中国人寿,持有基金明细(2006年底数据)
2006年持有的基金
基金名称持有份额(份)持有比例(%)报告期
基金科瑞294,495,151.009.82002006-12-31
基金安顺290,866,696.009.70002006-12-31
基金丰和286,006,097.009.53002006-12-31
基金普丰280,077,003.009.34002006-12-31
基金天元279,938,944.009.33002006-12-31
基金同盛278,897,003.009.30002006-12-31
基金兴和277,139,187.009.24002006-12-31
基金裕隆268,978,853.008.97002006-12-31
基金景福259,328,782.008.64002006-12-31
基金银丰249,273,626.008.31002006-12-31
基金天华245,461,279.009.82002006-12-31
基金久嘉192,335,099.009.62002006-12-31
基金裕阳191,669,639.009.58002006-12-31
基金兴华190,926,874.009.55002006-12-31
基金同益188,847,191.009.44002006-12-31
基金安信187,468,353.009.37002006-12-31
基金泰和187,365,615.009.37002006-12-31
基金汉兴186,653,783.006.22002006-12-31
基金汉盛186,181,047.009.31002006-12-31
基金开元183,162,835.009.16002006-12-31
基金景宏179,885,435.008.99002006-12-31
基金通乾178,103,153.008.91002006-12-31
基金普惠165,675,428.008.28002006-12-31
基金鸿阳164,268,039.008.21002006-12-31
博时第三产业成长145,765,998.009.72002006-12-31
大成创新成长98,393,375.009.84002006-12-31
基金景阳98,216,717.009.82002006-12-31
富国天惠精选成长84,832,743.7130.31002006-12-31
基金科翔78,418,939.009.80002006-12-31
基金科讯78,231,769.009.78002006-12-31
基金融鑫77,879,909.009.73002006-12-31
基金科汇77,659,689.009.71002006-12-31
华安中小盘成长49,529,193.009.91002006-12-31
基金普润49,500,977.009.90002006-12-31
南方成份精选49,419,368.009.88002006-12-31
基金普华49,387,169.009.88002006-12-31
融通领先成长49,345,965.009.87002006-12-31
基金隆元49,261,792.009.85002006-12-31
基金鸿飞49,216,213.009.84002006-12-31
基金裕华49,203,240.009.84002006-12-31
长城久富核心成长49,153,625.009.83002006-12-31
华夏蓝筹核心49,005,910.009.80002006-12-31
基金裕泽48,969,426.009.79002006-12-31
基金同德48,793,726.009.76002006-12-31
大成积极成长48,588,976.009.72002006-12-31
基金安久48,508,014.009.70002006-12-31
长盛同智优势成长48,400,557.009.68002006-12-31
基金兴安48,334,446.009.67002006-12-31
基金汉鼎48,332,547.009.67002006-12-31
华夏平稳增长48,290,497.009.66002006-12-31
华夏平稳增长48,290,497.009.66002006-12-31
华安上证180ETF19,411,406.0023.38002006-12-31
广发小盘成长5,000,000.001.47002006-12-31
2007年持有的基金
基金名称持有份额(份)持有比例(%)报告期
长城久富核心成长112,111,947.007.26002007-06-18
华夏蓝筹核心104,108,426.008.93002007-06-18
长盛同智优势成长92,456,293.007.10002007-06-18
友邦华泰红利ETF65,528,946.004.50002007-06-18