行情中心升级到1.1版! 官方博客
持有 思源电气(002028)的基金
  报告期:2006-12-31
序号 基金代码 基金简称 持仓市值(元) 持仓数量(股) 占基金净值比例(%)
1100020富国天益价值混合122,326,934.94  4,089,834.00    2.04
2002021华夏回报二号混合54,318,085.41  1,816,051.00    0.76
3500025基金汉鼎39,155,435.97  1,327,753.00    4.41
4000011华夏大盘精选混合37,882,091.76  1,266,536.00    1.91
5159902华夏中小板ETF31,763,791.89  1,061,979.00    1.35
6500002基金泰和31,314,133.44  1,061,856.00    0.72
7500009基金安顺29,494,983.81  1,000,169.00    0.45
8184718基金兴安29,294,333.85  993,365.00    2.70
9519029华夏稳增混合26,963,865.00  901,500.00    1.16
10162201泰达宏利成长混合26,919,000.00  900,000.00    4.26
11500013基金安瑞25,066,500.00  850,000.00    2.85
12000001华夏成长混合24,114,847.77  806,247.00    1.04
13040001华安创新混合23,928,000.00  800,000.00    1.07
14360001光大保德信量化股票21,236,100.00  710,000.00    4.11
15500018基金兴和13,809,164.34  468,266.00    0.25
16500035基金汉博13,473,509.16  456,884.00    1.27
17360006光大保德信新增长混合11,833,083.93  395,623.00    2.58
18070002嘉实增长混合11,003,410.44  367,884.00    0.45
19040004华安宝利配置混合8,973,000.00  300,000.00    0.53
20519007海富通强化回报混合8,871,126.54  296,594.00    0.52
21159901易方达深证100ETF8,395,318.26  280,686.00    0.27
22070006嘉实服务增值行业混合6,889,529.22  230,342.00    0.17
23002001华夏回报混合A6,746,499.60  225,560.00    0.23
24460001华泰柏瑞盛世中国混合3,179,433.00  106,300.00    0.46
25161604融通深证100指数A1,861,957.32  62,252.00    0.26
26070007嘉实保本1,344,304.95  44,945.00    0.36
27184693基金普丰96,137.40  3,260.00    0.00