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揭秘四季度基金重仓动向_财经_证券_股票
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发布日期:[08-01-25 08:49:13] 点击次数:[]
   截至2008年1月22日,58家基金公司旗下341只基金已经全部披露完2007年四季度季报。四季度开放式基金份额稳中有升,期末总份额为20127.68亿份,总体小幅增加8.63%,其中除了混合型和保本型基金遭到小幅赎回,其他类型基金均呈现净申购,货币型基金的净申购比例最高,达到80.90%,债券型基金的净申购比例也达到29.79%。
  从资产配置来看,238只积极投资可比偏股型基金股票仓位微幅下降,由三季度的80.10%下降到四季度的79.63%,与此同时持股集中度小幅上升,由三季度的44.36%上升到四季度的45.22%。其中封闭式基金的股票仓位下降比较明显,由76.97%下降到74.70%;股票型基金的股票仓位由82.79%下降到81.77%;但混合型基金的股票仓位呈微幅上升,由76.46%上升到77.16%。
  从行业配置来看,250只积极投资偏股型基金持有的前五大行业分别为金融保险业、金属非金属、机械设备仪表、采掘业和房地产。从238只可比数据来看,与三季度相比,基金增持的前五大行业分别为食品饮料、石油化学塑胶塑料、信息技术业、金融保险业和医药生物制品,其中食品饮料行业的增持比例为1.08%,其他行业增持比例均未超过1%,变化较小;减持的前五大行业分别为金属非金属、房地产业、电力煤气及水的生产供应业、批发零售贸易和造纸、印刷,其中金属非金属的减持比例达到2.7%,其他行业减持比例均未超过1%。
  341只基金四季度实现利润-721.02亿元,从类型来看,只有保本型、债券型和货币型基金实现了正利润,封闭式、混合型以及开放式股票型利润为负。341只基金四季度实现收益为1627.01亿元,其中封闭式基金的实现收益为197.41亿元,封闭式基金年度红包进一步增厚。全部基金股票投资市值23971.57亿元,占A股市场流通市值比例26.47%,与上季度基金持有股票市值占A股市场流通市值比例28%相比小幅下降。
  基金去年第四季度末前20大重仓股

代码名称四季度总市值(元)四季度占流通股比例(%)四季度持股数(股)四季度持有该股的基金个数行业类型涨幅(%)
600036招商银行107,479,986,37057.562,712,086,459188金融3.55
600000浦发银行59,205,159,81631.691,121,309,845112金融0.57
600030中信证券54,332,270,65921.8608,628,550109金融-7.69
000002万科A48,970,892,04128.861,698,019,835107房地产-房地产开发-4.50
600519贵州茅台39,257,769,42041.84170,685,95484消费品及服务-食品52.85
601318中国平安34,851,273,68040.8328,475,71876金融-21.38
002024苏宁电器26,926,401,31538.39374,758,54358消费品及服务-商业4.71
600050中国联通24,674,484,30121.772,042,589,76045信息技术-通信29.34
600005武钢股份22,647,760,84136.671,149,632,53051原材料-钢铁11.49
601398工商银行22,237,324,25922.672,735,218,23647金融23.00
000001深发展A22,216,749,28632.76575,563,45348金融-3.45
600019宝钢股份21,427,936,17421.91,228,666,06542原材料-钢铁-4.12
601006大秦铁路14,833,974,85022.25578,999,79946交通运输-铁路运输0.59
600028中国石化14,612,477,9797.34623,665,30036原材料-石化23.71
601166兴业银行14,113,841,82238.82272,152,75430金融-8.08
600900长江电力12,820,976,95513.4657,823,34336公用事业-电力0.88
601939建设银行11,968,049,76513.51,215,030,43320金融5.35
000983西山煤电11,918,827,56133.17187,786,79027能源-煤炭-11.22
600016民生银行11,440,360,6366.38771,954,15923金融-6.26
600029南方航空11,276,520,26940.36403,597,71921交通运输-民航业16.71
  统计口径:公布四季报的250只积极投资偏股型基金,包括封闭式基金,开放式股票型和混合型基金,不含债券型、货币型、保本型和指数型基金。
  基金去年第四季度新增前20大股票

代码名称四季度总市值(元)四季度占流通股比例(%)四季度持股数(股)四季度持有该股的基金个数行业类型涨幅(%)
601390中国中铁7,529,294,267.920.02655,291,05914投资品-建筑业139.38
601088中国神华6,256,121,680.57.5795,353,17325能源-煤炭77.37
600596新安股份1,398,642,272.210.5920,834,8324原材料-化工53.19
600517置信电气958,044,803.411.3516,950,5453投资品-电气设备12.21
