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持有 金地集团(600383)的基金
  报告期:2012-09-30
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(%)
1200008长城品牌优选混合388,116,404.57  77,160,319.00    4.67
2360007光大保德信优势配置混合334,197,963.41  66,440,947.00    4.17
3050001博时价值增长混合323,656,763.43  64,345,281.00    2.32
4481001工银核心价值混合A280,892,865.36  55,843,512.00    3.65
5000021华夏优势增长混合261,559,240.47  51,999,849.00    1.90
6162703广发小盘成长混合(LOF)A252,842,864.13  50,266,971.00    3.39
7481006工银红利混合247,811,289.74  49,266,658.00    9.81
8050004博时精选混合A201,199,356.16  39,999,872.00    2.54
9121006国投瑞银稳健增长混合181,433,156.30  36,070,210.00    6.37
10270022广发内需增长混合150,333,073.73  29,887,291.00    4.76
11100022富国天瑞强势混合138,845,469.19  27,603,473.00    2.61
12040004华安宝利配置混合135,809,994.97  26,999,999.00    3.07
13360005光大保德信红利混合120,271,872.27  23,910,909.00    5.43
14050201博时价值增长贰号混合104,707,171.05  20,816,535.00    2.25
15150003建信优势99,446,681.36  19,770,712.00    2.55
16530011建信内生动力混合89,152,922.17  17,724,239.00    2.70
17550001信诚四季红混合74,531,144.75  14,817,325.00    3.21
18530006建信核心精选混合61,868,723.35  12,299,945.00    2.86
19184722基金久嘉60,360,000.00  12,000,000.00    3.83
20161810银华内需精选混合(LOF)44,963,441.62  8,939,054.00    3.67
21310308申万菱信盛利精选混合32,927,169.71  6,546,157.00    2.42
22040016华安行业轮动混合25,150,000.00  5,000,000.00    3.64
23050014博时创业成长混合A24,074,284.20  4,786,140.00    4.87
24166006中欧行业成长混合(LOF)A20,623,000.00  4,100,000.00    8.80
25400001东方龙混合19,616,979.88  3,899,996.00    1.70
26510130中盘ETF19,489,539.80  3,874,660.00    1.97
27398051中海环保新能源混合14,597,256.17  2,902,039.00    3.42
28260116景顺长城核心竞争力混合A14,084,975.82  2,800,194.00    2.71
29160613鹏华盛世创新混合(LOF)13,982,620.35  2,779,845.00    3.03
30213001宝盈鸿利收益混合A11,569,000.00  2,300,000.00    2.97
31200012长城中小盘成长混合10,700,540.32  2,127,344.00    3.51
32090009大成行业轮动混合10,562,738.44  2,099,948.00    3.43
33040011华安核心优选混合10,060,000.00  2,000,000.00    4.76
34200011长城景气行业龙头混合7,545,000.00  1,500,000.00    3.51
35420005天弘周期策略混合7,474,459.28  1,485,976.00    3.70
36110007易方达稳健收益债券A5,964,025.73  1,185,691.00    0.70
37110008易方达稳健收益债券B5,964,025.73  1,185,691.00    0.70
38360016光大保德信行业轮动混合5,759,350.00  1,145,000.00    6.00
39350008天治新消费混合5,180,900.00  1,030,000.00    3.02
40570008诺德周期策略混合4,456,102.15  885,905.00    3.77
41360010光大保德信均衡精选混合3,521,000.00  700,000.00    3.11
42620004金元顺安价值增长混合2,133,223.00  424,100.00    2.71
43165509信诚增强收益债券(LOF)2,012,000.00  400,000.00    0.09
44400007东方策略成长混合1,760,500.00  350,000.00    2.20
45290010泰信中证200指数1,180,581.24  234,708.00    1.36
46410009华富量子生命力混合1,050,515.50  208,850.00    1.09
47510220华泰柏瑞中小盘ETF1,022,096.00  203,200.00    1.01
48150065长盛同瑞B763,086.21  151,707.00    1.13
49150064长盛同瑞A763,086.21  151,707.00    1.13
50160808长盛同瑞中证200指数分级763,086.21  151,707.00    1.13
5116580L东吴深证100指数增强(LOF)269,608.00  53,600.00    0.19
52202021南方小康ETF联接A45,773.00  9,100.00    0.02