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
 招商先锋(217005) 数据日期:2008-12-02
  
最新净值:0.550
累计净值:2.500
日 涨 幅:0.40%
基金公司:招商基金基金类型:契约型开放式投资类型:混合型
成立日期:2004-06-01基金经理:张冰 涂冰云 投资风格:中盘成长型
最新份额:122.28亿份持有人数:未公布申购状态: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招商先锋前10大重仓的情况。
所有基金的持有浦发银行600000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)
1000031华夏复兴2.27004509910.000070444794.2000
2002011华夏红利1.900027000000.0000421740000.0000
3020001国泰金鹰增长1.8600550949.00008605823.3800
4020009国泰金鹏蓝筹价值2.26002742016.000042830289.9200
5020010国泰金牛创新成长4.52009169488.0000143227402.5600
6040002华安MSCI中国A股2.63007728412.0000120717795.4400
7050002博时裕富2.780021168263.0000330648268.0600
8090001大成价值增长2.150013124049.0000204997645.3800
9090006大成财富管理20202.170012000000.0000187440000.0000
10100026富国天合稳健优选4.37009246143.0000144424753.6600
11100029富国天成红利2.0400310000.00004842200.0000
12110001易方达平稳增长2.81008000000.0000124960000.0000
13110003易方达上证507.220089731272.00001401602468.6400
14110005易方达积极成长3.170015900000.0000248358000.0000
15110009易方达价值精选4.090020000000.0000312400000.0000
16110010易方达价值成长2.130022989446.0000359095146.5200
17110011易方达中小盘1.53001000000.000015620000.0000
18110029易方达科讯3.060015000000.0000234300000.0000
19121003国投瑞银核心企业2.02008500000.0000132770000.0000
20121005国投瑞银创新动力2.15003711461.000057973020.8200
21121008国投瑞银成长优选2.18003000000.000046860000.0000
22160106南方高增长4.460012114500.0000189228490.0000
23160607鹏华价值优势2.890018008021.0000281285288.0200
24160610鹏华动力增长2.900014626169.0000228460759.7800
25160611鹏华优质治理1.65007400000.0000115588000.0000
26160910大成创新1.610010000000.0000156200000.0000
27161609融通动力先锋3.26008000000.0000124960000.0000
28161610融通领先成长3.81009800000.0000153076000.0000
29161706招商优质成长5.440019201768.0000299931616.1600
30162006长城久富核心成长3.84008977741.0000140232314.4200
31162605景顺长城鼎益3.350017972629.0000280732464.9800
32162607景顺长城资源垄断3.940019701205.0000307732822.1000
33163402兴业趋势投资1.190013500000.0000210870000.0000
34166001中欧新趋势4.16006250742.000097636590.0400
35180001银华优势企业2.71007331258.0000114514249.9600
36180003银华道琼斯88精选5.410032000069.0000499841077.7800
37180010银华优质增长2.630010542042.0000164666696.0400
38184689基金普惠2.25003600000.000056232000.0000
39184701基金景福2.73005686621.000088825020.0200
40184722基金久嘉3.28003139422.000049037771.6400
41200006长城消费增值7.560019073174.0000297922977.8800
42200007长城安心回报4.340022114166.0000345423272.9200
43200008长城品牌优选5.810044420886.0000693854239.3200
44202005南方成份精选3.200025566477.0000399348370.7400
45217005招商先锋4.420020183249.0000315262349.3800
46217009招商核心价值4.130017219665.0000268971167.3000
47240002华宝宝康灵活配置3.72005000000.000078100000.0000
48240004华宝动力组合1.94003149824.000049200250.8800
49240008华宝收益增长2.17007330000.0000114494600.0000
50240009华宝先进成长4.660015000000.0000234300000.0000
51240010华宝行业精选2.150018899500.0000295210190.0000
52257010国联安德盛小盘精选4.48005971718.000093278235.1600
53257030国联安德盛优势5.10004100000.000064042000.0000
54260101景顺长城优选股票2.84005070000.000079193400.0000
55260103景顺长城动力平衡3.160012945587.0000202210068.9400
56260104景顺长城内需增长3.78004894783.000076456510.4600
57260109景顺长城内需增长2号2.60005405669.000084436549.7800
58260110景顺精选蓝筹3.540027150941.0000424097698.4200
59270001广发聚富4.390016978000.0000265196360.0000
60270002广发稳健增长3.950017008637.0000265674909.9400
61270005广发聚丰4.850059146666.0000923870922.9200
62270006广发策略优选4.770030771875.0000480656687.5000