600837海通证券836,533,037.213.0315,231,8473金融9.75
000629攀钢钢钒806,378,887.43.1659,511,3571原材料-钢铁22.51
601988中国银行731,062,417.42.12110,599,4582金融11.47
601601中国太保676,804,743.61.9613,686,6481金融64.83
600361华联综超630,300,938.97.8919,370,0357消费品及服务-商业11.55
600635大众公用626,794,472.93.7636,505,2112综合-7.14
600122宏图高科621,200,597.19.3723,092,9593信息技术-计算机硬件69.72
600779水井坊525,734,817.56.3518,649,6922消费品及服务-食品32.47
600550天威保变502,635,274.72.468,785,7941投资品-电气设备34.26
000869张裕A479,838,760.86.755,605,5932消费品及服务-食品27.10
600415小商品城465,881,995.47.165,380,3213消费品及服务-商业-0.41
000513丽珠集团374,497,945.66.118,749,9522医药25.85
600649原水股份366,000,210.21.6318,199,9111公用事业-供水供气20.42
000538云南白药346,800,000.04.5310,000,0001医药0.23
600588用友软件324,771,544.94.676,359,3412信息技术-软件及服务7.22
601857中国石油239,392,008.00.267,732,3003能源-石油85.39
  基金去年第四季度剔除前20大股票

代码名称三季度总市值(元) 三季度占流通股比例(%)三季度持股数(股)四季度三季度持有该股的基金个数行业类型涨幅(%)
000039中集集团2,400,268,635.07.6971,649,8106投资品-机械-22.75
600886国投电力1,013,300,061.27.9454,100,3774公用事业-电力-11.11
600808马钢股份981,204,927.48.1973,006,3193原材料-钢铁-25.30
000927一汽夏利897,767,458.516.6854,410,1492消费品及服务-汽车及配件-12.12
600362江西铜业829,678,363.74.9814,064,7293原材料-有色-13.61
600971恒源煤电761,795,920.61613,404,8202能源-煤炭-10.91
600350山东高速616,796,985.88.3555,667,5982交通运输-公路-9.84
000807云铝股份574,136,247.04.3918,634,7372原材料-有色-20.42
000617石油济柴460,551,095.58.418,061,4581投资品-机械-32.85
000562宏源证券458,544,980.12.1810,796,9151金融-7.70
600472包头铝业406,657,925.82.946,322,4182原材料-有色-19.02
000537广宇发展373,031,408.05.2118,916,4001房地产-房地产开发-31.54
600643S爱建334,396,800.03.9712,240,0001金融3.92
000718苏宁环球297,633,829.23.626,983,4311房地产-房地产开发-33.13
600352浙江龙盛284,482,236.52.6514,778,2983原材料-化工-9.61
600863内蒙华电283,233,274.35.6932,593,0121公用事业-电力-6.90
000926福星股份280,051,200.07.0215,840,0001房地产-房地产开发-14.71
600258首旅股份267,865,150.46.375,800,4582消费品及服务-酒店旅游5.18
600075新疆天业263,278,332.84.7211,753,4974综合-15.76
000031中粮地产244,832,999.01.537,519,4411房地产-房地产开发-21.56
  基金去年第四季度增持前5大行业

食品、饮料120,389,000,0004.7295,575,085,8973.641.0814.08
石油、化学、塑胶、塑料110,199,000,0004.3295,765,585,1503.650.675.98
信息技术业73,152,487,2702.8757,727,444,5642.20.6711.57
金融、保险业446,538,000,00017.5445,851,000,00016.980.52-2.20
医药、生物制品59,626,780,8972.3451,419,137,6991.960.384.22
行业集中度(前三名)903,754,449,15844.47986,839,778,96246.93-2.46 
  基金去年第四季度减持前5大行业
行业名称2007年四季报市值(元)2007年四季报占净值比例(%)2007年三季报市值(元)2007年三季报占净值比例(%)增减(%)2007年四季度比例涨幅(%)
造纸、印刷16,112,347,7260.6319,668,141,2580.75-0.12-7.51
批发和零售贸易109,378,000,0004.29115,786,000,0004.41-0.12-1.72
电力、煤气、及水的生产和供应业48,073,679,3961.8853,543,469,5392.04-0.16-2.43
