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持有 晶盛机电(300316)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(%)
1398001中海优质成长9,853.71759.736.22%
2213002宝盈区域增长8,286.01638.865.28%
3166006中欧中小盘7,652.30590.003.67%
4519979长信内需成长5,635.24434.486.71%
5519679银河主题策略5,144.46396.644.38%
6150103银河银泰4,990.13384.743.71%
7001071华安媒体互联网混合5,230.16250.137.64%
8001018易方达新经济灵活配置4,402.60210.553.16%
9519664银河美丽股票A2,488.42191.864.54%
10519665银河美丽股票C2,488.42191.864.54%
11000124华宝兴业服务股票3,724.67178.132.96%
12000545中邮核心竞争力混合3,554.70170.004.69%
13150184申万中证环保产业指数分级A2,022.18155.911.29%
14150185申万中证环保产业指数分级B2,022.18155.911.29%
15163114申万中证环保产业指数分级2,022.18155.911.29%
16001009上投摩根安全战略2,596.13124.162.83%
17000586景顺中小板创业板精选股票2,446.68117.014.84%
18740001长安宏观策略1,491.55115.008.78%
19001521国寿安保成长优选股票2,227.93106.553.25%
20395011中海增强收益A935.9172.161.47%
21395012中海增强收益C935.9172.161.47%
22110012易方达科汇907.9070.002.58%
23519642银河智造混合702.7154.184.76%
24001534华宝万物互联混合1,024.5949.002.94%
25000755富安达新兴成长混合1,020.6248.814.14%
26002110中海中鑫灵活配置混合701.9533.572.83%
27150190新华中证环保产业指数分级A382.4929.491.26%
28150191新华中证环保产业指数分级B382.4929.491.26%
29164304新华中证环保产业指数分级382.4929.491.26%
30003145中融竞争优势494.7323.664.84%
31001829北信瑞丰中国智造主题478.4222.883.14%
32150237鹏华环保分级A290.6622.411.29%
33150238鹏华环保分级B290.6622.411.29%
34160634鹏华环保分级290.6622.411.29%
35002190农银新能源主题419.2520.054.03%
36000549华安大国新经济股票400.4319.151.93%
37290008泰信发展主题239.9518.503.55%
38001856易方达环保主题混合382.4718.292.57%
39001252中海进取收益灵活配置混合369.6917.686.10%
40002376国寿安保核心产业混合313.6515.003.90%
41150323工银中证环保产业指数分级A186.4114.371.30%
42150324工银中证环保产业指数分级B186.4114.371.30%
43164819工银中证环保产业指数分级186.4114.371.30%
44000594大摩进取优选股票198.659.503.59%
45001348大摩新机遇灵活配置混合159.337.622.47%
46001978泰信互联网+主题混合146.377.002.84%
47002863金信深圳成长混合发起式99.954.788.30%
48001591天弘中证环保产业C40.291.931.06%
49001590天弘中证环保产业A40.291.931.06%

 
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