086.0660.9202.762
2007-12-31000001华夏成长32,603.4842.5502.642
2007-12-31160311华夏蓝筹核心32,158.4391.0902.606
2007-12-31519013海富优势31,219.8973.9802.530
2007-12-31310328新动力31,158.5603.4102.525
2007-12-31519003海富收益27,376.0883.3202.218
2007-12-31217009招商价值25,191.2561.5602.041
2007-12-31519015海富通精选2号19,883.9173.4301.611
2007-12-31090001大成价值增长19,740.4671.2101.600
2007-12-31377020上投内需动力19,081.1371.1201.546
2007-12-31590001中邮核心18,849.9070.6561.528
2007-12-31519694交银蓝筹18,559.6750.9001.504
2007-12-31360007光大优势配置16,893.4840.8501.369
2007-12-31375010上投优势16,429.2421.3301.331
2007-12-31310358新经济13,195.0461.4301.069
2007-12-31519019大成景阳12,992.0003.3201.053
2007-12-31378010上投先锋10,897.7820.7400.883
2007-12-31377010上投α10,555.4340.7900.855
2007-12-31020010国泰金牛创新10,068.4521.3100.816
2007-12-31519068添富焦点10,012.8370.3700.811
2007-12-31110009易基价值9,280.0000.5700.752
2007-12-31500008基金兴华9,172.5981.2200.743
2007-12-31519005海富股票8,094.8790.8900.656
2007-12-31519996长信银利7,663.7441.4600.621
2007-12-31519994长信金利7,620.9400.4600.618
2007-12-31530003建信成长7,424.0000.9900.602
2007-12-31160706嘉实3007,400.1500.1900.600
2007-12-31340006兴业全球视野6,782.9930.8000.550
2007-12-31373010上投双息6,189.9360.8400.502
2007-12-31002001华夏回报6,027.5220.2900.488
2007-12-31150103银河银泰5,881.4691.1000.477
2007-12-31050002博时裕富5,206.4230.2100.422
2007-12-31519021金鼎价值精选4,996.4540.4100.405
2007-12-31020005国泰金马4,640.0000.4600.376
2007-12-31340001兴业转基3,944.0001.4440.320
2007-12-31519007海富回报3,715.2290.7500.301
2007-12-31000031华夏复兴2,658.7250.5300.215
2007-12-31500018基金兴和2,589.5840.2700.210
2007-12-31100026富国天合稳健2,498.6400.4000.202
2007-12-31519300大成3002,270.6120.2100.184
2007-12-31519180万家1802,200.7800.2800.178
2007-12-31162006长城久富1,904.7660.2200.154
2007-12-31519690交银稳健1,809.6000.2300.147
2007-12-31184693基金普丰1,184.6480.1300.096
2007-12-31020001国泰金鹰增长928.0000.8100.075
2007-12-31020008国泰混合928.0000.6500.075
2007-12-31519993长信增利928.0000.1100.075
2007-12-31500011基金金鑫927.8140.1000.075
2007-12-31200002长城久泰671.2500.1800.054
2007-12-31020002国泰金龙债券662.5500.8500.054
2007-12-31020003国泰金龙行业662.5500.8500.054
2007-12-31510180180ETF446.1590.2900.036
2007-12-31020011国泰沪深300135.9010.0200.011
2007-12-31310318盛利配置116.0001.1000.009
2007-12-31184703基金金盛85.5800.0600.007
2007-12-31530001建信价值7.4700.0000.001
2007-12-10500007基金景阳12,930.4003.3801.1841.184
2007-09-30530005建信配置57,315.8932.9105.04716.206
2007-09-30310328新动力33,493.9542.5502.950
2007-09-30530003建信成长24,000.0002.6602.113
2007-09-30550001信诚四季14,405.9711.7801.269
2007-09-30373010上投双息14,405.9711.7801.269
2007-09-30500007基金景阳14,400.0003.4701.268
2007-09-30090001大成价值增长12,960.0003.8401.141
2007-09-30310358新经济12,930.0482.3001.139
2007-09-30310318盛利配置120.0001.1000.011
2007-08-25161706招商成长11,909.0721.0001.1221.122
2007-07-01530005建信配置57,315.8932.91012.45012.450
2007-06-30162605景顺鼎益16,848.8771.3103.66050.726
2007-06-30110009易基价值12,708.1901.0202.760
2007-06-30217009招商价值12,494.0010.9202.714
