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持有 海虹控股(000503)的基金
  报表日期:2016-9-30
序号 基金代码 基金简称 持仓市值(万元) 持仓数量(万股) 占基金净值比例(%)
1320007诺安成长7,367.30155.439.35%
2150203鹏华传媒分级A5,421.54114.384.79%
3150204鹏华传媒分级B5,421.54114.384.79%
4160629鹏华传媒分级5,421.54114.384.79%
5320008诺安增利A3,868.7981.623.57%
6320009诺安增利B3,868.7981.623.57%
7320020诺安汇鑫保本3,033.6064.001.35%
8150247工银中证传媒指数分级A1,765.7137.254.70%
9150248工银中证传媒指数分级B1,765.7137.254.70%
10164818工银中证传媒指数分级1,765.7137.254.70%
11512220景顺长城中证800食品饮料1,053.2322.221.91%
12630006华商产业升级921.5119.444.14%
13150179鹏华信息分级A918.0519.372.41%
14150180鹏华信息分级B918.0519.372.41%
15160626鹏华信息分级918.0519.372.41%
16150215国泰深证TMT50分级A914.2419.293.40%
17150216国泰深证TMT50分级B914.2419.293.40%
18160224国泰深证TMT50指数分级914.2419.293.40%
19000968广发养老指数660.4715.301.64%
20002982广发养老指数C660.4715.301.64%
21150233申万菱信传媒行业分级A653.8713.795.43%
22150234申万菱信传媒行业分级B653.8713.795.43%
23163117申万菱信传媒行业分级653.8713.795.43%
24159939广发中证全指信息技术ETF634.2113.381.43%
25150173信诚中证TMT产业指数A586.7012.381.16%
26150174信诚中证TMT产业指数B586.7012.381.16%
27165522信诚中证TMT产业指数分级586.7012.381.16%
28159909招商深证TMT50ETF287.356.063.61%
29150311信诚中证智能家居指数分级A153.103.231.13%
30150312信诚中证智能家居指数分级B153.103.231.13%
31165524信诚中证智能家居指数分级153.103.231.13%
32159911鹏华深证民营ETF109.172.301.93%
33290010泰信中证200指数51.531.090.97%
34150145招商高贝塔指数分级A37.450.791.17%
35150146招商高贝塔指数分级B37.450.791.17%
36161718招商高贝塔指数分级37.450.791.17%
37150108长盛同辉分级A34.600.731.10%
38150109长盛同辉分级B34.600.731.10%
39160809长盛同辉100等权分级34.600.731.10%
40150064长盛同瑞A20.880.440.93%
41150065长盛同瑞B20.880.440.93%
42160808长盛同瑞200分级20.880.440.93%
43000942广发信息技术联接6.040.140.02%
44002974广发信息技术联接C6.040.140.02%
45217019招商深证TMT50联接4.270.090.05%
46206010鹏华深证民营联接2.370.050.05%

 
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