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国联安鑫富混合C详情
国联安鑫富混合C(002187)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199,305.51100.00%
2债券179,354.7489.99%
3非国债债券146,302.0573.40%
4企业债券64,421.8732.32%
5国债及货币资金37,419.2418.77%
6金融债券31,658.4215.88%
7政策性金融债券31,658.4215.88%
8短期融资券27,771.6613.93%
9中期票据22,320.8511.20%
10股票8,686.994.36%
11银行存款4,366.552.19%
12买入返售证券4,000.002.01%
13其它资产3,120.711.57%
14应收利息3,105.871.56%
15可转换债券129.260.06%
16交易保证金8.530.00%
17应收证券清算款6.310.00%
18应收申购款0.010.00%
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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206,489.97100.00%
2债券167,741.5581.23%
3非国债债券163,841.9479.34%
4企业债券64,386.8731.18%
5短期融资券48,008.1723.25%
6金融债券29,663.8014.37%
7政策性金融债券29,663.8014.37%
8中期票据21,694.5010.51%
9买入返售证券20,000.059.69%
10国债及货币资金11,888.655.75%
11银行存款7,989.043.87%
12股票7,499.853.63%
13其它资产3,485.501.69%
14应收利息3,452.851.67%
15可转换债券88.590.04%
16应收证券清算款24.100.01%
17交易保证金8.280.00%
18应收申购款0.270.00%
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债券231,872.60108.84%
2非国债债券227,970.65107.00%
3资产净值213,046.08100.00%
4短期融资券88,557.1041.57%
5企业债券83,421.9439.16%
6金融债券37,027.4717.38%
7政策性金融债券37,027.4717.38%
8中期票据18,788.108.82%
9国债及货币资金7,965.153.73%
10其它资产5,221.042.45%
11应收利息5,200.712.44%
12股票5,137.962.41%
13银行存款4,063.201.91%
14可转换债券176.030.08%
15交易保证金20.280.01%
16应收申购款0.040.00%

 
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