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金地(集团)股份有限公司

股票简称:金地集团 股票代码:600383

更新时间: 2008-07-07
08年第1季    
基金类股东名称基金持股数基金持股数
占总股本比例
基金持股变动基金持股市值
嘉实理财稳健35,504,239.004.23%11,808,082.001,349,871,166.78
华安中小盘成长28,276,923.003.37%3,700,000.001,072,656,843.47
南方成份精选23,419,107.002.79%5,726,800.00835,017,527.23
广发策略优选20,785,513.002.48%0.00778,214,704.26
广发大盘成长20,764,733.002.47%0.00765,436,748.66
博时价值增长17,499,355.002.09%1,499,789.00665,325,477.10
广发稳健增长15,283,250.001.82%0.00563,009,065.00
兴业趋势LOF11,384,615.001.36%11,384,615.00397,209,217.35
鹏华动力增长LOF9,900,000.001.18%80,000.00361,061,000.00
嘉实服务增值行业8,222,120.000.98%2,854,074.00312,605,002.40
天弘精选8,002,397.000.95%1,930,897.00304,251,133.94
基金安顺8,000,000.000.95%0.00279,120,000.00
基金丰和7,882,337.000.94%-10,117,663.00299,686,452.74
鹏华优质治理LOF7,550,721.000.90%7,550,721.00267,826,505.45
广发聚富6,521,512.000.78%6,521,512.00235,897,386.24
华安创新6,500,000.000.77%-200,479.00242,435,000.00
基金安信6,300,000.000.75%-1,700,000.00219,807,000.00
景顺长城动力平衡5,000,000.000.60%-1,356,700.00190,100,000.00
兴业全球视野4,000,000.000.48%4,000,000.00139,560,000.00
嘉实成长收益2,849,581.000.34%2,849,581.00108,341,069.62
建信恒久价值基金2,384,386.000.28%-1,762,004.0090,654,355.72
天治品质优选236,000.000.03%236,000.008,972,720.00
泰达荷银风险预算130,000.000.02%130,000.004,942,600.00
 
07年年度  
基金类股东名称基金持股数基金持股数
占总股本比例
基金持股变动基金持股市值
华安中小盘成长24,576,923.002.93%24,576,923.00996,989,228.20
嘉实理财稳健23,696,157.002.82%23,696,157.00966,803,205.60
广发策略优选20,785,513.002.48%20,785,513.00819,558,930.40
广发大盘成长20,764,733.002.47%20,764,733.00790,369,106.40
基金丰和18,000,000.002.15%18,000,000.00734,400,000.00
南方成份精选17,692,307.002.11%17,692,307.00590,923,053.80
博时价值增长15,999,566.001.91%15,999,566.00652,782,292.80
广发稳健增长15,283,250.001.82%15,283,250.00580,858,600.00
鹏华动力增长LOF9,820,000.001.17%9,820,000.00364,396,000.00
基金安信8,000,000.000.95%8,000,000.00267,200,000.00
基金安顺8,000,000.000.95%8,000,000.00267,200,000.00
华安创新6,700,479.000.80%6,700,479.00262,279,543.20
景顺长城动力平衡6,356,700.000.76%6,356,700.00259,353,360.00
天弘精选6,071,500.000.72%6,071,500.00247,717,200.00
嘉实服务增值行业5,368,046.000.64%5,368,046.00219,016,276.80
建信恒久价值基金4,146,390.000.49%4,146,390.00169,172,712.00
华安宝利配置2,127,353.000.25%2,127,353.0075,696,002.00
新世纪优选分红768,285.000.09%768,285.0031,346,028.00
07年前3季  
基金类股东名称基金持股数基金持股数
占总股本比例
基金持股变动基金持股市值
南方成份精选26,925,872.003.21%26,925,872.001,081,096,207.83
广发大盘成长20,514,733.002.44%20,514,733.00943,099,667.44
华夏蓝筹LOF18,921,534.002.26%4,749,329.00860,129,905.12
博时第三产业成长17,000,485.002.03%17,000,485.00912,586,034.80
广发策略优选15,495,318.001.85%15,495,318.00752,517,170.24
广发稳健增长14,883,255.001.77%14,883,255.00680,128,828.40
华安中小盘成长11,776,923.001.40%-3,354,166.00616,188,382.07
鹏华优质治理LOF11,066,491.001.32%11,066,491.00467,404,903.17
基金丰和10,918,712.001.30%10,918,712.00586,116,460.16
华夏成长9,959,313.001.19%1,959,400.00469,263,261.84
鹏华动力增长LOF9,820,000.001.17%9,820,000.00426,246,600.00
基金安信8,800,000.001.05%3,800,000.00342,667,000.00
广发聚丰8,119,937.000.97%8,119,937.00356,606,718.16
基金安顺8,000,000.000.95%8,000,000.00264,720,000.00
建信恒久价值基金6,802,100.000.81%-5,820,736.00365,136,728.00
银华优质增长6,749,159.000.80%-600,000.00362,294,855.12
广发聚富6,521,512.000.78%6,521,512.00270,803,264.16
友邦华泰积极成长4,694,260.000.56%4,694,260.00251,987,876.80
基金天华4,000,000.000.48%-500,451.00214,720,000.00
博时平衡配置4,000,000.000.48%-1,999,788.00214,720,000.00
上证红利ETF3,946,446.000.47%802,948.00211,845,221.28
泰达荷银效率优选LOF3,736,034.000.45%3,736,034.00200,550,305.12
嘉实理财增长2,199,817.000.26%2,199,817.00118,086,176.56
国投瑞银景气基金1,909,322.000.23%581,602.00102,492,404.96
宝盈鸿利收益 1,885,009.000.22%0.00101,187,283.12
中海分红增利1,797,024.000.21%1,797,024.0096,464,248.32
普天收益980,000.000.12%980,000.0044,782,200.00
国投瑞银融华基金180,000.000.02%15,000.009,662,400.00