63270007广发大盘4.020026326978.0000411227396.3600
64290002泰信先行策略2.40009901387.0000154659664.9400
65290004泰信优质生活3.55004172400.000065172888.0000
66290005泰信优势增长1.7300350000.00005467000.0000
67320003诺安股票3.790046300000.0000723206000.0000
68320005诺安价值增长2.140010775947.0000168320292.1400
69340006兴业全球视野2.790012451840.0000194497740.8000
70350002天治品质优选3.4400300000.00004686000.0000
71360006光大新增长2.54002344359.000036618887.5800
72360007光大优势3.430022546163.0000352171066.0600
73410003华富成长趋势4.28004451615.000069534226.3000
74450003富兰克林国海潜力组合2.380010257295.0000160218947.9000
75460003友邦华泰稳本增利B0.3000200000.00003124000.0000
76481006工银红利2.05005576960.000087112115.2000
77500001基金金泰3.53003950010.000061699156.2000
78500005基金汉盛5.430010593204.0000165465846.4800
79500015基金汉兴2.99007233115.0000112981256.3000
80500056基金科瑞4.19007550000.0000117931000.0000
81510050华夏上证50ETF4.440059882596.0000935366149.5200
82510081长盛动态精选1.89001500000.000023430000.0000
83510180华安上证180ETF3.28002207166.000034475932.9200
84519003海富通收益增长3.05006990000.0000109183800.0000
85519005海富通股票4.140010658045.0000166478662.9000
86519007海富通强化回报3.04004575586.000071470653.3200
87519013海富通风格优势3.75007200000.0000112464000.0000
88519017大成积极成长3.62006213643.000097057103.6600
89519021国泰金鼎价值精选2.96009296240.0000145207268.8000
90519087新世纪优选分红2.59001602519.000025031346.7800
91519100长盛中证1002.44002032345.000031745228.9000
92519180万家上证1803.05008293829.0000129549608.9800
93519181万家和谐增长4.43005517883.000086189332.4600
94519519友邦华泰稳本增利A0.3000200000.00003124000.0000
95519688交银精选2.300011500000.0000179630000.0000
96519996长信银利精选4.02006178630.000096510200.6000
97540002汇丰晋信龙腾4.32004366999.000068212524.3800
98540003汇丰晋信动态策略2.65004330000.000067634600.0000
99540004汇丰晋信20260.4700100000.00001562000.0000
100550001信诚四季红2.02005504508.000085980414.9600
101560002益民红利成长2.48002689316.000042007115.9200
102590002中邮核心成长2.250028206306.0000440582499.7200
103620001金元比联宝石动力0.0770200000.00003124000.0000
所有基金的持有金融街000402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)
1050001博时价值增长3.370067906524.0000590786758.8000
2110001易方达平稳增长3.610018501303.0000160961336.1000
3110002易方达策略成长3.750026455070.0000230159109.0000
4110009易方达价值精选3.190028001626.0000243614146.2000
5110029易方达科讯3.640032000536.0000278404663.2000
6112002易方达策略成长2号3.690025287934.0000220005025.8000
7121001国投瑞银融华债券0.6400227760.00001981512.0000
8121002国投瑞银景气行业3.380011646451.0000101324123.7000
9121007国投瑞银瑞福优先2.900011414626.000099307246.2000
10159901易方达深证100ETF2.23007622962.000066319769.4000
11161706招商优质成长2.680017014461.0000148025810.7000
12162205泰达荷银风险预算1.2800270000.00002349000.0000
13202011南方优选价值2.03002000000.000017400000.0000
14217005招商先锋3.030024844695.0000216148846.5000
15217009招商核心价值2.830021148455.0000183991558.5000
16240001华宝宝康消费品2.17005544976.000048241291.2000
17240005华宝多策略增长1.450011520000.0000100224000.0000
18320001诺安平衡5.200043704879.0000380232447.3000
19320003诺安股票1.520033408479.0000290653767.3000
20398001中海优质成长1.64007999930.000069599391.0000
21400001东方龙混合6.73007839842.000068206625.4000
22530001建信恒久价值2.90008223467.000071544162.9000
23610001信达澳银领先增长3.740027417191.0000238529561.7000
所有基金的持有国药股份600511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)
1161706招商优质成长2.68005846893.0000147984861.8300
2217005招商先锋2.46006933653.0000175490757.4300
3288001中信经典配置2.15001313900.000033254809.0000
4288002中信红利精选2.37003607707.000091311064.1700
