行情中心升级到1.1版! 官方博客
持有 潞安环能(601699)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(%)
1110010易方达价值成长混合372,645,262.53  9,117,819.00    1.36
2070003嘉实稳健混合359,566,944.27  8,797,821.00    2.14
3040005华安宏利混合286,135,733.53  7,001,119.00    2.40
4184692基金裕隆284,851,674.99  6,875,493.00    3.38
5162703广发小盘成长混合(LOF)A262,699,608.56  6,427,688.00    3.48
6450003国富潜力组合混合A231,189,165.52  5,656,696.00    1.76
7000021华夏优势增长混合224,525,230.28  5,493,644.00    1.71
8610001信达澳银领先增长混合223,651,307.07  5,472,261.00    1.57
9500058基金银丰210,899,663.58  5,090,506.00    3.21
10398021中海能源策略混合201,022,691.56  4,918,588.00    1.00
11519001银华价值优选混合181,074,616.74  4,430,502.00    0.89
12002011华夏红利混合155,293,984.22  3,799,706.00    1.71
13500003基金安信140,862,000.00  3,400,000.00    2.53
14110005易方达积极成长混合120,031,021.26  2,936,898.00    0.65
15000001华夏成长混合114,079,409.25  2,791,275.00    1.05
16519029华夏稳增混合107,067,139.00  2,619,700.00    1.46
17270002广发稳健增长混合A105,692,435.68  2,586,064.00    1.35
18240004华宝动力组合混合89,914,000.00  2,200,000.00    2.45
19240009华宝先进成长混合89,914,000.00  2,200,000.00    1.26
20160311华夏蓝筹混合(LOF)87,635,538.37  2,144,251.00    0.26
21162006长城久富混合(LOF)81,755,203.64  2,000,372.00    0.84
22240001华宝宝康消费品混合69,473,400.81  1,699,863.00    1.45
23270005广发聚丰混合A62,659,431.80  1,533,140.00    1.17
24510081长盛动态精选混合61,503,301.24  1,504,852.00    2.04
25161601融通新蓝筹混合50,143,403.00  1,226,900.00    3.08
26050002博时沪深300指数A44,180,756.09  1,081,007.00    0.20
27161609融通动力先锋混合44,127,052.91  1,079,693.00    0.95
28160610鹏华动力增长混合(LOF)40,870,000.00  1,000,000.00    0.37
29050007博时平衡配置混合40,870,000.00  1,000,000.00    0.62
30519692交银成长混合A40,864,359.94  999,862.00    0.74
31184718基金兴安39,767,869.83  959,881.00    2.62
32121003国投瑞银核心企业混合38,819,633.84  949,832.00    0.21
33161610融通领先成长混合(LOF)A34,737,333.89  849,947.00    1.10
34050201博时价值增长贰号混合32,696,000.00  800,000.00    0.55
35240008华宝收益增长混合31,953,392.10  781,830.00    1.09
36290002泰信先行策略混合29,835,100.00  730,000.00    1.60
37184696基金裕华24,858,000.00  600,000.00    1.71
38310328申万菱信新动力混合23,394,233.22  572,406.00    0.20
39002021华夏回报二号混合22,887,200.00  560,000.00    0.28
40040007华安中小盘成长混合22,478,500.00  550,000.00    0.11
41002001华夏回报混合A21,573,270.37  527,851.00    0.58
42530003建信优选成长混合A20,435,000.00  500,000.00    0.25
43519007海富通强化回报混合20,433,160.85  499,955.00    0.95
44240005华宝多策略增长混合17,574,100.00  430,000.00    0.98
45184699基金同盛16,569,307.05  399,935.00    0.22
46121002国投瑞银景气行业混合16,346,283.46  399,958.00    0.63
47110002易方达策略成长混合13,599,574.24  332,752.00    0.15
48070011嘉实策略混合13,075,253.01  319,923.00    0.06
49202005南方成份精选混合A12,986,442.50  317,750.00    0.06
50310358申万菱信新经济混合12,261,000.00  300,000.00    0.37
51519008汇添富优势精选混合11,481,445.62  280,926.00    0.23
52110001易方达平稳增长混合10,585,043.91  258,993.00    0.12
53184721基金丰和8,286,000.00  200,000.00    0.09
54070002嘉实增长混合7,353,739.10  179,930.00    0.22
55160706嘉实沪深300ETF联接(LOF)A7,205,013.17  176,291.00    0.05
56121001国投瑞银融华债券4,904,400.00  120,000.00    0.93
57500008基金兴华4,143,000.00  100,000.00    0.07
58420001天弘精选混合4,104,165.40  100,420.00    3.25
59460001华泰柏瑞盛世中国混合1,021,750.00  25,000.00    0.08