行情中心升级到1.1版! 官方博客
持有 獐子岛(002069)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(%)
1519018汇添富均衡增长混合137,017,461.48  1,850,587.00    1.76
2530003建信优选成长混合A119,339,523.00  1,611,825.00    1.95
3100020富国天益价值混合109,780,218.60  1,482,715.00    1.83
4202002南方稳健成长贰号混合82,919,839.32  1,119,933.00    1.32
5110009易方达价值精选混合80,508,578.64  1,087,366.00    0.60
6500011基金金鑫70,184,292.33  939,423.00    1.45
7240001华宝宝康消费品混合43,065,810.24  581,656.00    2.11
8090004大成精选增值混合40,721,703.84  549,996.00    0.43
9240008华宝收益增长混合37,765,730.88  510,072.00    1.67
10519008汇添富优势精选混合33,794,077.20  456,430.00    1.84
11500021基金金鼎29,884,000.00  400,000.00    3.47
12184703基金金盛20,096,990.00  269,000.00    1.82
13240005华宝多策略增长混合12,194,017.80  164,695.00    0.86
14180010银华优质增长混合7,404,000.00  100,000.00    0.07
15500015基金汉兴6,998,608.67  93,677.00    0.15
16202001南方稳健成长混合6,344,339.52  85,688.00    0.24
17500058基金银丰5,804,070.48  77,688.00    0.11
18240003华宝宝康债券A5,789,039.52  78,188.00    0.35
19159902华夏中小板ETF5,789,039.52  78,188.00    0.25
20020005国泰金马稳健混合5,174,951.76  69,894.00    0.95
21288001华夏经典配置混合5,122,679.52  69,188.00    0.18
22530001建信恒久价值混合3,702,000.00  50,000.00    0.23
23500002基金泰和3,413,350.48  45,688.00    0.08
24184690基金同益3,385,483.65  45,315.00    0.09
25161005富国天惠成长混合(LOF)A3,196,528.92  43,173.00    0.73
26500039基金同德3,189,220.48  42,688.00    0.30
27184713基金科翔2,740,960.48  36,688.00    0.13
28184712基金科汇2,628,895.48  35,188.00    0.12
29184693基金普丰2,628,895.48  35,188.00    0.05
30184696基金裕华2,628,895.48  35,188.00    0.25
31184688基金开元2,628,895.48  35,188.00    0.06
32500018基金兴和2,628,895.48  35,188.00    0.05
33373010上投摩根双息平衡混合A2,605,319.52  35,188.00    0.04
34288102华夏稳定双利债券C2,605,319.52  35,188.00    0.14
35240002华宝宝康配置混合2,605,319.52  35,188.00    0.12
36202202南方避险增值混合2,605,319.52  35,188.00    0.04
37217008招商安本增利债券2,605,319.52  35,188.00    0.08
38160607鹏华价值优势混合(LOF)2,605,319.52  35,188.00    0.14
39110001易方达平稳增长混合2,605,319.52  35,188.00    0.02
40110002易方达策略成长混合2,605,319.52  35,188.00    0.07
41070010嘉实主题混合2,605,319.52  35,188.00    0.03
42070006嘉实服务增值行业混合2,605,319.52  35,188.00    0.06
43540001汇丰晋信2016周期混合2,605,319.52  35,188.00    0.10
44002001华夏回报混合A2,605,319.52  35,188.00    0.09
45000001华夏成长混合2,605,319.52  35,188.00    0.11
46500009基金安顺2,601,028.65  34,815.00    0.04
47500019基金普润2,554,559.03  34,193.00    0.25
48112002易方达策略成长二号混合2,480,340.00  33,500.00    0.03
49070003嘉实稳健混合2,431,547.64  32,841.00    0.04
50020003国泰金龙行业混合2,221,200.00  30,000.00    1.20
51161902万家增强收益债券2,025,364.20  27,355.00    0.22
52184711基金普华1,857,888.28  24,868.00    0.22
53217005招商先锋混合1,841,226.72  24,868.00    0.14
54206001鹏华弘泰灵活配置混合A1,841,226.72  24,868.00    0.25
55270005广发聚丰混合A1,841,226.72  24,868.00    0.06
56398011中海分红增利混合1,841,226.72  24,868.00    0.15
57184720基金久富1,486,280.74  19,894.00    0.13
58500035基金汉博1,300,476.97  17,407.00    0.12
59500005基金汉盛1,300,476.97  17,407.00    0.03
60400001东方龙混合1,150,729.68  15,542.00    0.41
61500025基金汉鼎1,114,673.20  14,920.00    0.13
62163402兴全趋势投资混合(LOF)920,613.36  12,434.00    0.07
63500001基金金泰747,100.00  10,000.00    0.02
64320001诺安平衡混合740,400.00  10,000.00    0.04
65160605鹏华中国50混合736,475.88  9,947.00    0.11
66160603鹏华普天收益混合644,370.12  8,703.00    0.33
67151001银河稳健混合368,200.92  4,973.00    0.29
68398001中海优质成长混合368,200.92  4,973.00    0.21
69161903万家行业优选混合(LOF)276,169.20  3,730.00    0.44
70184699基金同盛239,968.52  3,212.00    0.01
71163503天治核心成长混合(LOF)230,116.32  3,108.00    0.25
72350002天治低碳经济混合148,080.00  2,000.00    0.23
73020001国泰金鹰增长混合74,040.00  1,000.00    0.01
74510081长盛动态精选混合7,404.00  100.00    0.00