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投资基金仓位估计表(2006.4.21)


http://finance.sina.com.cn 2006年04月24日 05:35 中国证券报

  投资基金仓位估计表(2006.4.21)

  基金类型管理公司基金名称本周持仓

  比例估计上周持仓

  比例估计本周持仓

  比例变动净变动最近季报披露投资比例相对季报

  比例变动

  1、股票型基金湘财荷银合丰周期87.2%76.1%11.1%9.9%73.6%13.6%

  博时博时价值97.5%88.0%9.4%9.2%73.5%24.0%

  国联国联成长80.0%70.4%9.6%8.9%76.2%3.8%

  万家天同公用75.0%66.0%9.0%8.5%58.4%16.6%

  招商招商

股票80.2%70.9%9.3%8.1%73.8%6.4%

  湘财荷银合丰稳定79.9%72.0%7.8%7.2%73.0%6.9%

  国联国联分红86.4%79.3%7.1%6.6%66.8%19.6%

  景顺

长城景顺股票88.1%80.6%7.5%6.5%76.0%12.0%

  鹏华鹏华收益78.5%70.8%7.7%6.2%75.8%2.7%

  景顺长城景顺鼎益89.0%83.0%6.0%4.9%76.4%12.6%

  金鹰金鹰优选74.8%69.4%5.4%4.2%68.5%6.3%

  易方达易基积极91.0%86.7%4.3%3.5%81.6%9.4%

  易方达易基策略92.4%89.3%3.1%2.5%84.1%8.3%

  天治天治品质70.8%67.5%3.2%2.2%61.1%9.7%

  湘财荷银合丰成长99.2%97.8%1.4%1.4%74.5%24.7%

  国泰国泰精选90.4%88.7%1.7%1.3%74.3%16.2%

  中银国际中银中国92.0%90.7%1.3%1.0%79.0%13.0%

  宝盈宝盈增长89.0%87.4%1.6%0.8%73.5%15.5%

  华夏华夏大盘94.0%93.0%1.0%0.8%92.0%2.0%

  华宝兴业华宝策略92.2%92.1%0.1%-0.2%71.7%20.6%

  华安华安创新86.9%87.2%-0.3%-0.8%71.6%15.3%

  海富通海富精选82.3%82.7%-0.3%-1.0%74.1%8.3%

  申万巴黎盛利精选79.5%80.2%-0.7%-1.3%73.8%5.7%

  光大保德信量化核心93.0%94.3%-1.3%-1.6%91.9%1.1%

  博时博时精选85.0%86.6%-1.6%-2.0%74.2%10.8%

  广发广发小盘93.0%94.6%-1.6%-2.0%92.7%0.3%

  金鹰金鹰小盘56.9%58.1%-1.3%-2.4%70.7%-13.8%

  华宝兴业宝康消费88.2%90.4%-2.2%-2.6%66.7%21.5%

  大成大成精选83.0%85.0%-2.0%-2.8%70.7%12.3%

  华夏华夏成长79.0%81.4%-2.4%-2.9%72.4%6.6%

  富国富国天瑞88.2%91.0%-2.8%-3.1%86.1%2.1%

  南方南方积配82.0%85.3%-3.3%-3.9%68.1%13.9%

  湘财荷银荷银精选90.0%94.0%-4.0%-4.3%82.8%7.2%

  东吴东吴嘉禾88.9%93.0%-4.1%-4.5%86.3%2.6%

  景顺长城景顺增长88.0%92.4%-4.4%-5.0%90.5%-2.5%

  长信长信银利79.7%84.5%-4.8%-5.2%70.2%9.5%

  南方南方高增83.0%87.9%-4.9%-5.3%80.6%2.4%

  银华银华优势82.5%88.1%-5.6%-6.0%68.8%13.7%

  友邦华泰友邦盛世83.0%89.0%-6.0%-6.1%78.7%4.3%

  博时博时主题92.0%99.3%-7.3%-7.3%83.3%8.7%

  海富通海富股票86.7%95.3%-8.6%-8.8%84.6%2.1%

  巨田巨田基础78.0%88.9%-10.9%-10.9%73.3%4.7%

  2、偏股型混合基金泰信泰信先行88.0%77.6%10.4%9.7%88.3%-0.3%

  长盛长盛成长85.5%76.4%9.1%8.7%69.8%15.7%

  上投摩根富林明中国优势83.0%75.0%8.0%6.9%91.3%-8.3%

  嘉实嘉实成长64.0%57.3%6.7%6.4%74.0%-10.0%

  南方南方稳健71.0%65.5%5.5%4.6%60.7%10.3%

