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招商丰享混合C详情
招商丰享混合C(001840)资产配置
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报表日期:2016-9-30
序号 资产名称 资产金额(万元) 占净值比例(%) 比例变动
1资产净值74,706.54100.00%
2债券61,364.0582.14%
3非国债债券52,656.6570.48%
4中期票据23,360.2031.27%
5金融债券21,155.8028.32%
6政策性金融债券21,155.8028.32%
7国债及货币资金10,076.5213.48%
8股票6,901.449.24%
9短期融资券6,021.608.06%
10买入返售证券5,300.007.09%
11企业债券1,996.602.67%
12银行存款1,369.121.83%
13其它资产977.781.31%
14应收利息967.421.30%
15可转换债券122.450.16%
16交易保证金9.870.01%
17应收申购款0.500.00%
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报表日期:2016-6-30
序号 资产名称 资产金额(万元) 占净值比例(%) 比例变动
1资产净值64,080.05100.00%
2债券49,983.8778.00%
3非国债债券45,970.2771.73%
4中期票据21,280.1033.21%
5金融债券18,126.4028.29%
6政策性金融债券18,126.4028.29%
7国债及货币资金7,087.3711.06%
8股票6,726.3010.50%
9短期融资券6,007.209.37%
10其它资产4,696.967.33%
11应收证券清算款4,000.956.24%
12银行存款3,073.774.80%
13应收利息688.241.07%
14企业债券433.570.68%
15可转换债券123.000.19%
16买入返售证券20.000.03%
17交易保证金7.760.01%
报表日期:2016-3-31
序号 资产名称 资产金额(万元) 占净值比例(%) 比例变动
1资产净值78,657.83100.00%
2债券63,722.8281.01%
3非国债债券59,198.9875.26%
4中期票据29,359.9037.33%
5金融债券23,343.0029.68%
6政策性金融债券23,343.0029.68%
7国债及货币资金7,802.769.91%
8短期融资券5,997.007.62%
9股票5,619.397.14%
10买入返售证券4,900.016.23%
11银行存款3,278.914.17%
12其它资产1,232.861.57%
13应收利息950.891.21%
14企业债券432.180.55%
15应收证券清算款263.250.33%
16可转换债券66.900.09%
17交易保证金18.720.02%

 
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