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持有 G 长电(600900)的基金
  报告期:2005-09-30
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(%)
1510050华夏上证50ETF505,058,217.36  67,884,169.00    9.02
2519003海富通收益增长混合372,000,000.00  50,000,000.00    4.39
3288001华夏经典配置混合338,144,689.20  45,449,555.00    4.39
4110003易方达上证50指数A302,659,214.88  40,680,002.00    7.89
5500056基金科瑞299,354,752.01  40,290,007.00    8.37
6070006嘉实服务增值行业混合297,587,433.84  39,998,311.00    4.51
7050004博时精选混合A269,392,698.24  36,208,696.00    5.66
8202001南方稳健成长混合240,203,792.64  32,285,456.00    8.69
9184692基金裕隆236,133,892.49  31,781,143.00    8.26
10110001易方达平稳增长混合235,236,015.36  31,617,744.00    8.21
11110002易方达策略成长混合208,320,000.00  28,000,000.00    8.69
12184701基金景福202,667,054.94  27,276,858.00    7.67
13184693基金普丰199,779,028.80  26,888,160.00    7.20
14310308申万菱信盛利精选混合197,023,461.12  26,481,648.00    4.10
15184688基金开元185,007,000.00  24,900,000.00    8.91
16184691基金景宏173,439,233.00  23,343,100.00    9.45
17500006基金裕阳163,566,917.70  22,014,390.00    8.16
18510081长盛动态精选混合156,347,976.72  21,014,513.00    6.42
19050002博时沪深300指数A149,202,377.52  20,054,083.00    4.87
20500058基金银丰139,198,716.98  18,734,686.00    4.75
21184698基金天元138,941,000.00  18,700,000.00    4.38
22500008基金兴华137,728,750.92  18,536,844.00    6.95
23217001招商安泰偏股混合133,920,000.00  18,000,000.00    6.78
24202201南方避险128,939,106.00  17,330,525.00    4.59
25500015基金汉兴118,879,799.39  15,999,973.00    4.67
26110005易方达积极成长混合113,681,756.64  15,279,806.00    8.95
27217005招商先锋混合109,043,110.08  14,656,332.00    6.87
28184706基金天华104,020,000.00  14,000,000.00    5.02
29000001华夏成长混合103,335,834.00  13,889,225.00    4.92
30040002华安中国A股增强指数100,839,022.08  13,553,632.00    5.99
31160105南方积极配置混合(LOF)98,545,218.00  13,245,325.00    7.13
32240005华宝多策略增长混合97,288,520.16  13,076,414.00    3.00
33162204泰达宏利行业混合96,719,754.48  12,999,967.00    6.42
34500018基金兴和93,712,747.36  12,612,752.00    3.30
35184713基金科翔86,898,308.00  11,695,600.00    8.78
36500016基金裕元86,719,616.50  11,671,550.00    5.42
37260101景顺长城优选混合84,824,503.92  11,401,143.00    6.55
38002001华夏回报混合A81,684,756.96  10,979,134.00    3.59
39240001华宝宝康消费品混合80,900,826.48  10,873,767.00    4.85
40184699基金同盛79,539,242.21  10,705,147.00    2.89
41184728基金鸿阳78,380,466.84  10,549,188.00    4.19
42260104景顺长城内需增长混合74,400,000.00  10,000,000.00    5.81
43184690基金同益74,384,954.62  10,011,434.00    3.61
44184689基金普惠72,604,466.57  9,771,799.00    3.75
45150103银河银泰混合70,420,634.16  9,465,139.00    1.99
46160605鹏华中国50混合70,309,584.72  9,450,213.00    4.95
47320001诺安平衡混合69,353,009.04  9,321,641.00    4.02
48360001光大保德信量化股票69,293,347.68  9,313,622.00    4.86
49090001大成价值增长混合63,145,065.60  8,487,240.00    6.90
50255010国联安稳健混合60,931,680.48  8,189,742.00    4.97
51090003大成蓝筹稳健混合59,520,000.00  8,000,000.00    6.81
52040001华安创新混合59,519,263.44  7,999,901.00    2.62
53233001大摩基础行业混合57,920,400.00  7,785,000.00    5.20
