基金数据查询:
 最关注基金排行榜
  广发聚丰7260
  华夏大盘精选6113
  博时主题行业5484
  嘉实海外中国5341
  华夏全球精选4986
  上投摩根亚太优势4417
  华夏红利4220
  博时价值增长4183
基金经理(推荐)
基金仓位测算
 基金普华(184711) 数据日期:
  
最新净值:1.000
累计净值:2.574
日 涨 幅:1.36%
基金公司:鹏华基金基金类型:契约型封闭式投资类型:股票型
成立日期:1992-05-29基金经理:程世杰 投资风格:中盘成长型
最新份额:5.00亿份持有人数:11433申购状态:可以申购
该基金前10大重仓股所有基金共同持有情况:
下面列出了市场上所有基金持有该基金基金普华前10大重仓的情况。
所有基金的持有招商银行600036的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1000001华夏成长4.120024799864.0000431021636.3200
2000021华夏优势增长3.470022262308.0000386918913.0400
3002021华夏回报2号4.240011802121.0000205120862.9800
4020001国泰金鹰增长4.40002000000.000034760000.0000
5020003国泰金龙行业精选2.7200299283.00005201538.5400
6020006国泰金象保本增值1.6300300000.00005214000.0000
7020008国泰金鹿保本增值1.94001800000.000031284000.0000
8020009国泰金鹏蓝筹价值4.69009550000.0000165979000.0000
9040002华安MSCI中国A股3.67001900789.000033035712.8200
10040008华安策略优选7.74005108792.000089352772.0800
11050001博时价值增长3.51006999903.0000121658314.1400
12050002博时裕富4.20002396756.000041655619.2800
13050004博时精选3.240024999782.0000434496211.1600
14050008博时第三产业成长6.740013000000.0000227370000.0000
15050201博时价值增长2号4.050018500000.0000321530000.0000
16070001嘉实成长收益3.610020875225.0000362811410.5000
17070003嘉实稳健4.31007723228.0000134229702.6400
18070006嘉实服务2.97008795429.0000152864556.0200
19070007嘉实浦安保本1.5200293724.00005104923.1200
20070010嘉实主题精选2.850011606507.0000201721091.6600
21070011嘉实策略增长4.300074628603.00001297045120.1400
22090003大成蓝筹稳健4.62001602340.000027848669.2000
23090004大成精选增值2.390011548061.0000200705300.1800
24090006大成财富管理20209.860011712579.0000203564623.0200
25100022富国天瑞强势地区精选7.08009120956.0000158522215.2800
26110001易方达平稳增长2.280012806919.0000222584252.2200
27110003易方达上证507.46008924514.0000155108053.3200
28110005易方达积极成长2.210020000000.0000347600000.0000
29110009易方达价值精选2.490013500000.0000234630000.0000
30121002国投瑞银景气行业2.77004632416.000080511390.0800
31121003国投瑞银核心企业5.23005619935.000097674470.3000
32121005国投瑞银创新动力7.41006728180.0000116935768.4000
33151001银河稳健3.2500420000.00007299600.0000
34160105南方积极配置7.900026300000.0000457094000.0000
35160106南方高增长7.378235000000.0000608300000.0000
36160311华夏蓝筹核心4.77003400000.000059466000.0000
37160603鹏华普天收益3.15001500000.000026070000.0000
38160607鹏华价值优势4.29003250000.000056485000.0000
39160610鹏华动力增长2.680016100000.0000279818000.0000
40160706嘉实沪深3004.170014226244.0000247252120.7200
41160805长盛同智优势成长3.260021368465.0000371383921.7000
42160910大成创新2.68002500000.000043725000.0000
43161005富国天惠精选成长5.750022479010.0000390685193.8000
44161601融通新蓝筹6.16003093644.000053767532.7200
45161605融通蓝筹成长4.400020840769.0000362212565.2200
46161606融通行业景气4.87001290000.000022420200.0000
47161607融通巨潮1005.43005826750.0000101268915.0000
48161609融通动力先锋3.660010000000.0000173800000.0000
49161610融通领先成长3.95002500000.000043725000.0000
50162006长城久富核心成长3.150016975079.0000295026873.0200
51162203泰达荷银稳定6.60005503026.000095642591.8800
52162204泰达荷银行业精选5.60009549946.0000165978061.4800
53162205泰达荷银风险预算2.5100469000.00008151220.0000
54162207泰达荷银效率优选4.63006610000.0000114881800.0000
55162605景顺长城鼎益6.28009000000.0000156420000.0000
56162607景顺长城资源垄断7.02007732727.0000134394795.2600
57163302摩根士丹利华鑫资源优选4.9500518888.00009018273.4400
