行情中心升级到1.1版! 官方博客
持有 上实发展(600748)的基金
  报告期:2007-06-30
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(%)
1162605景顺长城鼎益混合(LOF)168,488,766.60  8,658,210.00    1.31
2110009易方达价值精选混合127,081,895.36  6,530,416.00    1.02
3217009招商核心价值混合124,940,011.00  6,420,350.00    0.92
4310328申万菱信新动力混合121,149,008.40  6,225,540.00    1.03
5161706招商优质成长混合(LOF)119,090,724.20  6,119,770.00    1.00
6377020上投摩根内需动力混合89,049,874.62  4,576,047.00    0.54
7530003建信优选成长混合A88,376,364.02  4,541,437.00    1.08
8580001东吴嘉禾优势精选混合88,021,997.42  4,523,227.00    2.64
9090001大成价值增长混合79,786,000.00  4,100,000.00    2.30
10180012银华富裕主题混合77,906,981.32  4,003,442.00    0.66
11184706基金天华75,735,793.70  3,800,090.00    1.48
12373010上投摩根双息平衡混合A69,223,968.24  3,557,244.00    1.11
13310358申万菱信新经济混合68,499,200.00  3,520,000.00    2.06
14500007基金景阳64,772,500.00  3,250,000.00    2.07
15377010上投摩根阿尔法混合64,054,302.48  3,291,588.00    0.74
16290004泰信优质生活混合63,207,422.74  3,248,069.00    0.81
17530001建信恒久价值混合58,378,559.96  2,999,926.00    0.53
18112002易方达策略成长二号混合57,267,102.06  2,942,811.00    0.73
19580002东吴双动力混合54,174,265.88  2,783,878.00    1.57
20002011华夏红利混合48,140,284.22  2,473,807.00    0.53
21500056基金科瑞46,326,507.73  2,324,461.00    0.50
22483003工银精选平衡混合42,949,796.26  2,207,081.00    0.39
23110005易方达积极成长混合42,812,000.00  2,200,000.00    0.23
24500008基金兴华39,859,123.08  1,999,956.00    0.69
25519001银华价值优选混合38,920,000.00  2,000,000.00    0.19
26530005建信优化配置混合38,919,766.48  1,999,988.00    0.21
27202002南方稳健成长贰号混合34,494,095.44  1,772,564.00    0.15
28162607景顺长城资源垄断混合(LOF)28,621,164.74  1,470,769.00    1.55
29110002易方达策略成长混合26,378,458.12  1,355,522.00    0.29
30570001诺德价值优势混合25,298,000.00  1,300,000.00    0.25
31375010上投摩根中国优势混合25,029,452.00  1,286,200.00    0.24
32519029华夏稳增混合24,196,992.12  1,243,422.00    0.33
33290002泰信先行策略混合23,154,948.04  1,189,874.00    1.24
34050002博时沪深300指数A21,835,560.04  1,122,074.00    0.10
35213002宝盈泛沿海混合21,015,807.54  1,079,949.00    0.68
36160706嘉实沪深300ETF联接(LOF)A20,161,513.54  1,036,049.00    0.14
37519300大成沪深300指数A19,776,341.76  1,016,256.00    0.17
38519021国泰金鼎价值混合19,460,000.00  1,000,000.00    0.13
39202005南方成份精选混合A15,616,650.00  802,500.00    0.08
40400001东方龙混合13,237,859.60  680,260.00    0.78
41090003大成蓝筹稳健混合11,676,000.00  600,000.00    1.15
42360001光大保德信量化股票11,676,000.00  600,000.00    0.21
43310308申万菱信盛利精选混合9,730,000.00  500,000.00    0.46
44160910大成创新成长混合(LOF)6,575,534.00  337,900.00    0.06
45184693基金普丰5,683,458.03  285,171.00    0.08
46378010上投摩根成长先锋混合4,838,923.60  248,660.00    0.04
47184713基金科翔2,989,500.00  150,000.00    0.10
48233001大摩基础行业混合1,751,400.00  90,000.00    0.88
49420001天弘精选混合1,685,236.00  86,600.00    1.33
50510180华安上证180ETF1,628,802.00  83,700.00    0.24
51310318申万菱信沪深300指数增强A973,000.00  50,000.00    1.35
52519180万家180指数717,762.64  36,884.00    0.16
53100026富国天合稳健优选混合1,946.00  100.00    0.00