今日公布二十三家证券投资基金2001第一季度持股情况一览表

  作者:    日期:2001.04.20 10:50 http://www.stock2000.com.cn 中天网

500008基金兴华

序号名称市值(元)占净值比例
1通海高科253,200,000.0010.93
2宝钢股份170,400,000.007.36
3同仁堂139,158,500.686.01
4新亚股份124,092,878.005.36
5银基发展122,960,000.005.31
6西山煤电109,468,166.504.73
7东方明珠100,157,248.004.32
8中体产业80,103,766.403.46
9歌华有线57,800,206.002.50
10丰原生化50,880,000.002.20

500018基金兴和

序号股票名称市值(元)占净值比例
1通海高科337,600,000.009.48
2宝钢股份307,537,920.008.64
3歌华有线163,630,362.004.60
4西山煤电142,784,565.004.01
5银基发展122,960,000.003.45

500001基金金泰

序号名称市值(元)占净值比例
1中远发展194,900,000.008.22
2广电股份189,900,000.008.00
3大唐电信161,194,222.476.79
4青鸟华光150,072,476.016.33
5上港集箱139,124,700.005.86
6东方通信66,714,714.002.81
7电广传媒66,686,745.002.81
8丰原生化59,190,484.802.50
9凯乐科技57,480,307.502.42
10福建南纸56,062,762.002.36

500007基金景阳

序号股票名称市值占基金资产净值
1国电电力166017600.0014.41
2电广传媒74445065.256.46
3大唐电信67044836.555.82
4凯乐股份58557638.655.08
5新太科技54273224.584.71
6大显股份41193760.753.58
7广电股份37980000.003.30
8东大阿派36800466.603.20
9中兴通讯31413385.802.73
10深振业A24044060.072.09

500011基金金鑫

序号名称市值(元)占净值比例
1方正科技157,268,490.864.21
2红太阳148,828,644.233.99
3上港集箱142,171,326.003.81
4中国化建134,648,806.533.61
5东方通信133,750,000.003.58
6三九生化116,697,502.063.13
7哈药集团116,524,289.283.12
8华北高速115,571,508.503.10
9甘长风A95,853,545.972.57
10广电股份94,950,000.002.54

500021基金金鼎

序号名称市值(元)占净值比例
1松辽汽车61,821,440.0011.63
2中兴通讯52,954,968.609.96
3益民百货46,016,400.008.66
4湘计算机41,547,069.007.82
5张裕A39,970,767.607.52
6三九生化38,033,933.527.16
7欣龙无纺24,870,594.504.68
8上海邮通22,398,771.094.21
9长江通信19,814,384.923.73
10中发展11,911,600.002.24

500015基金汉兴

序号股票名称市值(元)占净值比例
1南开戈德244,875,000.007.21
2齐鲁软件201,177,187.205.92
3中兴通讯195,150,694.685.75
4大唐电信157,245,000.004.63
5灯塔油漆105,250,968.303.10
6张江高科95,902,309.172.82
7新太科技85,930,640.342.53
8广州控股78,086,549.402.30
9东大阿派72,938,704.712.15
10长城电脑63,420,000.001.87

500002基金泰和

序号证券名称市值(元)占净值比例
1青岛啤酒154,091,372.915.76
2烟台万华127,033,119.904.75
3曙光股份113,767,411.104.25
4丰原生化102,072,886.563.82
5方正科技68,912,671.622.58
6青岛海尔66,077,456.772.47
7比特科技64,938,112.362.43
8首创股份43,201,200.001.61
9新疆天业38,688,438.381.45
10东方通信34,541,954.001.29

500009基金安顺

序号名称市值(元)占净值比例
1东方电子471,953,014.4012.20
2上港集箱278,249,400.007.19
3广电股份227,880,000.005.89
4海欣股份171,418,345.804.43
5中原油气167,796,176.004.34
6法尔胜159,322,000.004.12
7环保股份135,840,000.003.51
8许继电气124,997,150.323.23
9五粮液90,648,000.002.34
10大唐电信90,552,163.532.34

500003基金安信

序号名称市值(元)占净值比例
1东方电子459,042,422.1316.44
2上港集箱208,800,900.007.48
3广电股份199,007,148.247.13
4大唐电信128,655,000.004.61
5法尔胜120,479,662.414.32
6海欣股份113,807,347.004.08
7恒瑞医药108,667,620.003.89
8许继电气97,133,940.263.48
9烟台万华92,827,803.423.33
10环保股份80,316,435.782.88

500025基金汉鼎

序号股票名称市值(元)占净值比例
1中兴通讯42,002,326.928.22
2大唐电信28,574,618.585.59
3飞乐音响26,644,956.525.22
4江苏索普26,199,651.005.13
5南京熊猫24,777,581.124.85
6歌华有线19,533,370.003.82
7长江通信19,324,240.003.78
8云大科技16,149,575.183.16
9长丰通信14,987,000.002.93
10东方钽业14,532,145.202.84

