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
 诺安灵活配置(320006) 数据日期:2009-01-09
  
最新净值:0.917
累计净值:0.917
日 涨 幅:0.55%
基金公司:诺安基金基金类型:契约型开放式投资类型:混合型
成立日期:2008-05-20基金经理:林健标 投资风格:中盘成长型
最新份额:6.34亿份持有人数: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诺安灵活配置前10大重仓的情况。
所有基金的持有赛马实业600449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0.26495404991.000058806302.0800
2070005嘉实债券0.73002520000.000027417600.0000
3163801中银中国精选2.05002668066.000029028558.0800
4202011南方优选价值1.27001000699.000010887605.1200
5320006诺安灵活配置1.8300987629.000010745403.5200
6398021中海能源策略0.33822335248.000025407498.2400
7519007海富通强化回报0.95652065061.000022467863.6800
8519011海富通精选0.95686000405.000065284406.4000
所有基金的持有冠农股份600251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)
1202003南方绩优成长0.60362120024.000069706389.1200
2202007南方隆元产业主题1.09582328281.000076553879.2800
3213001宝盈鸿利收益2.2500599970.000019727013.6000
4320006诺安灵活配置1.7900319966.000010520482.0800
5483003工银精选平衡1.64453923225.0000128995638.0000
6519011海富通精选1.92764000000.0000131520000.0000
7519029华夏平稳增长2.65006191384.0000203572705.9200
8519993长信增利动态策略4.77005627244.0000185023782.7200
所有基金的持有中兴通讯000063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2.400011643234.0000347666967.2400
2002011华夏红利2.670019842465.0000592496004.9000
3050001博时价值增长4.210024695761.0000737415423.4600
4100020富国天益价值1.85007264113.0000216906414.1800
5121006国投瑞银稳健增长1.3100152922.00004566250.9200
6121007国投瑞银瑞福优先1.90002177573.000065022329.7800
7151001银河稳健1.7600685358.000020464789.8800
8159901易方达深证100ETF3.01002995269.000089438732.3400
9160314华夏行业精选2.33005751796.0000171748628.5600
10161005富国天惠精选成长3.66002500198.000074655912.2800
11161601融通新蓝筹2.660012067975.0000360349733.5000
12161606融通行业景气3.89004347963.0000129830175.1800
13162201泰达荷银成长3.64001354237.000040437516.8200
14162204泰达荷银行业精选2.93003100000.000092566000.0000
15162205泰达荷银风险预算4.7800292876.00008745277.3600
16162208泰达荷银首选企业2.58001469789.000043887899.5400
17162209泰达荷银市值优选3.37006107178.0000182360335.0800
18163402兴业趋势投资1.19007074102.0000211232685.7200
19180001银华优势企业2.32003284040.000098061434.4000
20184688基金开元4.38002443069.000072950040.3400
21184690基金同益2.02001365000.000040758900.0000
22184713基金科翔1.6300700658.000020921647.8800
23202007南方隆元产业主题5.400012640347.0000377440761.4200
24253010国联安德盛安心成长1.110064681.00001931374.6600
25260103景顺长城动力平衡2.10004500000.0000134370000.0000
26288002中信红利精选1.95002508605.000074906945.3000
27290005泰信优势增长1.5900167987.00005016091.8200
28310358申万巴黎新经济2.26003506630.0000104707971.8000
29320005诺安价值增长3.79009992473.0000298375243.7800
30320006诺安灵活配置1.5600306800.00009161048.0000
31360005光大红利3.29003824597.0000114202466.4200
32360006光大新增长2.07001002722.000029941278.9200
33360007光大优势2.57008835655.0000263832658.3000
34373010上投摩根双息平衡2.72003541591.0000105751907.2600
35373020上投摩根双核平衡3.12001186490.000035428591.4000
36377010上投摩根阿尔法6.960019576879.0000584565606.9400
37377020上投摩根内需动力6.050018191471.0000543197324.0600
38398011中海分红增利2.18001498835.000044755213.1000
39410001华富竞争力优选3.67002114384.000063135506.2400
40460001友邦华泰盛世中国1.82004003577.0000119546809.2200
41510081长盛动态精选1.4500600859.000017941649.7400
42519035富国天博2.86007015807.0000209491997.0200
43519110浦银安盛价值成长5.21001850393.000055252734.9800
44519996长信银利精选3.00002415349.000072122321.1400
45560002益民红利成长4.71002679138.000079999060.6800
46560005益民多利0.280029400.0000877884.0000
47570001诺德价值优势2.68003582811.0000106982736.4600
48580001东吴嘉禾优势精选4.03003310588.000098854157.6800
49580002东吴价值成长双动力3.20001985023.000059272786.7800
50580003东吴行业轮动2.54001726302.000051547377.7200
51590002中邮核心成长1.773111650473.0000347883123.7800
52620001金元比联宝石动力0.051570000.00002090200.0000
所有基金的持有海螺水泥600585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)
1070099嘉实优质企业2.15003798107.000099624346.6100
2100016富国天源平衡2.6300717247.000018813388.8100
3100020富国天益价值2.830012663079.0000332152562.1700
