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持有 青岛海尔(600690)的基金
  报告期:2012-03-31
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(%)
1160607鹏华价值优势混合(LOF)463,050,000.00  45,000,000.00    4.67
2160910大成创新成长混合(LOF)404,191,200.00  39,280,000.00    5.42
3163803中银增长混合A345,675,643.53  33,593,357.00    5.15
4090003大成蓝筹稳健混合308,700,000.00  30,000,000.00    3.05
5150002大成优选295,360,887.78  28,703,682.00    7.97
6360007光大保德信优势配置混合283,049,653.95  27,507,255.00    3.36
7090006大成2020生命周期混合216,090,000.00  21,000,000.00    2.80
8162605景顺长城鼎益混合(LOF)209,743,899.75  20,383,275.00    4.65
9580002东吴双动力混合94,352,755.56  9,169,364.00    3.83
10360005光大保德信红利混合89,523,000.00  8,700,000.00    4.21
11519993长信增利动态混合79,850,204.49  7,759,981.00    3.25
12090004大成精选增值混合53,508,000.00  5,200,000.00    2.71
13184722基金久嘉39,100,796.07  3,799,883.00    2.37
14184690基金同益36,015,000.00  3,500,000.00    2.07
15510150招商上证消费80ETF35,360,360.49  3,436,381.00    2.73
16360006光大保德信新增长混合26,234,355.00  2,549,500.00    2.93
17350002天治低碳经济混合3,807,300.00  370,000.00    3.90
18350007天治趋势精选混合1,440,600.00  140,000.00    2.96
19150064长盛同瑞A1,320,484.83  128,327.00    1.00
20150065长盛同瑞B1,320,484.83  128,327.00    1.00
21160808长盛同瑞中证200指数分级1,320,484.83  128,327.00    1.00
22290010泰信中证200指数970,964.40  94,360.00    1.00
23510220华泰柏瑞中小盘ETF898,522.80  87,320.00    0.76
24210007金鹰技术领先混合A831,432.00  80,800.00    0.95