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持有 诺德股份(600110)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(%)
1660012农银消费主题11,001.711,091.447.63%
2660005农银中小盘10,893.961,080.756.43%
3660001农银成长9,694.40961.754.17%
4398001中海优质成长5,752.46570.683.63%
5090015大成内需增长3,211.69318.625.12%
6960018大成内需增长混合H3,211.69318.625.12%
7540008汇丰晋信低碳先锋3,024.00300.005.12%
8002813博时保泰保本A1,782.18188.790.83%
9002814博时保泰保本C1,782.18188.790.83%
10040025华安科技动力1,663.20165.002.24%
11050007博时平衡配置1,280.27127.012.14%
12660015农银汇理行业轮动1,252.34124.244.24%
13160915大成景丰分级1,120.39111.150.71%
14210008金鹰策略配置1,092.80108.418.10%
15160919大成产业升级股票1,039.97103.172.69%
16040015华安动态灵活配置1,008.00100.003.88%
17660010农银策略精选827.2782.076.31%
18660004农银策略价值817.2981.082.29%
19660003农银汇理平衡双利710.4470.482.20%
20002270东吴安盈量化灵活配置混合619.1765.595.20%
21050016博时宏观回报A/B292.3229.000.53%
22050116博时宏观回报C292.3229.000.53%
23001155中海安鑫宝1号保本混合208.2520.660.86%
24090008大成强化收益139.4113.830.70%
25090019大成景恒保本138.2013.710.83%
26410006华富策略精选112.8111.194.86%
27350005天治创新先锋110.8811.002.97%
28090017大成可转债增强债券108.1610.731.88%
29150263华宝中证1000分级A28.222.800.25%
30150264华宝中证1000分级B28.222.800.25%
31162413华宝1000指数分级28.222.800.25%
32257060国联安上证大宗商品联接1.610.160.01%

 
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