5400003东方精选1.87003795284.000096058638.0400
6460002友邦华泰积极成长3.27005709078.0000144496764.1800
所有基金的持有同方股份600100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)
1020001国泰金鹰增长1.5500623744.00007166818.5600
2020003国泰金龙行业精选3.68001145932.000013166758.6800
3020005国泰金马稳健回报3.820016085852.0000184826439.4800
4020009国泰金鹏蓝筹价值2.89004760168.000054694330.3200
5020010国泰金牛创新成长9.620026543991.0000304990456.5900
6160610鹏华动力增长3.050020898633.0000240125293.1700
7184722基金久嘉2.80003646646.000041899962.5400
8217005招商先锋2.430015109732.0000173610820.6800
9500001基金金泰2.41003667637.000042141149.1300
10500011基金金鑫2.50004946802.000056838754.9800
11519021国泰金鼎价值精选4.110017540892.0000201544849.0800
12580001东吴嘉禾优势精选2.50005349290.000061463342.1000
所有基金的持有大商股份600694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)
1002001华夏回报1.00007613834.0000146870857.8600
2002021华夏回报2号0.99003703759.000071445511.1100
3162203泰达荷银稳定2.0400457525.00008825657.2500
4217005招商先锋2.38008816429.0000170068915.4100
5450002富兰克林国海弹性市值3.920011219085.0000216416149.6500
6460002友邦华泰积极成长1.23002817968.000054358602.7200
7460005友邦华泰价值增长1.6800349912.00006749802.4800
8530001建信恒久价值4.65005948593.0000114748358.9700
所有基金的持有新安股份600596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1.68007409766.0000243929496.7200
2090003大成蓝筹稳健2.78009440000.0000310764800.0000
3161005富国天惠精选成长3.61002231967.000073476353.6400
4161706招商优质成长3.24005426277.0000178633038.8400
5180003银华道琼斯88精选1.36003800052.0000125097711.8400
6200007长城安心回报2.05004954275.0000163094733.0000
7217005招商先锋2.31005002195.0000164672259.4000
8483003工银精选平衡3.27007802039.0000256843123.8800
9519035富国天博3.38007520676.0000247580653.9200
所有基金的持有特变电工600089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)
1070013嘉实研究精选2.36002199951.000036431188.5600
2080002长盛创新先锋1.5600450000.00007452000.0000
3110001易方达平稳增长1.70004565892.000075611171.5200
4110002易方达策略成长7.680028464000.0000471363840.0000
5110003易方达上证500.20002393095.000039629653.2000
6110005易方达积极成长4.600021802970.0000361057183.2000
7110009易方达价值精选3.250015004073.0000248467448.8800
8110011易方达中小盘5.65003482457.000057669487.9200
9112002易方达策略成长2号5.280018997440.0000314597606.4000
10121007国投瑞银瑞福优先2.44005044433.000083535810.4800
11160805长盛同智优势成长1.79003254658.000053897136.4800
12162202泰达荷银周期4.67001273502.000021089193.1200
13162204泰达荷银行业精选3.77007199974.0000119231569.4400
14162208泰达荷银首选企业2.92002999947.000049679122.3200
15163805中银动态策略2.03004154934.000068805707.0400
16184713基金科翔7.14005527752.000091539573.1200
17184728基金鸿阳5.95004800000.000079488000.0000
18217005招商先锋2.13009171852.0000151885869.1200
19270005广发聚丰2.150024674382.0000408607765.9200
20270007广发大盘2.230013732891.0000227416674.9600
21360005光大红利3.05006395731.0000105913305.3600
22377010上投摩根阿尔法4.520022939864.0000379884147.8400
23377020上投摩根内需动力1.67009050974.0000149884129.4400
24378010上投摩根成长先锋9.240039535047.0000654700378.3200
25398021中海能源策略1.67007568544.0000125335088.6400
26420001天弘精选2.21444346885.000071984415.6000
27460003友邦华泰稳本增利B0.5300336000.00005564160.0000
28500056基金科瑞7.280012377994.0000204979580.6400
29519015海富通精选2号2.12003255477.000053910699.1200
30519519友邦华泰稳本增利A0.5300336000.00005564160.0000
31540001汇丰晋信20161.1800635173.000010518464.8800
32580001东吴嘉禾优势精选2.63003899525.000064576134.0000
33580003东吴行业轮动2.86003500328.000057965431.6800
所有基金的持有长江电力600900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)