500005基金汉盛

序号股票名称市值(元)占净值比例
1中兴通讯158,960,007.066.86
2大唐电信151,618,230.696.54
3齐鲁软件137,725,457.125.94
4纵横国际104,047,786.884.49
5东大阿派97,501,118.314.21
6青旅控股93,099,050.554.02
7风华高科73,486,814.193.17
8太极集团72,604,501.203.13
9哈药集团68,603,347.682.96
10东方通信48,682,111.002.10

500035基金汉博

序号股票名称市值(元)占净值比例
1中兴通讯42,021,814.988.33
2大唐电信26,205,879.905.20
3云大科技23,280,012.924.62
4太极集团21,782,274.804.32
5长江通信20,352,534.404.04
6TCL通讯15,612,675.003.10
7爱建股份15,572,678.943.09
8云南白药15,037,172.222.98
9一汽金杯14,979,752.322.97
10华晨集团13,056,598.402.59

500010基金金元

序号股票名称市值(元)占基金资产净值比例
1天通股份62,954,119.7812.11
2海正药业57,699,840.9411.10
3凯迪电力30,170,712.005.80
4上风高科19,675,056.043.78
5亚星化学10,392,000.002.00
6辽宁成大10,323,918.901.99
7申能股份10,285,691.001.98
8大恒科技8,136,064.501.56
9秦丰农业7,237,803.201.39
10南京熊猫6,728,503.841.29

4708基金兴科

序号名称市值(元)占净值比例
1茉织华24,572,456.824.53
2一汽金杯24,428,460.164.51
3盐田港A21,855,604.984.03
4烟台万华18,634,691.703.44
5上海汽车18,149,581.533.35
6红星发展17,995,549.003.32
7宝钢股份17,051,360.003.14
8扬子石化14,375,000.002.65
9沧州大化13,935,671.002.57
10丰原生化12,363,840.002.28

4718基金兴安

序号股票名称市值占净值比例
1新亚股份59,878,000.0010.95
2罗顿发展53,024,254.009.70
3上菱电器43,614,504.607.98
4丽珠集团42,631,238.967.80
5天兴仪表27,651,214.225.06
6新希望26,370,504.004.82
7皇台酒业19,177,578.423.51
8西北化工16,601,371.603.04
9茉织华10,038,568.061.84
10浙江医药6,951,442.651.27

4691基金景宏

序号股票名称市值占基金资产净值
1银广夏A238761600.0010.77
2中兴通讯192721553.648.70
3大唐电信131848817.495.95
4东方电子127228000.005.74
5新太科技123394360.445.57
6广电股份94950000.004.28
7亿阳信通72617500.003.28
8飞乐股份55211799.152.49
9深万科A41897614.001.89
10广州控股40233054.801.82

4701基金景福

序号名称市值(元)占净值比例
1国电电力364,286,885.8610.48
2数码测绘138,784,019.763.99
3上海贝岭138,487,211.553.98
4中科健A126,274,574.163.63
5大唐电信126,074,952.633.63

4695基金景博

序号股票名称市值占基金资产净值比例
1国电电力155126384.2812.73
2新太科技86346580.367.09
3凯乐股份64082426.385.26
4亿阳信通63393531.455.20
5铜峰电子46268045.463.80
6西山煤电28556913.002.34
7通化金马27759696.062.28
8东方通信26750000.002.20
9博瑞传播26591237.052.18
10路桥建设26503733.202.18

4703基金金盛

序号名称市值(元)占净值比例
1上菱电器58,344,966.4411.00
2鲁能泰山54,462,073.6810.27
3复华实业49,584,963.829.35
4泰达股份27,951,007.925.27
5丽珠集团26,153,776.484.93
6珠江控股22,885,794.524.32
7石油龙昌14,934,597.362.82
8东方通信13,375,000.002.52
9湘计算机12,474,079.802.35
10新希望11,416,662.002.15

4698基金天元

序号股票名称市值(元)占基金资产净值比例
1深圳机场299,218,888.598.09
2东方通信287,014,499.507.76
3东方钽业274,958,716.867.44
4辽宁成大211,747,821.825.73
5上港集箱208,800,900.005.65
6天方药业156,201,213.484.23
7天通股份153,429,748.364.15
8烟台发展116,336,195.163.15
9西山煤电109,468,166.502.96
10安泰科技108,206,732.092.93

4688基金开元

序号股票名称市值(元)占基金资产净值比例
1东方钽业224,900,018.649.11
2上港集箱222,918,300.009.02
3凯迪电力193,700,000.007.84
4深圳机场179,936,884.417.28
5西山煤电142,784,565.005.78
6安泰科技128,004,421.005.18
7海正药业93,782,149.563.80
8东方通信70,306,597.002.85
9秦丰农业68,688,576.002.78
10深天健66,742,238.642.70

4710基金隆元

序号股票名称市值(元)占基金资产净值比例
1天通股份56,848,534.0411.35
2海正药业49,834,796.169.95
3东方钽业36,145,851.487.22
4辽宁成大27,505,159.965.49
5上风高科18,737,130.003.74
6浙江医药17,100,785.503.41
7新大陆12,575,900.002.51
8晨鸣纸业10,653,208.472.13
9亚星化学10,392,000.002.07
10隧道股份10,237,149.002.04



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