58163402兴业趋势投资6.23008860893.0000154002320.3400
59163801中银中国精选2.03002357641.000040975800.5800
60163803中银持续增长4.91004700000.000081686000.0000
61180003银华道琼斯88精选3.81005200000.000090376000.0000
62180010银华优质增长5.940025879981.0000449794069.7800
63180012银华富裕主题3.37009032411.0000156983303.1800
64184689基金普惠2.98008240000.0000144117600.0000
65184690基金同益5.120014200000.0000248358000.0000
66184691基金景宏9.930024720197.0000432356245.5300
67184693基金普丰1.15004502432.000078747535.6800
68184695基金景博2.68002500000.000043725000.0000
69184698基金天元3.670017237674.0000301486918.2600
70184699基金同盛6.120022000000.0000384780000.0000
71184701基金景福8.610028576513.0000499803212.3700
72184703基金金盛3.46002180000.000038128200.0000
73184706基金天华3.470010000000.0000174900000.0000
74184708基金兴科4.77003400000.000059466000.0000
75184709基金安久7.74005108792.000089352772.0800
76184710基金隆元6.55004500000.000078705000.0000
77184711基金普华4.74002864103.000050093161.4700
78184712基金科汇2.45003000000.000052470000.0000
79184713基金科翔2.59003910000.000068385900.0000
80184719基金融鑫5.81006549909.0000114557908.4100
81184721基金丰和5.820027283885.0000477195148.6500
82184722基金久嘉6.480019290000.0000337382100.0000
83184738基金通宝3.95002500000.000043725000.0000
84200001长城久恒9.49007785956.0000135319915.2800
85200006长城消费增值9.560013712093.0000238316176.3400
86200007长城安心回报9.42009339877.0000162327062.2600
87202003南方绩优成长8.440052507524.0000912580767.1200
88202005南方成份精选7.96006280000.0000109837200.0000
89202101南方宝元债券6.44005080000.000088290400.0000
90202202南方避险增值8.160027822478.0000483554667.6400
91213003宝盈策略增长2.200013023647.0000226350984.8600
92240001华宝宝康消费品2.05274500000.000078210000.0000
93240004华宝动力组合6.320111500000.0000199870000.0000
94240005华宝多策略增长4.85983800000.000066044000.0000
95253010国联安德盛安心成长2.100046000.0000799480.0000
96260101景顺长城优选股票5.140022787575.0000396048053.5000
97260103景顺长城动力平衡4.87003500000.000060830000.0000
98260104景顺长城内需增长6.470020468584.0000355743989.9200
99260108景顺长城新兴成长6.180021000000.0000364980000.0000
100260109景顺长城内需增长2号9.650035284700.0000613248086.0000
101288002中信红利精选5.11008300000.0000144254000.0000
102310308申万巴黎盛利精选6.25007494779.0000130259259.0200
103310318申万巴黎盛利强化配置2.530090000.00001564200.0000
104320003诺安股票7.060026278404.0000456718661.5200
105320005诺安价值增长7.430025625027.0000445362969.2600
106340001兴业可转债2.46003000000.000052140000.0000
107340006兴业全球视野8.000014755907.0000256457663.6600
108350002天治品质优选4.3300155053.00002694821.1400
109360001光大量化核心5.42002100000.000036498000.0000
110360005光大红利5.48002009619.000034927178.2200
111377010上投摩根阿尔法6.200023399364.0000406680946.3200
112378010上投摩根成长先锋4.960026768613.0000465238493.9400
113420001天弘精选3.6300294500.00005118410.0000
114450001富兰克林国海中国收益5.4500878000.000015259640.0000
115450002富兰克林国海弹性市值4.590012966775.0000225362549.5000
116460001友邦华泰盛世中国6.88004410892.000076661302.9600
117481001工银核心价值5.680012509950.0000217422931.0000
118481004工银稳健成长6.090048725331.0000846846252.7800
119483003工银精选平衡6.620019616893.0000340941600.3400
120500002基金泰和6.630020065863.0000350951943.8700
121500005基金汉盛7.280020710577.0000362227991.7300
122500008基金兴华2.77007500000.0000131175000.0000
123500010基金金元7.96006280000.0000109837200.0000
124500015基金汉兴4.620014303888.0000250175001.1200