房地产业155,108,000,0006.08181,445,000,0006.91-0.83-11.57
金属、非金属241,947,000,0009.48319,742,000,00012.18-2.7-10.39
行业集中度(前三名)903,754,000,00044.47986,840,000,00046.93-2.46 
  统计口径:所有已经公布四季报的股票型开放式基金、混合型开放式基金和股票型封闭式基金,不包括指数基金、债券基金、保本基金和货币基金,不包括新基金为可比数据。
  基金去年第四季度增持前20大股票

代码名称四季度总市值(元)四季度占流通股四季度持股数(股)四季度持有该股的基金个数三季度总市值(元)三季度占流通股比例(%)三季度持股数(股)三季度持有该股的基金个数增持市值比例(%)行业类型四季度涨幅(%)
600519贵州茅台38,689,439,650.0041.24168,214,9558218,301,286,313.7229.82121,627,4764820,388,153,336.28消费品及服务-食品52.85
600036招商银行102,553,830,422.1354.932,587,782,75117989,786,551,777.3849.82,346,134,09415512,767,278,644.75金融3.55
601398工商银行20,835,127,801.1121.242,562,746,347439,599,464,940.8515.821,452,263,9851911,235,662,860.26金融23.00
600000浦发银行56,707,807,728.0030.351,074,011,51010750,418,824,557.5029.45960,358,563996,288,983,170.50金融0.57
600050中国联通19,706,938,800.4817.391,631,369,1064114,417,116,561.9818.551,543,588,497255,289,822,238.50信息技术-通信29.34
000792盐湖钾肥10,382,131,321.3234.12133,309,339215,114,970,576.7222.5588,098,012105,267,160,744.60原材料-化工34.14
000063中兴通讯6,482,787,598.6520.9101,786,585221,984,480,350.687.3635,827,41284,498,307,247.97信息技术-通信14.98
600005武钢股份20,975,982,553.6033.961,064,770,6884716,722,769,451.9733.37946,393,291414,253,213,101.63原材料-钢铁11.49
600029南方航空11,276,520,268.8640.36403,597,719217,668,878,457.2432.03320,337,446143,607,641,811.62交通运输-民航业16.71
601328交通银行4,270,811,621.5612.24273,419,43881,456,694,425.205.04112,486,05622,814,117,196.36金融20.62
002024苏宁电器26,797,071,314.5538.21372,958,5435724,192,093,056.4636.12352,551,633522,604,978,258.09消费品及服务-商业4.71
000157中联重科3,853,071,422.1016.0867,068,258151,271,715,294.686.9829,127,69852,581,356,127.42投资品-机械31.58
601939建设银行8,373,020,011.059.45850,052,793165,802,540,370.559.85620,592,553182,570,479,640.50金融5.35
600100同方股份4,528,281,825.0326.04100,148,703131,999,112,332.8014.8857,242,96452,529,169,492.23信息技术-计算机硬件30.71
600031三一重工4,114,883,982.5616.673,337,114131,624,164,292.207.5233,210,56442,490,719,690.36投资品-机械11.73
600583海油工程2,892,920,518.3211.6855,547,62910856,521,423.503.717,573,27552,036,399,094.82投资品-建筑业6.85
600028中国石化11,699,191,052.675.88499,325,269329,821,431,946.2214.47518,555,013331,877,759,106.45原材料-石化23.71
600089特变电工4,110,886,556.9022.07127,153,930102,331,048,543.4016.6896,086,09061,779,838,013.50投资品-电气设备33.26
600271航天信息2,640,616,651.9220.8440,543,7849871,794,411.849.4318,345,84251,768,822,240.08信息技术-软件及服务37.06
600009上海机场7,703,648,122.2420.59205,321,112195,952,407,362.6015.15151,076,329151,751,240,759.64交通运输-民航业-4.77