1020001国泰金鹰增长3.24001636741.000015008914.9700
2020003国泰金龙行业精选3.44001342528.000012310981.7600
3020005国泰金马稳健回报2.770014608900.0000133963613.0000
4020009国泰金鹏蓝筹价值2.23004599666.000042178937.2200
5020010国泰金牛创新成长4.310014908741.0000136713154.9700
6050001博时价值增长3.240061999594.0000568536276.9800
7050008博时第三产业成长4.750050003475.0000458531865.7500
8090003大成蓝筹稳健5.380065496911.0000600606673.8700
9160505博时主题行业3.340058046716.0000532288385.7200
10161706招商优质成长4.130024834278.0000227730329.2600
11162605景顺长城鼎益2.840025999811.0000238418266.8700
12163402兴业趋势投资1.450028047677.0000257197198.0900
13166001中欧新趋势3.900010000628.000091705758.7600
14180003银华道琼斯88精选2.980030000000.0000275100000.0000
15184690基金同益2.11004624483.000042406509.1100
16184728基金鸿阳4.15006046077.000055442526.0900
17200001长城久恒2.0800800000.00007336000.0000
18213002宝盈泛沿海区域增长5.240017739785.0000162673828.4500
19213008宝盈资源优选3.66001000000.00009170000.0000
20217001招商安泰股票3.57004399925.000040347312.2500
21217002招商安泰平衡2.5000635000.00005822950.0000
22217005招商先锋2.010015685627.0000143837199.5900
23217009招商核心价值2.180015444880.0000141629549.6000
24233001摩根士丹利华鑫基础行业4.7600600000.00005502000.0000
25240001华宝宝康消费品2.10005099902.000046766101.3400
26240005华宝多策略增长2.620019803502.0000181598113.3400
27240010华宝行业精选2.210033149843.0000303984060.3100
28260108景顺长城新兴成长1.990010505381.000096334343.7700
29450002富兰克林国海弹性市值6.410038598075.0000353944347.7500
30460002友邦华泰积极成长1.82008799937.000080695422.2900
31510050华夏上证50ETF3.270047938995.0000687924578.2500
32510180华安上证180ETF3.24002377088.000034111212.8000
33519019大成景阳2.19008000000.000073360000.0000
34519993长信增利动态策略3.190013499776.0000123792945.9200
35519994长信金利趋势2.360019999950.0000183399541.5000
所有基金的持有深发展A000001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)
1050004博时精选1.970017290902.0000259190620.9800
2100022富国天瑞强势地区精选6.300016779286.0000251521497.1400
3110011易方达中小盘1.47001000000.000014990000.0000
4159901易方达深证100ETF4.32008580015.0000128614424.8500
5160505博时主题行业3.430036500000.0000547135000.0000
6160605鹏华中国502.49005900000.000088441000.0000
7161604融通深证1003.300015235337.0000228377701.6300
8161605融通蓝筹成长3.24006500000.000097435000.0000
9161706招商优质成长2.60009569339.0000143444391.6100
10162703广发小盘成长6.560037306322.0000559221766.7800
11166001中欧新趋势4.28006700453.0000100439790.4700
12184689基金普惠2.10003500000.000052465000.0000
13184705基金裕泽2.9500885360.000013271546.4000
14184713基金科翔1.64001399966.000020985490.3400
15200006长城消费增值2.97007805645.0000117006618.5500
16213002宝盈泛沿海区域增长2.90006009633.000090084398.6700
17213008宝盈资源优选5.6900950000.000014240500.0000
18217005招商先锋1.98009428826.0000141338101.7400
19217009招商核心价值1.91008275942.0000124056370.5800
20240002华宝宝康灵活配置3.28004600000.000068954000.0000
21240004华宝动力组合3.07005199892.000077946381.0800
22240008华宝收益增长2.70009508826.0000142537301.7400
23240009华宝先进成长3.220010800000.0000161892000.0000
24257010国联安德盛小盘精选3.03004214707.000063178457.9300
25260110景顺精选蓝筹3.270026132208.0000391721797.9200
26270006广发策略优选2.310015567295.0000233353752.0500
27270007广发大盘3.460023609646.0000353908593.5400
28360001光大量化核心3.910028000000.0000419720000.0000
29373020上投摩根双核平衡1.3100987829.000014807556.7100
30460005友邦华泰价值增长1.1200300000.00004497000.0000
31500025基金汉鼎2.4000950000.000014240500.0000
32500038基金通乾8.160012642804.0000189515631.9600
33519003海富通收益增长1.90004534596.000067973594.0400
34519039长盛同德主题增长2.720014189871.0000212706166.2900