125500016基金裕元6.740013000000.0000227370000.0000
126500018基金兴和2.15008193352.0000143301726.4800
127500019基金普润4.79003430000.000059990700.0000
128500035基金汉博8.67006046756.0000105757762.4400
129500038基金通乾6.380015000000.0000262350000.0000
130500039基金同德5.91003800000.000066462000.0000
131500058基金银丰4.490017946733.0000313888360.1700
132510050华夏上证50ETF8.980034841544.0000605546034.7200
133510081长盛动态精选4.17002000000.000034760000.0000
134510180华安上证180ETF5.69001772500.000030806050.0000
135519001银华核心价值优选6.76003914000.000068025320.0000
136519008汇添富优势精选5.93008800000.0000152944000.0000
137519011海富通精选3.63007000040.0000121660695.2000
138519013海富通风格优势2.350015012600.0000260918988.0000
139519017大成积极成长8.820062499404.00001086239641.5200
140519018汇添富均衡增长6.520024100000.0000418858000.0000
141519035富国天博8.67006046756.0000105757762.4400
142519087新世纪优选分红8.91005416510.000094138943.8000
143519100长盛中证1004.83007735404.0000134441321.5200
144519180万家上证1805.59001426187.000024787130.0600
145519300大成沪深3003.29001240536.000021560515.6800
146519688交银精选5.570068904239.00001197555673.8200
147519690交银稳健5.420018000000.0000312840000.0000
148519692交银成长5.210019000000.0000330220000.0000
149519993长信增利动态策略5.56002602096.000045224428.4800
150519994长信金利趋势6.2500700000.000012166000.0000
151519996长信银利精选5.78001005584.000017477049.9200
152540002汇丰晋信龙腾5.67004516999.000078505442.6200
所有基金的持有金发科技600143的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1100020富国天益价值5.730014280010.0000459245121.6000
2161005富国天惠精选成长3.39657180000.0000230908800.0000
3162006长城久富核心成长3.31009636737.0000309917461.9200
4162202泰达荷银周期7.29003000000.000096480000.0000
5162207泰达荷银效率优选5.96004600000.0000147936000.0000
6184689基金普惠2.61003985000.0000126404200.0000
7184711基金普华4.13001374600.000043602312.0000
8184721基金丰和8.009620415288.0000656555662.0800
9202202南方避险增值3.03005583200.0000179555712.0000
10206001鹏华行业成长2.9700776328.000024966708.4800
11450001富兰克林国海中国收益3.4400300000.00009648000.0000
12500002基金泰和7.469412302825.0000395658852.0000
13500019基金普润4.84001909100.000060556652.0000
14500025基金汉鼎7.42002595778.000082338078.1600
15500035基金汉博5.21002001990.000063503122.8000
16519008汇添富优势精选3.99003200000.0000102912000.0000
17519018汇添富均衡增长8.350016671805.0000536165248.8000
18519035富国天博5.21002001990.000063503122.8000
19580001东吴嘉禾优势精选4.8900220000.00007075200.0000
所有基金的持有民生银行600016的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1000001华夏成长2.060017299826.0000215209835.4400
2000021华夏优势增长5.570050000000.0000622000000.0000
3020001国泰金鹰增长2.84001800000.000022392000.0000
4040001华安创新2.56004976300.000061905172.0000
5040002华安MSCI中国A股2.90002100000.000026124000.0000
6040004华安宝利配置2.41004000285.000049763545.4000
7050002博时裕富2.76002195293.000027309444.9200
8050004博时精选2.920031499794.0000391857437.3600
9050008博时第三产业成长3.710010000000.0000125000000.0000
10070001嘉实成长收益2.480020000000.0000248800000.0000
11070006嘉实服务4.640019229028.0000239209108.3200
12070010嘉实主题精选2.890016390324.0000203895630.5600
13080001长盛成长价值2.9800830000.000010325200.0000
14090004大成精选增值2.370015999812.0000199037661.2800
15090006大成财富管理20203.99006630321.000082481193.2400
16100020富国天益价值3.460022280000.0000277163200.0000
