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持有 南山铝业(600219)的基金
  报表日期:2016-9-30
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(%)
1160221国泰国证有色金属行业指数6,362.172,209.093.14%
2150197国泰有色金属分级B6,362.172,209.093.14%
3150196国泰有色金属分级A6,362.172,209.093.14%
4160620鹏华资源分级1,042.57362.002.45%
5150101鹏华资源分级B1,042.57362.002.45%
6150100鹏华资源分级A1,042.57362.002.45%
7070026嘉实信用债券C3,795.13350.754.02%
8070025嘉实信用债券A3,795.13350.754.02%
9165520信诚中证800有色指数分级725.17251.803.23%
10150151信诚有色指数分级B725.17251.803.23%
11150150信诚有色指数分级A725.17251.803.23%
12002910易方达供给改革混合818.47222.413.40%
13002862金信量化精选混合发起式706.60192.013.44%
14519060海富通纯债债券C1,383.01127.828.52%
15519061海富通纯债债券A1,383.01127.828.52%
16510173国联安上证大宗商品ETF360.97125.342.51%
17050019博时转债A252.0087.500.90%
18050119博时转债C252.0087.500.90%
19001622新华鑫锐混合281.9276.611.56%
20512340南方中证500原材料指数199.6969.342.53%
21002316创金合信中证500增强C247.6667.301.28%
22002311创金合信中证500增强A247.6667.301.28%
23519051海富通一年定开债券699.6464.667.61%
24690008民生中证资源指数181.8263.132.58%
25160130南方永利169.8558.981.07%
26160132南方永利C169.8558.981.07%
27150333建信有色金属分级A150.6852.322.47%
28150334建信有色金属分级B150.6852.322.47%
29165316建信有色金属分级150.6852.322.47%
30288102中信稳定双利504.5050.000.71%
31150039中欧鼎利分级债券A95.4133.130.23%
32166010中欧鼎利分级95.4133.130.23%
33150040中欧鼎利分级债券B95.4133.130.23%
34000254长城增强收益定开债券A303.4630.080.25%
35000255长城增强收益定开债券C303.4630.080.25%
36163112申万菱信定期开放债券260.3324.062.21%
37070005嘉实债券171.6717.010.33%
38166008中欧增强回报100.9010.000.98%
39003015中金沪深30024.026.531.79%
40050024博时上证自然资源ETF联接1.150.400.03%
41460220华泰柏瑞中小盘ETF联接1.330.180.12%

 
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