35519181万家和谐增长2.05002663739.000039929447.6100
36590002中邮核心成长2.840037229100.0000558064209.0000
所有基金的持有中国神华601088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2.790014757022.0000404194832.5800
2000031华夏复兴2.21002499962.000068473959.1800
3002001华夏回报3.090016625734.0000455378854.2600
4002011华夏红利2.290018549119.0000508060369.4100
5002021华夏回报2号3.37008906012.0000243935668.6800
6040001华安创新1.88005400000.0000147906000.0000
7040004华安宝利配置3.45004221207.0000115618859.7300
8040005华安宏利4.840018999980.0000520409452.2000
9040008华安策略优选2.960012000000.0000328680000.0000
10050001博时价值增长4.060025999491.0000712126058.4900
11050002博时裕富3.260014174340.0000388235172.6000
12050009博时新兴成长2.620016100000.0000440979000.0000
13050010博时特许价值4.3000899976.000024650342.6400
14050201博时价值增长2号5.280013800000.0000377982000.0000
15070001嘉实成长收益6.54007277710.0000199336476.9000
16070099嘉实优质企业4.74008000000.0000219120000.0000
17110003易方达上证506.180043811207.00001199988959.7300
18110005易方达积极成长2.66007616290.0000208610183.1000
19110009易方达价值精选3.590010000729.0000273919967.3100
20110010易方达价值成长1.860011403484.0000312341426.7600
21121002国投瑞银景气行业1.30001424528.000039017821.9200
22121007国投瑞银瑞福优先2.24002800000.000076692000.0000
23121008国投瑞银成长优选1.83001432603.000039238996.1700
24160105南方积极配置3.25003419937.000093672074.4300
25160106南方高增长2.26003499901.000095862288.3900
26160505博时主题行业6.420037417756.00001024872336.8400
27162203泰达荷银稳定2.0900329963.00009037686.5700
28163302摩根士丹利华鑫资源优选1.5300850000.000023281500.0000
29163503天治核心成长3.33004033600.0000110480304.0000
30163803中银持续增长2.630010083567.0000276188900.1300
31166002中欧新蓝筹1.2800150000.00004108500.0000
32184690基金同益3.40002500000.000068475000.0000
33184701基金景福2.82003349890.000091753487.1000
34202003南方绩优成长6.000025302987.0000693048813.9300
35202005南方成份精选3.350015269169.0000418222538.9100
36213008宝盈资源优选3.9400360000.00009860400.0000
37217005招商先锋1.89004932469.0000135100325.9100
38240010华宝行业精选2.060010338156.0000283162092.8400
39260101景顺长城优选股票2.95002999931.000082168110.0900
40260108景顺长城新兴成长3.46006109954.0000167351640.0600
41270001广发聚富3.40007500000.0000205425000.0000
42310328申万巴黎新动力2.27003000000.000082170000.0000
43320001诺安平衡1.45003863541.0000105822387.9900
44340006兴业全球视野2.30005839370.0000159940344.3000
45350002天治品质优选2.0100100000.00002739000.0000
46410003华富成长趋势7.82004634342.0000126934627.3800
47450003富兰克林国海潜力组合2.35005766166.0000157935286.7400
48450004富兰克林国海深化价值1.7100692586.000018969930.5400
49481001工银核心价值3.65008791552.0000240800609.2800
50500008基金兴华2.21001665756.000045625056.8400
51500011基金金鑫2.00001658320.000045421384.8000
52500018基金兴和1.32001403607.000038444795.7300
53510050华夏上证50ETF6.440049538888.00001356870142.3200
54510080长盛中信全债0.4700240000.00006573600.0000
55510180华安上证180ETF4.09001569455.000042987372.4500
56519029华夏平稳增长4.750013341021.0000365410565.1900
57519068汇添富成长焦点2.49009520230.0000260759099.7000
58519100长盛中证1004.30002041385.000055913535.1500
59519180万家上证1804.37006793157.0000186064570.2300
60519994长信金利趋势3.17009000528.0000246524461.9200
61530001建信恒久价值1.95001754492.000048055535.8800
62540001汇丰晋信20161.2100393500.000010777965.0000
63540002汇丰晋信龙腾4.63002666999.000073049102.6100
64540004汇丰晋信20260.570070000.00001917300.0000
65550003信诚盛世蓝筹2.2700374600.000010260294.0000
66570001诺德价值优势2.58003768110.0000103208532.9000
67620001金元比联宝石动力0.0675100000.00002739000.0000
68630001华商领先企业6.580013705154.0000375384168.0600