17110003易方达上证507.470012480000.0000155251200.0000
18110005易方达积极成长2.230028200000.0000350808000.0000
19121001国投瑞银融华债券1.8700785000.00009765400.0000
20121002国投瑞银景气行业2.84006647774.000082698308.5600
21121003国投瑞银核心企业6.60009899846.0000123154084.2400
22150103银河银泰理财分红3.74003000000.000037320000.0000
23160105南方积极配置3.220015000000.0000186600000.0000
24160106南方高增长4.526630000000.0000373200000.0000
25160603鹏华普天收益3.01002000000.000024880000.0000
26160605鹏华中国502.53006605119.000082167680.3600
27160607鹏华价值优势3.88004110000.000051128400.0000
28160610鹏华动力增长3.930032991951.0000410419870.4400
29160706嘉实沪深3003.270015569577.0000193685537.8800
30161601融通新蓝筹3.71002600000.000032344000.0000
31161605融通蓝筹成长3.850025458356.0000316701948.6400
32161606融通行业景气4.62001710000.000021272400.0000
33161607融通巨潮1003.86005788187.000072005046.2800
34161609融通动力先锋5.240020000000.0000248800000.0000
35161610融通领先成长3.39003000000.000037500000.0000
36161706招商优质成长3.830018799979.0000233871738.7600
37162205泰达荷银风险预算2.3000600000.00007464000.0000
38162605景顺长城鼎益5.500011000000.0000136840000.0000
39162607景顺长城资源垄断5.38008279900.0000103001956.0000
40162703广发小盘成长3.280013349810.0000166071636.4000
41163801中银中国精选2.70004396663.000054694487.7200
42163804中银收益3.47004636530.000057678433.2000
43180001银华优势企业4.100011200000.0000139328000.0000
44180003银华道琼斯88精选4.62008800000.0000109472000.0000
45180010银华优质增长3.460021051599.0000261881891.5600
46180012银华富裕主题3.470012999915.0000161718942.6000
47184688基金开元7.550035724565.0000446557062.5000
48184689基金普惠4.640017965000.0000224562500.0000
49184693基金普丰1.21006595275.000082440937.5000
50184700基金鸿飞2.05001900000.000023750000.0000
51184706基金天华4.290017316732.0000216459150.0000
52184711基金普华4.01003390000.000042375000.0000
53184738基金通宝3.39003000000.000037500000.0000
54200001长城久恒9.180010528718.0000130977251.9200
55200002长城久泰中标3003.86002343318.000029150875.9200
56200007长城安心回报9.330012919588.0000160719674.7200
57202001南方稳健成长6.180085000000.00001057400000.0000
58217001招商安泰股票4.09005311902.000066080060.8800
59217002招商安泰平衡2.4500571200.00007105728.0000
60217005招商先锋4.370014408551.0000179242374.4400
61240001华宝宝康消费品1.95986002566.000074671921.0400
62240004华宝动力组合4.327011000000.0000136840000.0000
63240005华宝多策略增长6.68237300000.000090812000.0000
64240008华宝收益增长4.40848389845.0000104369671.8000
65257030国联安德盛优势2.54009409239.0000117050933.1600
66260101景顺长城优选股票3.630022479906.0000279650030.6400
67260103景顺长城动力平衡5.08005100000.000063444000.0000
68260104景顺长城内需增长4.930021799840.0000271190009.6000
69260108景顺长城新兴成长6.320030000000.0000373200000.0000
70260109景顺长城内需增长2号8.800044990739.0000559684793.1600
71310328申万巴黎新动力3.22002000000.000024880000.0000
72310358申万巴黎新经济6.510018000000.0000223920000.0000
73360001光大量化核心5.73003100000.000038564000.0000
74360005光大红利5.06002593323.000032260938.1200
75360006光大新增长7.18002425904.000030178245.7600
76373010上投摩根双息平衡2.04009140321.0000113705593.2400
77410001华富竞争力优选4.63001696964.000021110232.1600
78420001天弘精选4.4500505100.00006283444.0000
79500002基金泰和7.230030625956.0000382824450.0000
80500007基金景阳3.10006999878.000087498475.0000
81500011基金金鑫1.95008499910.0000106248875.0000
82500016基金裕元3.710010000000.0000125000000.0000
83500018基金兴和1.57008403731.0000105046637.5000