4100029富国天成红利2.1000190000.00004983700.0000
5202009南方盛元红利2.35004360332.0000114371508.3600
6240003华宝宝康债券0.4300950000.000024918500.0000
7270002广发稳健增长2.14005500000.0000144265000.0000
8320001诺安平衡1.00002779933.000072917642.5900
9320006诺安灵活配置1.4000314500.00008249335.0000
10360001光大量化核心2.470910104418.0000265038884.1400
11377010上投摩根阿尔法2.14006859436.0000179923006.2800
12500005基金汉盛4.47005200611.0000136412026.5300
13500015基金汉兴4.05005831706.0000152965648.3800
14519001银华核心价值优选2.650010878449.0000285341717.2700
15519035富国天博1.79005000000.0000131150000.0000
16620001金元比联宝石动力0.025940000.00001049200.0000
所有基金的持有柳工000528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)
1070003嘉实稳健1.021710599974.0000172249577.5000
2162202泰达荷银周期3.1000861529.000013999846.2500
3163402兴业趋势投资0.69477566103.0000122949173.7500
4166001中欧新趋势4.84006999542.0000113742557.5000
5184722基金久嘉3.23002970419.000048269308.7500
6200007长城安心回报1.66498155171.0000132521528.7500
7260110景顺精选蓝筹1.693612488471.0000202937653.7500
8320001诺安平衡1.69007588739.0000123317008.7500
9320006诺安灵活配置1.3700495834.00008057302.5000
10360001光大量化核心1.693511178695.0000181653793.7500
11510081长盛动态精选1.1800896201.000014563266.2500
所有基金的持有航天信息600271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)
1100016富国天源平衡1.9300663247.000013808802.5400
2100020富国天益价值4.470025192953.0000524517281.4600
3100026富国天合稳健优选2.68004256691.000088624306.6200
4100029富国天成红利1.6700190000.00003955800.0000
5151001银河稳健1.83001022091.000021279934.6200
6161005富国天惠精选成长5.21005100548.0000106193409.3600
7162202泰达荷银周期2.3500510631.000010631337.4200
8163803中银持续增长1.94729824061.0000204536950.0200
9288002中信红利精选2.42004482965.000093335331.3000
10320006诺安灵活配置1.3700386566.00008048304.1200
11450001富兰克林国海中国收益1.6500997552.000020769032.6400
12500015基金汉兴4.38007948695.0000165491829.9000
13500058基金银丰6.82008364091.0000174140374.6200
14519035富国天博4.730016607272.0000345763403.0400
15519181万家和谐增长2.06001924008.000040057846.5600
16519668银河竞争优势成长2.9500397185.00008269391.7000
所有基金的持有中储股份600787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)
1040005华安宏利0.10871829700.000011673486.0000
2160706嘉实沪深3000.07572680437.000017101188.0600
3320003诺安股票0.501514999130.000095694449.4000
4320006诺安灵活配置1.36001251544.00007984850.7200
5481006工银红利1.01976786374.000043297066.1200
所有基金的持有中国远洋601919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)
1080001长盛成长价值2.38001599951.000023855269.4100
2110003易方达上证501.722422417239.0000334241033.4900
3202003南方绩优成长2.910022500000.0000335475000.0000
4210001金鹰成份股优选2.88002910573.000043396643.4300
5320006诺安灵活配置1.2800503141.00007501832.3100
6360006光大新增长4.78004634108.000069094550.2800
7460005友邦华泰价值增长1.1100300000.00004473000.0000
8519001银华核心价值优选2.770020006131.0000298291413.2100
9560003益民创新优势5.970017338675.0000258519644.2500
10590002中邮核心成长5.840076909187.00001146715978.1700
所有基金的持有宝钛股份600456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0.80245690417.000094233305.5200
2160607鹏华价值优势0.92355428490.000089895794.4000
3162703广发小盘成长0.77734001406.000066263283.3600
4202003南方绩优成长1.01437073291.0000117133698.9600
5270001广发聚富1.78516511915.0000107837312.4000
6270005广发聚丰1.244414300000.0000236808000.0000
7270006广发策略优选0.92615637216.000093352296.9600
8270007广发大盘0.87365391794.000089288108.6400
9320006诺安灵活配置1.2500444050.00007353468.0000
10340006兴业全球视野0.80663392782.000056184469.9200
11375010上投摩根中国优势0.85823506477.000058067259.1200
所有基金的持有恒源煤电600971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0.20332152379.000029961115.6800
2110005易方达积极成长0.53243000000.000041760000.0000
3110009易方达价值精选0.74634095943.000057015526.5600
4110010易方达价值成长0.40154855136.000067583493.1200
5121002国投瑞银景气行业1.05552272719.000031636248.4800
6320001诺安平衡0.48202533078.000035260445.7600
7320003诺安股票0.19632690063.000037445676.9600
8320006诺安灵活配置1.1800496000.00006904320.0000
9373010上投摩根双息平衡0.69221934226.000026924425.9200
10519692交银成长0.87833359175.000046759716.0000