54500029基金科讯53,104,505.87  7,147,309.00    5.83
55206001鹏华弘泰灵活配置混合A50,409,362.88  6,775,452.00    4.72
56202101南方宝元债券A48,068,046.96  6,460,759.00    5.29
57160505博时主题行业混合(LOF)47,842,600.08  6,430,457.00    5.05
58184705基金裕泽47,261,412.70  6,360,890.00    8.35
59162605景顺长城鼎益混合(LOF)47,240,525.52  6,349,533.00    7.32
60500001基金金泰46,557,331.04  6,266,128.00    2.37
61180002银华增值混合44,882,038.08  6,032,532.00    0.92
62184719基金融鑫40,897,030.73  5,504,311.00    4.92
63200002长城久泰沪深300指数A38,765,338.80  5,210,395.00    3.78
64290002泰信先行策略混合37,906,628.88  5,094,977.00    7.88
65090004大成精选增值混合37,304,286.48  5,014,017.00    8.00
66500010基金金元36,723,547.72  4,942,604.00    7.45
67184695基金景博36,421,978.88  4,902,016.00    3.99
68340001兴全可转债混合35,712,000.00  4,800,000.00    2.03
69184712基金科汇35,664,000.00  4,800,000.00    3.36
70184696基金裕华33,820,654.15  4,551,905.00    6.48
71375010上投摩根中国优势混合33,685,344.00  4,527,600.00    2.59
72240002华宝宝康配置混合32,628,700.32  4,385,578.00    3.70
73184710基金隆元32,175,919.63  4,330,541.00    7.52
74519996长信银利精选混合27,249,937.44  3,662,626.00    5.99
75519180万家180指数26,453,195.28  3,555,537.00    4.34
76000011华夏大盘精选混合26,375,893.68  3,545,147.00    3.63
77184702基金同智26,030,165.41  3,503,387.00    4.64
78213001宝盈鸿利收益混合A23,688,602.88  3,183,952.00    5.51
79184718基金兴安22,967,846.33  3,091,231.00    4.47
80500039基金同德21,679,907.84  2,917,888.00    3.98
81184708基金兴科21,575,033.39  2,903,773.00    4.10
82200001长城久恒灵活配置混合20,221,086.72  2,717,888.00    4.47
83398001中海优质成长混合20,218,103.28  2,717,487.00    6.11
84184703基金金盛19,318,000.00  2,600,000.00    3.72
85500019基金普润19,244,286.97  2,590,079.00    4.07
86020005国泰金马稳健混合19,101,813.12  2,567,448.00    2.59
87162203泰达宏利稳定混合18,624,150.24  2,503,246.00    5.97
88184720基金久富18,577,303.30  2,500,310.00    3.69
89460001华泰柏瑞盛世中国混合17,962,146.48  2,414,267.00    2.86
90184700基金鸿飞17,343,923.30  2,334,310.00    3.89
91350002天治低碳经济混合17,112,000.00  2,300,000.00    4.36
92160603鹏华普天收益混合17,112,000.00  2,300,000.00    7.35
93184711基金普华16,147,121.19  2,173,233.00    4.29
94217002招商安泰平衡混合15,802,247.52  2,123,958.00    4.87
95210001金鹰成份优选混合14,755,774.32  1,983,303.00    4.62
96260103景顺长城动力平衡混合14,257,227.36  1,916,294.00    4.96
97121001国投瑞银融华债券13,362,001.92  1,795,968.00    3.35
98162205泰达宏利风险预算混合12,648,550.56  1,700,074.00    3.69
99350001天治财富增长混合12,001,359.84  1,613,086.00    6.74
100580001东吴嘉禾优势精选混合11,160,000.00  1,500,000.00    2.13
101450001国富中国收益混合10,871,551.20  1,461,230.00    1.87
102161607融通巨潮100指数(LOF)A9,222,780.00  1,229,704.00    4.11
103020003国泰金龙行业混合7,510,932.96  1,009,534.00    2.66
104398011中海分红增利混合7,440,000.00  1,000,000.00    3.66
105213002宝盈泛沿海混合7,439,873.52  999,983.00    3.71
106002011华夏红利混合5,952,000.00  800,000.00    1.07
107100020富国天益价值混合5,638,679.28  757,887.00    2.63
108510080长盛全债指数增强债券5,271,708.72  708,563.00    3.64
109161903万家行业优选混合(LOF)4,946,536.08  664,857.00    4.74
110151002银河收益混合2,607,273.60  350,440.00    2.92