84500019基金普润5.29005300000.000066250000.0000
85500039基金同德4.44004000000.000050000000.0000
86500058基金银丰5.340029865573.0000373319662.5000
87510050华夏上证50ETF8.810047723165.0000593676172.6000
88510180华安上证180ETF5.81002529500.000031466980.0000
89519001银华核心价值优选3.23002614292.000032521792.4800
90519003海富通收益增长2.38004772478.000059369626.3200
91519005海富通股票3.530010000000.0000124400000.0000
92519007海富通强化回报3.09004500000.000055980000.0000
93519011海富通精选3.710010000737.0000124409168.2800
94519013海富通风格优势2.680024000000.0000298560000.0000
95519018汇添富均衡增长3.020015600000.0000194064000.0000
96519100长盛中证1005.110011429827.0000142187047.8800
97519180万家上证1806.10002175311.000027060868.8400
98519181万家和谐增长3.88001950484.000024264020.9600
99519300大成沪深3003.42001805955.000022466080.2000
100519688交银精选3.760065000000.0000808600000.0000
101530001建信恒久价值4.48005209414.000064805110.1600
102550001信诚四季红2.72003061800.000038088792.0000
103580001东吴嘉禾优势精选7.3000850000.000010574000.0000
所有基金的持有万科A000002的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1002021华夏回报2号4.460013012284.0000215873791.5600
2020001国泰金鹰增长3.15001500000.000024885000.0000
3020003国泰金龙行业精选2.9500339593.00005633847.8700
4020009国泰金鹏蓝筹价值3.05006509479.0000107992256.6100
5040002华安MSCI中国A股2.05001116000.000018514440.0000
6050001博时价值增长2.87005999809.000099536831.3100
7050002博时裕富3.18001902018.000031554478.6200
8050004博时精选2.230017999709.0000298615172.3100
9050008博时第三产业成长8.120016500000.0000273900000.0000
10050201博时价值增长2号2.930014000000.0000232260000.0000
11090001大成价值增长4.550012900000.0000214011000.0000
12090003大成蓝筹稳健5.23001900000.000031521000.0000
13090004大成精选增值3.360017019901.0000282360157.5900
14090006大成财富管理20209.510011839454.0000196416541.8600
15110001易方达平稳增长3.030017853401.0000296187922.5900
16110005易方达积极成长1.970018643078.0000309288664.0200
17121003国投瑞银核心企业3.55003989910.000066192606.9000
18151001银河稳健4.2400575000.00009539250.0000
19159901易方达深证100ETF8.570021168256.0000351181367.0400
20160105南方积极配置7.740027000000.0000447930000.0000
21160106南方高增长9.658748000000.0000796320000.0000
22160311华夏蓝筹核心4.13003100000.000051460000.0000
23160603鹏华普天收益2.40001200000.000019908000.0000
24160605鹏华中国503.21006283150.0000104237458.5000
25160607鹏华价值优势3.71002950000.000048940500.0000
26160610鹏华动力增长2.610016430964.0000272589692.7600
27160706嘉实沪深3002.34008361343.0000138714680.3700
28160805长盛同智优势成长3.330022885122.0000379664173.9800
29161005富国天惠精选成长3.680015085803.0000250273471.7700
30161604融通深证1008.13009932384.0000164778250.5600
31161605融通蓝筹成长2.530012549489.0000208196022.5100
32161607融通巨潮1003.50003933374.000065254674.6600
33161609融通动力先锋3.43009824600.0000162990114.0000
34162202泰达荷银周期5.52004400000.000072996000.0000
35162207泰达荷银效率优选4.67006990000.0000115964100.0000
36162607景顺长城资源垄断3.38003892960.000064584206.4000
37166001中欧新趋势2.620011406726.0000189237584.3400
38180003银华道琼斯88精选3.50005000063.000082951045.1700
39180012银华富裕主题3.560010000095.0000165901576.0500
40184689基金普惠4.210012885907.0000203578556.2000
41184692基金裕隆1.930012000000.0000144120000.0000
42184693基金普丰1.00004111811.000068256062.6000
43184698基金天元4.680025894094.0000383941960.4000
44184699基金同盛3.170012000000.0000199200000.0000