  大成大成蓝筹90.0%85.2%4.8%3.9%75.5%14.5%基金类型管理公司基金名称本周持仓

  比例估计上周持仓

  比例估计本周持仓

  比例变动净变动最近季报披露投资比例相对季报

  比例变动国泰国泰金鹰87.0%83.0%4.0%3.0%85.0%2.0%

  嘉实嘉实稳健80.0%76.9%3.1%2.2%70.8%9.2%

  招商招商先锋78.0%75.5%2.5%1.8%68.1%10.0%

  融通新 蓝 筹83.2%81.2%1.9%1.5%63.2%20.0%

  嘉实嘉实增长68.2%67.0%1.2%0.2%72.7%-4.5%

  长城长城久恒80.6%80.0%0.6%-0.3%69.3%11.3%

  融通融通行业81.4%82.8%-1.3%-1.7%91.3%-9.9%

  华富华富优选70.0%72.8%-2.8%-3.3%33.6%36.4%

  嘉实嘉实服务84.0%88.4%-4.4%-4.5%83.0%1.0%

  国泰国泰金马90.0%94.4%-4.4%-4.7%88.5%1.5%

  诺安诺安平衡76.0%80.2%-4.2%-4.9%71.1%4.9%

  鹏华鹏华成长77.8%82.9%-5.0%-5.7%72.1%5.8%

  融通融通成长65.0%70.6%-5.6%-5.7%52.7%12.3%

  鹏华鹏华5079.0%84.5%-5.5%-6.0%70.6%8.4%

  富国富国天益87.0%94.0%-7.0%-7.4%87.1%-0.1%

  宝盈宝盈鸿利89.0%96.6%-7.6%-7.8%76.7%12.3%

  大成大成价值88.8%98.5%-9.7%-9.7%72.9%15.9%

  银河银河稳健62.9%74.7%-11.7%-12.5%69.4%-6.5%

  3、配置型混合基金湘财荷银荷银预算54.1%43.8%10.4%9.6%29.8%24.4%

  国投瑞银中融景气86.7%81.5%5.2%4.7%73.9%12.7%

  招商招商平衡55.0%49.9%5.1%4.1%54.0%1.0%

  华安华安宝利77.7%74.4%3.3%2.6%60.5%17.2%

  海富通海富收益66.4%63.8%2.5%1.8%54.4%12.0%

  银河银河银泰80.5%78.7%1.8%1.3%72.4%8.1%

  华夏华夏红利90.4%89.5%0.9%0.6%49.0%41.4%

  易方达易基平稳82.0%81.2%0.8%0.2%63.5%18.6%

  华宝兴业宝康配置76.0%75.4%0.6%-0.5%73.5%2.5%

  国联安德盛成长14.8%15.4%-0.6%-0.6%7.6%7.2%

  兴业兴业转基27.6%28.8%-1.3%-1.4%18.4%9.2%

  国联安

德盛小盘71.0%71.7%-0.7%-1.5%46.8%24.2%

  国联安德盛稳健76.0%77.9%-1.9%-2.4%65.1%10.8%

  景顺长城景顺平衡79.2%81.3%-2.1%-3.2%62.3%16.9%

  东方东 方 龙93.0%96.2%-3.2%-3.5%72.4%20.6%

  广发广发聚富78.0%81.0%-3.0%-4.1%74.5%3.5%

  长盛长盛精选83.9%88.1%-4.1%-4.5%76.9%7.0%

  国海富兰克林国海收益45.2%50.9%-5.7%-6.0%48.8%-3.6%

  华夏华夏回报79.0%84.6%-5.6%-6.3%75.3%3.7%

  天治天治财富65.0%73.7%-8.7%-9.2%64.8%0.2%

  富国富国动态70.6%80.0%-9.4%-10.1%66.6%4.0%

  广发广发稳健84.0%93.8%-9.8%-10.2%64.8%19.2%

  4、股票型指数基金银华银华8892.8%87.0%5.8%5.2%86.0%6.8%

  博时博时裕富91.0%88.8%2.2%1.8%94.5%-3.5%

  融通融通巨潮79.1%76.7%2.4%1.8%95.2%-16.0%

  华夏50ETF99.0%98.3%0.7%0.6%98.8%0.2%

  万家天同18093.6%93.2%0.4%0.0%91.2%2.4%

  长城长城久泰91.3%91.0%0.3%-0.1%94.6%-3.3%

  华安华安18090.4%90.8%-0.4%-0.7%93.9%-3.5%

  易方达易基5094.3%97.3%-3.0%-3.1%91.8%2.5%

  融通融通10095.0%98.7%-3.7%-3.8%95.2%-0.2%


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