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最近访问基金
南方宝元债券型基金[202101]的投资组合
最后更新时间:2009-1-8 3:53:22 | 收藏 | 推荐给朋友 | 报告错误
南方宝元  单位净值:0.9982  0.0043  0.43% 累计净值:2.2182
  代码:202101  最新规模:19.44亿  净值日期:2009-01-06 
十大重仓
全部持股
十大重仓股
报告期:2008-09-30
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%)
1600015.sh华夏银行10,841.101,296.785.44
2600660.sh福耀玻璃5,824.18970.702.92
3600276.sh恒瑞医药4,734.56134.812.38
4600549.sh厦门钨业3,779.04356.511.90
5600499.sh科达机电3,441.68458.281.73
6600519.sh贵州茅台1,778.9313.490.89
7600782.sh新钢股份1,771.10319.690.89
8601766.sh中国南车1,750.00500.000.88
9600557.sh康缘药业1,473.5888.080.74
10600331.sh宏达股份1,107.40153.380.56
报告期:2008-06-30
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%)
1600036.sh招商银行10,335.60441.324.24
2600015.sh华夏银行10,123.361,096.794.15
3600030.sh中信证券5,002.43209.132.05
4600660.sh福耀玻璃4,992.00788.632.05
5600276.sh恒瑞医药4,959.67142.112.03
6000825.sz太钢不锈4,187.09386.621.72
7601919.sh中国远洋3,618.79183.231.48
8600000.sh浦发银行3,377.84153.541.38
9601390.sh中国中铁2,822.30542.751.16
10600519.sh贵州茅台2,412.4017.410.99
报告期:2008-03-31
序号 证券代码 证券简称 市值(万元) 数量(万股) 占基金净值比例(%)
1600036.sh招商银行9,259.05287.823.45
2600000.sh浦发银行5,950.96168.112.22
3600015.sh华夏银行5,268.88376.081.96
4601919.sh中国远洋4,911.25184.491.83
5000002.sz万科A4,480.00175.001.67
6600660.sh福耀玻璃4,224.20156.451.57
7600276.sh恒瑞医药3,932.2192.311.47
8600143.sh金发科技2,908.0597.721.08
9600782.sh新钢股份2,494.39200.030.93
10601009.sh南京银行2,242.85155.000.84