45184700基金鸿飞2.58001800000.000029880000.0000
46184705基金裕泽3.92003372615.000046805409.0000
47184706基金天华2.72008280039.0000137448647.4000
48184708基金兴科4.13003100000.000051460000.0000
49184710基金隆元8.15005900000.000097940000.0000
50184711基金普华3.71002360000.000039176000.0000
51184728基金鸿阳2.85007000000.0000116200000.0000
52200002长城久泰中标3002.48001129209.000018733577.3100
53202001南方稳健成长3.200033074185.0000548700729.1500
54202003南方绩优成长9.830072921641.00001062890024.1900
55202005南方成份精选8.51007080000.0000117528000.0000
56202101南方宝元债券8.51007580000.0000116572200.0000
57202202南方避险增值8.200029273773.0000485651894.0700
58213001宝盈鸿利收益4.06001384103.000022962268.7700
59213002宝盈泛沿海区域增长4.43001000000.000016590000.0000
60213003宝盈策略增长2.540015742484.0000261167809.5600
61240001华宝宝康消费品1.43683299905.000054745423.9500
62260103景顺长城动力平衡2.52001900000.000031521000.0000
63290004泰信优质生活4.04005500000.000091245000.0000
64310328申万巴黎新动力3.22001499941.000024884021.1900
65320001诺安平衡3.28009823098.0000162965195.8200
66320003诺安股票4.820018807935.0000312023641.6500
67320005诺安价值增长2.930010591631.0000175715158.2900
68360001光大量化核心4.68001900000.000031521000.0000
69360006光大新增长2.6600674000.000011181660.0000
70377010上投摩根阿尔法3.390013400735.0000222318193.6500
71378010上投摩根成长先锋4.010022680257.0000376265463.6300
72450001富兰克林国海中国收益2.9000489000.00008112510.0000
73450002富兰克林国海弹性市值3.950011683815.0000193834490.8500
74500002基金泰和4.430014150043.0000234890713.8000
75500005基金汉盛3.120011257515.0000155094749.0000
76500007基金景阳3.54006009939.000099764987.4000
77500010基金金元8.51007080000.0000117528000.0000
78500011基金金鑫2.74009000000.0000149400000.0000
79500016基金裕元8.120016500000.0000273900000.0000
80500018基金兴和1.13004546676.000075474821.6000
81500019基金普润3.02002280000.000037848000.0000
82500038基金通乾3.07007600000.0000126160000.0000
83500058基金银丰2.31009734505.0000161592783.0000
84510081长盛动态精选0.0000100.00001659.0000
85519001银华核心价值优选2.97001800000.000029862000.0000
86519013海富通风格优势1.990015000000.0000221670000.0000
87519017大成积极成长5.670042077426.0000698064497.3400
88519018汇添富均衡增长3.490013500000.0000223965000.0000
89519087新世纪优选分红9.60006110490.0000101373029.1000
90519100长盛中证1003.66006138133.0000101831626.4700
91519300大成沪深3002.4100951965.000015793099.3500
92519688交银精选2.650034386793.0000570476895.8700
93519690交银稳健3.030010529168.0000174678897.1200
94519692交银成长3.930015000000.0000248850000.0000
所有基金的持有上海医药600849的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1000021华夏优势增长0.88788519371.000099080284.7300
2050004博时精选0.43374999927.000058149151.0100
3161706招商优质成长1.28516746964.000078467191.3200
4184703基金金盛5.45215170000.000060127100.0000
5184711基金普华3.68003360000.000038875200.0000
6217005招商先锋1.23514355510.000050654581.3000
7270006广发策略优选0.87068485616.000098687714.0800
8510081长盛动态精选1.39001000000.000011630000.0000
9519013海富通风格优势0.62756000000.000069780000.0000
10519181万家和谐增长7.75004167900.000048472677.0000
11590001中邮核心优选5.496818739821.0000217944118.2300
所有基金的持有武钢股份600005的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1000001华夏成长7.100081912241.0000743763148.2800
2000021华夏优势增长7.480092000000.0000835360000.0000
3002001华夏回报4.640015750000.0000143010000.0000
4002011华夏红利2.930016705852.0000151689136.1600