2007-06-30310328新动力12,114.9011.0302.632
2007-06-30161706招商成长11,909.0721.0002.587
2007-06-30377020上投内需动力8,904.9870.5401.934
2007-06-30530003建信成长8,837.6361.0801.920
2007-06-30580001东吴嘉禾8,802.2002.6401.912
2007-06-30090001大成价值增长7,978.6002.3001.733
2007-06-30180012银华富裕7,790.6980.6601.692
2007-06-30184706基金天华7,573.5791.4801.645
2007-06-30373010上投双息6,922.3971.1101.504
2007-06-30310358新经济6,849.9202.0601.488
2007-06-30500007基金景阳6,477.2502.0701.407
2007-06-30377010上投α6,405.4300.7401.391
2007-06-30290004泰信优质6,320.7420.8081.373
2007-06-30530001建信价值5,837.8560.5301.268
2007-06-30112002易策二号5,726.7100.7301.244
2007-06-30580002东吴动力5,417.4271.5701.177
2007-06-30002011华夏红利4,814.0280.5301.046
2007-06-30500056基金科瑞4,632.6510.5001.006
2007-06-30483003工银平衡4,294.9800.3900.933
2007-06-30110005易基积极4,281.2000.2300.930
2007-06-30500008基金兴华3,985.9120.6900.866
2007-06-30519001银华优选股票3,892.0000.1900.845
2007-06-30530005建信配置3,891.9770.2100.845
2007-06-30202002南稳贰号3,449.4100.1500.749
2007-06-30162607景顺资源2,862.1161.5500.622
2007-06-30110002易基策略2,637.8460.2900.573
2007-06-30570001诺德价值优势2,529.8000.2500.550
2007-06-30375010上投优势2,502.9450.2400.544
2007-06-30519029华夏稳增2,419.6990.3300.526
2007-06-30290002泰信先行2,315.4951.2400.503
2007-06-30050002博时裕富2,183.5560.1000.474
2007-06-30213002宝盈区域增长2,101.5810.6800.456
2007-06-30160706嘉实3002,016.1510.1400.438
2007-06-30519300大成3001,977.6340.1700.430
2007-06-30519021金鼎价值精选1,946.0000.1300.423
2007-06-30202005南方成份精选1,561.6650.0800.339
2007-06-30400001东方龙1,323.7860.7800.288
2007-06-30360001量化核心1,167.6000.2100.254
2007-06-30090003大成蓝筹稳健1,167.6001.1500.254
2007-06-30310308盛利精选973.0000.4600.211
2007-06-30160910大成创新成长657.5530.0600.143
2007-06-30184693基金普丰568.3460.0800.123
2007-06-30378010上投先锋483.8920.0400.105
2007-06-30184713基金科翔298.9500.1000.065
2007-06-30233001巨田基础行业175.1400.8800.038
2007-06-30420001天弘精选168.5241.3300.037
2007-06-30510180180ETF162.8800.2400.035
2007-06-30310318盛利配置97.3001.3500.021
2007-06-30519180万家18071.7760.1600.016
2007-06-30100026富国天合稳健0.1950.0000.000
2007-05-14500019基金普润271.8000.2100.0620.062
2007-04-19570001诺德价值优势2,529.8000.2500.6310.631
2007-04-11500016基金裕元162.2000.0500.0410.041
2007-04-09500013基金安瑞644.8000.6100.1670.167
2007-04-01090001大成价值增长7,978.6002.3002.4232.423
2007-03-31500007基金景阳16,446.3545.8304.99413.551
2007-03-31373010上投双息15,307.9272.7504.648
2007-03-31090001大成价值增长10,674.6172.2703.241
2007-03-31310328新动力2,036.1912.6400.618
2007-03-31310318盛利配置161.4722.6100.049
2007-01-04184702基金同智7,098.0628.9502.5212.521
2007-01-01500056基金科瑞4,632.6510.5001.6721.672
2006-12-31184690基金同益27,039.2916.9009.76035.431
2006-12-31500007基金景阳14,029.1666.0105.064
2006-12-31184698基金天元13,281.5252.0004.794
2006-12-31373010上投双息12,145.2301.7304.384
2006-12-31184702基金同智6,957.0418.9802.511
2006-12-31500016基金裕元5,920.0001.9702.137
2006-12-31202002南稳贰号3,944.4990.6301.424
2006-12-31090001大成价值增长3,864.3007.0601.395
