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持有 聚光科技(300203)的基金
  报表日期:2017-12-31
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(%)
1002133广发鑫益混合15,642.02440.003.46%
2270006广发优选12,045.70366.242.78%
3001166建信环保产业股票12,423.19349.464.03%
4519688交银精选9,928.57301.873.52%
5001883中欧新动力混合(LOF)E8,887.50250.004.22%
6260103景顺长城动力7,766.93236.154.05%
7162607景顺资源7,619.88231.685.22%
8000477广发主题领先混合7,947.34223.554.09%
9260101景顺长城优选7,236.71220.035.27%
10398001中海优质成长6,383.50194.094.03%
11000241宝盈核心优势混合C6,335.63178.225.14%
12000924宝盈先进制造混合5,404.41152.029.16%
13270028广发制造业精选3,839.89116.754.21%
14217010招商大盘蓝筹3,757.24114.243.77%
15217009招商核心价值3,601.22109.492.56%
16519702交银趋势3,290.55100.053.38%
17001245工银生态环境股票3,168.8489.142.44%
18000270建信安心保本混合2,808.4579.001.07%
19121008国投瑞银成长2,378.5772.325.18%
20150184申万中证环保产业指数分级A1,877.4657.081.20%
21150185申万中证环保产业指数分级B1,877.4657.081.20%
22163114申万中证环保产业指数分级1,877.4657.081.20%
23000993华宝稳健回报混合1,566.6944.072.93%
24217020招商安达保本1,178.9435.841.10%
25002984广发环保指数C1,109.1831.201.04%
26001064广发环保指数1,109.1831.201.04%
27255010国联安德盛稳健723.5822.003.13%
28519733交银强化回报A493.2215.000.90%
29519735交银强化回报C493.2215.000.90%
30164908交银环境治理指数分级469.0114.262.84%
31519025海富通领先成长365.7411.122.73%
32150190新华中证环保产业指数分级A359.2710.921.18%
33164304新华中证环保产业指数分级359.2710.921.18%
34150191新华中证环保产业指数分级B359.2710.921.18%
35000928中融国企改革混合382.9810.773.03%
36001955中欧养老产业混合355.5010.004.50%
37001899东海社会安全316.298.904.60%
38150237鹏华环保分级A269.708.201.19%
39150238鹏华环保分级B269.708.201.19%
40160634鹏华环保分级269.708.201.19%
41260117景顺长城支柱产业269.428.194.34%
42750001安信灵活配置230.897.024.09%
43395011中海增强收益A228.916.960.36%
44395012中海增强收益C228.916.960.36%
45001628招商体育文化休闲股票229.306.454.02%
46580006东吴新经济182.545.552.51%
47150323工银中证环保产业指数分级A172.855.261.20%
48150324工银中证环保产业指数分级B172.855.261.20%
49164819工银中证环保产业指数分级172.855.261.20%
50001591天弘中证环保产业C41.631.171.09%
51001590天弘中证环保产业A41.631.171.09%
52000297鹏华可转债债券39.821.120.99%

 
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