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持有 齐峰新材(002521)的基金
  报表日期:2015-6-30
序号 基金代码 基金简称 持仓市值(万元) 持仓数量(万股) 占基金净值比例(%)
1150188招商可转债分级债券A2,114.86151.930.64%
2150189招商可转债分级债券B2,114.86151.930.64%
3161719招商可转债分级债券2,114.86151.930.64%
4485007工银添利B1,921.52138.041.13%
5485107工银添利A1,921.52138.041.13%
6217011招商安心收益798.1757.341.51%
7000421华泰柏瑞丰汇债券A463.8552.591.61%
8000422华泰柏瑞丰汇债券C463.8552.591.61%
9150034泰达宏利聚利A432.5050.000.18%
10150035泰达宏利聚利B432.5050.000.18%
11161015富国天盈分级债券682.3549.020.58%
12160130南方永利408.1339.592.57%
13160132南方永利C408.1339.592.57%
14162215泰达宏利聚利分级389.7237.800.40%
15100018富国天利债券459.2832.990.31%
16202103南方多利A220.5025.000.08%
17202102南方多利C220.5025.000.08%
18150128工银增利分级债券B321.3923.090.41%
19164813工银增利分级债券A321.3923.090.41%
20164812工银增利分级债券321.3923.090.41%
21000426大成信用增利一年定开债券A313.8822.550.74%
22000427大成信用增利一年定开债券C313.8822.550.74%
23000890上投摩根纯债添利债券C208.8015.000.87%
24000889上投摩根纯债添利债券A208.8015.000.87%
25233005摩根士丹利华鑫强债139.2010.001.06%
26000091信诚新双盈分级债券107.5010.000.98%
27000092信诚新双盈分级债券A107.5010.000.98%
28000093信诚新双盈分级债券B107.5010.000.98%
29000405信诚月月定期支付债券78.516.867.02%
30000255长城增强收益定开债券C69.605.000.06%
31000254长城增强收益定开债券A69.605.000.06%
32161813银华信用37.582.700.54%
33370026上投摩根轮动添利B31.252.250.85%
34370025上投摩根轮动添利A31.252.250.85%
35000291鹏华丰信分级债券10.050.800.02%
36000292鹏华丰信分级债券A10.050.800.02%
37000293鹏华丰信分级债券B10.050.800.02%
38000400中融增鑫定期开放债券A0.650.060.00%
39000401中融增鑫定期开放债券C0.650.060.00%

 
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