2006-12-31202001南方稳健成长3,607.3991.3501.302
2006-12-31530001建信价值1,830.6221.1200.661
2006-12-31184705基金裕泽1,657.6001.5600.598
2006-12-31378010上投先锋1,637.9360.1500.591
2006-12-31184699基金同盛1,086.3410.2000.392
2006-12-31360001量化核心409.8500.7900.148
2006-12-31050002博时裕富234.1220.1400.085
2006-12-31500018基金兴和152.2090.0300.055
2006-12-31160706嘉实300103.3240.1800.037
2006-12-31510180180ETF102.3450.2600.037
2006-12-31510080长盛债券81.9700.5700.030
2006-12-31519180万家18069.4220.3500.025
2006-09-30184690基金同益12,042.3513.7707.50924.051
2006-09-30500007基金景阳9,159.2455.3005.711
2006-09-30500016基金裕元5,797.3162.6903.615
2006-09-30184695基金景博3,877.7092.9602.418
2006-09-30090001大成价值增长3,241.7365.0102.021
2006-09-30184702基金同智2,521.1453.1101.572
2006-09-30184705基金裕泽1,932.4572.5701.205
2006-06-30184693基金普丰6,293.3831.5504.95514.937
2006-06-30500016基金裕元4,318.8952.1403.400
2006-06-30184701基金景福1,912.7000.5301.506
2006-06-30288001中信经典1,740.3550.5601.370
2006-06-30500007基金景阳1,561.1390.9101.229
2006-06-30184705基金裕泽1,234.0001.7400.972
2006-06-30080001长盛成长1,122.7461.1700.884
2006-06-30500017基金景业370.2000.5300.291
2006-06-30500018基金兴和169.5710.0400.134
2006-06-30090001大成价值增长98.0800.1600.077
2006-06-30510180180ETF76.6250.2000.060
2006-06-30519180万家18073.7340.1600.058
2005-12-31500018基金兴和100.0380.0400.1330.255
2005-12-31519180万家18091.9550.1600.122
2005-06-30500018基金兴和84.5310.0300.1340.266
2005-06-30519180万家18082.6790.1300.131
2004-12-31050002博时裕富393.8280.1100.5650.846
2004-12-31519180万家180116.4680.1400.167
2004-12-31500018基金兴和79.2110.0300.114
2004-06-30257010德盛小盘862.6040.1101.0201.770
2004-06-30050002博时裕富398.0330.1200.470
2004-06-30519180万家180140.4180.1400.166
2004-06-30500018基金兴和96.7540.0300.114
2003-12-31050002博时裕富575.9420.1300.6010.901
2003-12-31519180万家180198.8290.1700.207
2003-12-31040002华安A股89.7760.0700.094
2003-06-30500011基金金鑫403.2410.1400.3180.510
2003-06-30040002华安A股243.3950.1900.192
2002-12-31184711基金普华1,247.0003.0900.9473.430
2002-12-31184728基金鸿阳1,211.4830.7210.920
2002-12-31184689基金普惠601.9790.3400.457
2002-12-31500011基金金鑫471.9850.1700.358
2002-12-31500019基金普润382.7000.9040.291
2002-12-31184700基金鸿飞344.0000.8220.261
2002-12-31184703基金金盛258.0000.6200.196
2002-09-30500019基金普润475.7051.0100.2830.283
2002-06-30184728基金鸿阳1,634.0930.7770.8963.809
2002-06-30184700基金鸿飞1,160.0002.2750.636
2002-06-30184703基金金盛928.0002.0000.509
2002-06-30184689基金普惠926.4970.4540.508
2002-06-30184711基金普华870.0001.8060.477
2002-06-30500019基金普润348.0000.7000.191
2002-06-30500011基金金鑫348.0000.1100.191
2002-06-30184720基金久富243.1360.4600.133
2002-06-30184693基金普丰151.2810.0480.083
2002-06-30184708基金兴科116.0000.2300.064
2002-06-30184690基金同益95.1200.0450.052
2002-06-30202001南方稳健成长65.3240.0200.036
2002-06-30184698基金天元62.9880.0200.035
2001-12-31500028基金兴业629.4001.4900.3740.458
2001-12-31184692基金裕隆141.6150.0500.084
2000-06-30184698基金天元115.6780.0270.0810.081
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。