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持有 金风科技(002202)的基金
  报告期:2017-09-30
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(%)
1090007大成策略回报混合187,521,774.92  14,358,482.00    8.01
2519019大成景阳领先混合172,110,139.08  13,178,418.00    8.72
3090003大成蓝筹稳健混合126,005,047.96  9,648,166.00    3.15
4110025易方达资源行业混合105,910,984.20  8,109,570.00    9.03
5090013大成竞争优势混合101,709,843.40  7,787,890.00    8.76
6001564东方红京东大数据混合97,266,165.34  7,447,639.00    3.12
7260109景顺长城内需贰号混合81,409,797.32  6,233,522.00    4.03
8000970东方红睿元混合66,716,043.56  5,108,426.00    4.68
9000974安信消费医药股票60,459,598.32  4,629,372.00    3.76
10000463华商双债丰利债券A48,887,275.98  3,743,283.00    0.91
11000481华商双债丰利债券C48,887,275.98  3,743,283.00    0.91
12000991工银战略转型股票47,512,593.44  3,638,024.00    5.12
13260104景顺长城内需增长混合43,228,469.40  3,309,990.00    4.04
14000167广发聚优灵活配置混合A28,719,240.38  2,199,023.00    4.32
15001297平安智慧中国混合28,081,847.08  2,150,218.00    4.53
16000165国投瑞银策略精选混合22,106,805.66  1,692,711.00    1.71
17001582大成景辉灵活配置混合A21,430,036.46  1,640,891.00    2.92
18002290大成景辉灵活配置混合C21,430,036.46  1,640,891.00    2.92
19002237大成景沛灵活配置混合C21,406,868.02  1,639,117.00    2.91
20002081大成景沛灵活配置混合A21,406,868.02  1,639,117.00    2.91
21002375大成景裕灵活配置混合C17,869,580.08  1,368,268.00    3.26
22001517大成景裕灵活配置混合A17,869,580.08  1,368,268.00    3.26
23530006建信核心精选混合17,110,820.20  1,310,170.00    3.31
24210001金鹰成份优选混合16,978,000.00  1,300,000.00    3.76
25003152华富天鑫灵活配置混合A14,241,930.00  1,090,500.00    4.75
26003153华富天鑫灵活配置混合C14,241,930.00  1,090,500.00    4.75
27001448华商双翼平衡混合12,213,986.26  935,221.00    2.32
28003971华泰柏瑞兴利混合C12,053,818.42  922,957.00    3.55
29003970华泰柏瑞兴利混合A12,053,818.42  922,957.00    3.55
30001473建信大安全战略精选股票11,226,127.86  859,581.00    3.37
31000458英大领先回报混合11,101,000.00  850,000.00    5.29
32700001平安行业先锋混合10,262,548.00  785,800.00    3.58
33003623创金合信优价成长股票C9,470,315.34  725,139.00    5.18
34003622创金合信优价成长股票A9,470,315.34  725,139.00    5.18
35000845国投瑞银信息消费混合9,106,868.60  697,310.00    3.26
36001533华泰柏瑞爱利混合8,997,425.80  688,930.00    1.64
37001271英大灵活配置混合发起式B8,489,000.00  650,000.00    1.28
38001270英大灵活配置混合发起式A8,489,000.00  650,000.00    1.28
39001247华泰柏瑞新利混合A6,960,980.00  533,000.00    1.23
40002091华泰柏瑞新利混合C6,960,980.00  533,000.00    1.23
41001264银华恒利灵活配置混合A6,775,919.80  518,830.00    0.83
42002327银华恒利灵活配置混合C6,775,919.80  518,830.00    0.83
43002328银华泰利灵活配置混合C6,775,919.80  518,830.00    1.24
44001231银华泰利灵活配置混合A6,775,919.80  518,830.00    1.24
45159906大成深证成长40ETF6,573,359.20  503,320.00    3.98
46260115景顺长城中小盘混合6,225,401.62  476,677.00    4.13
47002312国寿安保稳健回报混合C5,545,693.92  424,632.00    0.44
48001846国寿安保稳健回报混合A5,545,693.92  424,632.00    0.44
49000028华富安鑫债券5,344,413.20  409,220.00    0.92
50700003平安策略先锋混合4,658,502.00  356,700.00    4.26
51001399安信鑫安得利混合A4,487,285.40  343,590.00    0.55
52001400安信鑫安得利混合C4,487,285.40  343,590.00    0.55
53000747广发逆向策略混合4,316,330.00  330,500.00    4.10
54002280华富安享债券3,264,608.20  249,970.00    0.38
55001563华富健康文娱灵活配置混合1,828,400.00  140,000.00    3.08
56150328工银中证新能源指数分级B1,339,838.46  102,591.00    2.39
57164821工银中证新能源指数分级1,339,838.46  102,591.00    2.39
58150327工银中证新能源指数分级A1,339,838.46  102,591.00    2.39
59004287国投瑞银安颐多策略混合1,044,800.00  80,000.00    1.14
60002861工银智能制造股票572,028.00  43,800.00    1.13
61167003平安鼎弘混合(LOF)A496,214.70  37,995.00    0.24
62004552中银证券瑞享混合C390,494.00  29,900.00    0.11
63004551中银证券瑞享混合A390,494.00  29,900.00    0.11
64502026鹏华新丝路分级370,642.80  28,380.00    3.63
65502027鹏华新丝路分级A370,642.80  28,380.00    3.63
66502028鹏华新丝路分级B370,642.80  28,380.00    3.63
67002470泰达多元回报债券A278,178.00  21,300.00    0.50
68002471泰达多元回报债券C278,178.00  21,300.00    0.50
6950100L长信中证能源互联指数(LOF)144,626.44  11,074.00    4.87