5002021华夏回报2号5.620030000000.0000272400000.0000
6070001嘉实成长收益4.410048796700.0000443074036.0000
7070006嘉实服务4.260024199949.0000219735536.9200
8080001长盛成长价值2.97001134740.000010303439.2000
9090001大成价值增长2.850014800000.0000134384000.0000
10090006大成财富管理20207.030015980200.0000145100216.0000
11110001易方达平稳增长2.690028954451.0000262906415.0800
12110002易方达策略成长5.420039000000.0000354120000.0000
13110003易方达上证504.980011398010.0000103493930.8000
14110005易方达积极成长4.220073002861.0000662865977.8800
15110009易方达价值精选7.020073000000.0000662840000.0000
16112002易方达策略成长2号3.840029000000.0000263320000.0000
17121001国投瑞银融华债券1.90001089907.00009896355.5600
18161609融通动力先锋3.060016000000.0000145280000.0000
19162202泰达荷银周期6.18009000000.000081720000.0000
20162204泰达荷银行业精选5.510018000000.0000163440000.0000
21162205泰达荷银风险预算4.07001458000.000013238640.0000
22162208泰达荷银首选企业6.760040008476.0000363276962.0800
23163402兴业趋势投资2.95008030651.000072918311.0800
24180010银华优质增长3.590030000000.0000272400000.0000
25180012银华富裕主题3.290016872506.0000153202354.4800
26184691基金景宏8.240039803248.0000358627264.4800
27184711基金普华3.12003662500.000032999125.0000
28184712基金科汇5.480013000000.0000117130000.0000
29184713基金科翔2.66007797453.000070255051.5300
30184718基金兴安3.98006000000.000054060000.0000
31184721基金丰和3.840034917428.0000314606026.2800
32184722基金久嘉2.110012200000.0000109922000.0000
33202001南方稳健成长2.644249864253.0000452767417.2400
34257030国联安德盛优势2.860014509887.0000131749773.9600
35270006广发策略优选4.400054985064.0000499264381.1200
36288002中信红利精选3.410010606350.000096305658.0000
37340006兴业全球视野4.530016000000.0000145280000.0000
38373010上投摩根双息平衡2.230013684744.0000124257475.5200
39375010上投摩根中国优势3.730031365859.0000284801999.7200
40377010上投摩根阿尔法2.980021517886.0000195382404.8800
41378010上投摩根成长先锋6.790070202685.0000637440379.8000
42400003东方精选2.73001356772.000012319489.7600
43410001华富竞争力优选4.28002150000.000019522000.0000
44450002富兰克林国海弹性市值3.650019721681.0000179072863.4800
45500007基金景阳2.56007999925.000072079324.2500
46500008基金兴华4.970026113094.0000235278976.9400
47500056基金科瑞6.527060000000.0000544800000.0000
48510880友邦华泰上证红利ETF7.780020911367.0000189875212.3600
49519001银华核心价值优选3.21003550000.000032234000.0000
50519690交银稳健2.330014822425.0000134587619.0000
51519692交银成长5.160036000000.0000326880000.0000
52550001信诚四季红2.31003550553.000032239021.2400
53560002益民红利成长4.82856499977.000059019791.1600
所有基金的持有火箭股份600879的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1161902万家债券0.8900400000.00007868000.0000
2184711基金普华3.00001600000.000031696000.0000
3202003南方绩优成长1.52868403413.0000165295133.7100
4240002华宝宝康灵活配置4.603711800000.0000232106000.0000
5240004华宝动力组合3.70815961693.0000117266501.3100
6240009华宝先进成长5.004211600000.0000228172000.0000
7373010上投摩根双息平衡2.68007595940.0000149412139.8000
8375010上投摩根中国优势1.87457284604.0000143288160.6800
9378010上投摩根成长先锋2.697012867670.0000253107068.9000
10500019基金普润2.36001490000.000029516900.0000
11500058基金银丰2.42428613651.0000169430515.1700
所有基金的持有阳光股份000608的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1160605鹏华中国501.50064232563.000048674474.5000
2184693基金普丰2.351513988686.0000160869889.0000
3184711基金普华2.94542706379.000031123358.5000
