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持有 国泰君安(601211)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(%)
1050002博时裕富沪深30011,069.22623.972.39%
2960022博时沪深300指数R11,069.22623.972.39%
3233015摩根士丹利华鑫量化配置4,611.87259.972.14%
4000589光大银发商机主题股票1,148.2462.005.97%
5110030易方达量化衍伸1,091.0161.503.03%
6519150新华优选消费912.0151.411.51%
7001291大摩量化多策略股票894.1548.281.34%
8001553天弘中证证券保险发起式C813.0343.904.41%
9001552天弘中证证券保险发起式A813.0343.904.41%
10002533中加心享混合C794.8842.920.38%
11002027中加心享混合794.8842.920.38%
12163827中银产业债定期开放债券723.7040.800.96%
13001285易方达新鑫灵活配置混合I546.3429.500.87%
14001286易方达新鑫灵活配置混合E546.3429.500.87%
15001422景顺长城安享回报混合A535.6028.920.70%
16001423景顺长城安享回报混合C535.6028.920.70%
17000526国泰浓益灵活配置混合277.8015.002.44%
18002059国泰浓益灵活配置混合C277.8015.002.44%
19002412华富安福保本混合185.2010.000.82%
20002715新华健康生活主题混合127.946.912.76%
21000950易方达非银行ETF联接144.706.690.10%
22001977创金合信聚财保本混合93.085.100.32%
23164812工银增利分级债券30.910.900.04%
24164813工银增利分级债券A30.910.900.04%
25150128工银增利分级债券B30.910.900.04%
26121009国投瑞银稳定增利27.470.800.02%
27166008中欧增强回报24.040.700.23%
28660009农银增强收益债券A 12.420.700.13%
29660109农银增强收益债券C 12.420.700.13%
30217011招商安心收益24.040.700.05%
31165517信诚双盈分级债券24.040.700.17%
32485107工银添利A20.600.600.01%
33485007工银添利B20.600.600.01%
34165705诺德双翼分级债券20.600.600.12%
35160617鹏华丰润7.100.400.00%
36180033银华上证50等权联接0.160.010.00%

 
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