  统计口径:公布四季报和三季报的238只积极投资偏股型基金,包括封闭式基金,开放式股票型和混合型基金,不含债券型、货币型、保本型和指数型基金。
  基金去年第四季度减持前20大股票

代码名称四季度总市值(元)四季度占流通股四季度持股数(股)四季度持有该股的基金个数三季度总市值(元)三季度占流通股比例(%)三季度持股数(股)三季度持有该股的基金个数增持市值比例(%)行业类型四季度涨幅(%)
601318中国平安32,731,040,563.1038.32308,492,3717153,322,587,431.3549.08395,128,473110-20,591,546,868.25金融-21.38
600030中信证券48,746,834,404.0419.56546,060,65210465,679,023,705.2724.33679,133,737129-16,932,189,301.23金融-7.69
000878云南铜业3,026,067,360.7115.9358,153,391811,666,875,602.0636.66133,781,17722-8,640,808,241.35原材料-有色-40.92
000825太钢不锈2,247,043,023.478.990,716,31159,117,345,804.7929.23297,855,13915-6,870,302,781.32原材料-钢铁-19.08
600739辽宁成大2,912,178,746.168.0158,808,13358,221,135,189.9619.87145,868,26113-5,308,956,443.80投资品-贸易-12.14
600104上海汽车2,479,100,098.645.7394,298,216117,616,701,568.7017.41257,843,65521-5,137,601,470.06消费品及服务-汽车及配件-11.00
000060中金岭南467,508,800.002.1110,520,00045,378,802,944.0019.4484,043,79617-4,911,294,144.00原材料-有色-30.56
000960锡业股份4,243,523,304.6024.9864,237,410109,140,970,500.0035.5591,409,70518-4,897,447,195.40原材料-有色-33.94
000024招商地产3,181,052,385.6016.9453,733,993117,906,879,952.0031.56100,087,08822-4,725,827,566.40房地产-房地产开发-25.06
601919中国远洋9,733,108,460.0418.8234,832,5942913,847,667,611.5224.61307,316,19242-4,114,559,151.48交通运输-航运业-5.33
600019宝钢股份19,354,830,433.1219.781,109,795,3233923,156,037,729.9922.691,273,009,22138-3,801,207,296.87原材料-钢铁-4.12
600150中国船舶10,755,068,583.8831.9543,065,0623214,491,123,689.5739.2452,889,24336-3,736,055,105.69投资品-机械-8.85
000709唐钢股份8,452,546,498.8430.6338,372,5581711,898,126,178.3241.04453,780,55621-3,445,579,679.48原材料-钢铁-4.73
601628中国人寿10,036,812,532.4219.25173,227,6931913,272,389,385.4723.63212,664,46733-3,235,576,853.05金融-7.16
600383金地集团8,308,641,539.6035.75214,157,2021811,101,996,481.3942.2237,476,81026-2,793,354,941.79房地产-房地产开发-23.99
600585海螺水泥2,061,803,634.0010.7728,313,70074,838,056,692.4822.0457,926,92413-2,776,253,058.48投资品-建材-12.81
000933神火股份1,810,998,567.8411.1134,613,88764,454,798,147.7221.7267,691,81214-2,643,799,579.88能源-煤炭-20.50
600456宝钛股份651,912,654.125.399,640,82633,242,625,386.0422.3639,992,91310-2,590,712,731.92原材料-有色-16.60
000898鞍钢股份8,081,834,868.4220.9267,787,7692210,537,893,648.0027.8292,719,26830-2,456,058,779.58原材料-钢铁-6.54
000001深发展A21,389,451,929.4031.54554,130,8794623,501,303,749.8637.92587,826,50753-2,111,851,820.46金融-3.45
  统计口径:公布四季报和三季报的238只积极投资偏股型基金,包括封闭式基金,开放式股票型和混合型基金,不含债券型、货币型、保本型和指数型基金。
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