4206001鹏华行业成长4.49003288892.000037822258.0000
5288001中信经典配置1.02192379349.000027362513.5000
6481004工银稳健成长1.055212765782.0000146806493.0000
所有基金的持有太钢不锈000825的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1040008华安策略优选4.56002882041.000052712529.8900
2090003大成蓝筹稳健4.03001300000.000024297000.0000
3121002国投瑞银景气行业2.52003921660.000073295825.4000
4121003国投瑞银核心企业3.69003690953.000068983911.5700
5159901易方达深证100ETF2.32005074440.000094841283.6000
6160106南方高增长5.894126000000.0000485940000.0000
7161605融通蓝筹成长2.370010454589.0000195396268.4100
8162202泰达荷银周期4.95003500000.000065415000.0000
9162605景顺长城鼎益4.73006299785.0000117742981.6500
10162607景顺长城资源垄断4.81004925678.000092060921.8200
11163503天治核心成长4.08001028500.000019222665.0000
12180012银华富裕主题3.60008969013.0000167630852.9700
13184698基金天元6.007226395731.0000493336212.3900
14184709基金安久4.56002882041.000052712529.8900
15184710基金隆元7.00004600000.000084134000.0000
16184711基金普华2.87001660000.000030361400.0000
17202003南方绩优成长8.660050107940.0000936517398.6000
18202005南方成份精选8.85006680000.0000122177200.0000
19202101南方宝元债券8.70006380000.0000119242200.0000
20202202南方避险增值8.510026981202.0000504278665.3800
21253010国联安德盛安心成长3.340068000.00001270920.0000
22255010国联安德盛稳健2.7300546000.000010204740.0000
23257010国联安德盛小盘精选3.12002157976.000040332571.4400
24260103景顺长城动力平衡3.74002500000.000046725000.0000
25260104景顺长城内需增长5.810017087195.0000319359674.5500
26260108景顺长城新兴成长6.330020000000.0000373800000.0000
27260109景顺长城内需增长2号8.110027579164.0000515454575.1600
28320001诺安平衡1.77004696093.000087769978.1700
29400003东方精选2.5200609742.000011396077.9800
30500008基金兴华1.93004999854.000091447329.6600
31500010基金金元8.85006680000.0000122177200.0000
32500019基金普润2.65001812922.000033158343.3800
33500038基金通乾2.62005897403.0000107863500.8700
34519011海富通精选2.79004999939.000093448859.9100
35519996长信银利精选6.55001060000.000019811400.0000
36530001建信恒久价值3.69002856687.000053391480.0300
37540001汇丰晋信20161.95001734700.000032421543.0000
所有基金的持有兴业银行601166的情况:

序号基金代码基金名称占净值比例持股数量(季报)持股市值(季报)
1002011华夏红利3.16006004937.0000163334286.4000
2020008国泰金鹿保本增值1.2100714000.000019420800.0000
3070005嘉实债券0.9700328000.00008921600.0000
4070006嘉实服务5.08009623972.0000261772038.4000
5070011嘉实策略增长3.540039253271.00001067688971.2000
6100018富国天利增长债券0.330098000.00002665600.0000
7151002银河收益0.6200116000.00003155200.0000
8161902万家债券0.7800252000.00006854400.0000
9161903万家公用事业0.510055000.00001496000.0000
10163801中银中国精选1.97001466600.000039891520.0000
11184711基金普华2.66001029977.000028077173.0200
12200001长城久恒3.60001890000.000051408000.0000
13200002长城久泰中标3000.6800190000.00005168000.0000
14217008招商安本增利债券0.6000838000.000022793600.0000
15240002华宝宝康灵活配置4.58578500000.0000231200000.0000
16240003华宝宝康债券1.61911562000.000042486400.0000
17240009华宝先进成长4.77248000000.0000217600000.0000
18257020国联安德盛精选4.06001725800.000046941760.0000
19288102中信稳定双利1.29001321000.000035931200.0000
20320003诺安股票5.900014039280.0000381868416.0000
21320005诺安价值增长3.18007013790.0000190775088.0000
22377010上投摩根阿尔法4.790011552844.0000314237356.8000
23400001东方龙混合2.70001284949.000034950612.8000
24481004工银稳健成长0.96934957979.0000134857028.8000
25550002信诚精萃成长3.04003766100.0000102437920.0000