rss
网易股票
行情中心 股票对比 财报大全 我的投资 股票 新股 基金 港股 美股 期货 外汇
特色数据
市场雷达| 实时大单| 阶段涨幅| 成交骤增| 近期新低| 板块统计| 龙虎榜| 两市公告| 融资融券| 基金持股| 新股申购
上证指数 :
-- -- -- --亿 |
我的投资 :
------|
搜索

建信优选成长混合A (建信成长 530003) 开放型 混合型

加入自选基金

最新净值:2.0707

0.0324 1.59%
2020/02/25 00:00:00

建信优选成长混合A(530003)持有人结构

机构持有份额 户均份额 户数
报告日期
基金持有人户数
平均每户持有基金份额(万份)
机构投资者持有份额(万份)
    所占比例
个人投资者持有份额(万份)
    所占比例
基金公司员工持有份额(万份)
    所占比例
2019-06-302018-12-312018-06-302017-12-312017-06-302016-12-312016-06-302015-12-312015-06-302014-12-312014-06-302013-12-312013-06-302012-12-312012-06-302011-12-312011-06-302010-12-312010-06-302009-12-312009-06-302008-12-312008-06-302007-12-312007-06-302006-12-31
80530708847202077152882068443380979812699194594683109007116797126082132396137138140703144648150273165494166181174005175371179922173619164177126952
1.181.401.381.381.421.611.821.601.682.082.002.012.002.362.322.192.172.262.192.252.372.562.713.152.563.59
14,332.2114,748.7114,756.8616,097.3823,133.6130,232.0942,784.2424,902.7535,707.3711,698.041,687.961,897.861,929.4849,588.3149,632.7836,277.6736,288.6442,844.0826,370.3325,661.9714,813.5724,403.4241,803.0269,348.6146,967.6464,664.57
15.0814.8314.8315.0818.4722.2828.9719.1523.175.940.770.810.7715.8715.5911.7611.5412.617.286.853.595.448.5612.6911.1714.18
80,738.0184,696.6384,749.4590,661.79102,136.92105,472.86104,908.76105,139.23118,410.45185,077.95216,133.26232,373.14250,079.46262,950.31268,765.40272,116.52278,197.25296,849.68335,698.53349,014.09398,280.26423,998.96446,359.56477,208.00373,664.67391,457.54
84.9285.1785.1784.9281.5377.7271.0380.8576.8394.0699.2399.1999.2384.1384.4188.2488.4687.3992.7293.1596.4194.5691.4487.3188.8385.82
18.1336.0537.1145.8136.9921.7526.2826.0750.1935.7625.4430.9230.9227.4427.4427.4627.4443.4343.4340.0649.92222.05259.69335.66161.35--
0.020.040.040.040.030.020.020.020.030.020.010.010.010.010.010.010.010.010.010.010.010.050.050.060.04--

主编信箱 热线:010-82558163-9016 意见反馈

About NetEase - 公司简介 - 联系方法 - 招聘信息 - 客户服务 - 隐私政策 - 网络营销 - 网站地图

网易公司版权所有

©1997-2014