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持有 中信国安(000839)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(%)
1160629鹏华传媒分级4,884.18436.484.31%
2150204鹏华传媒分级B4,884.18436.484.31%
3150203鹏华传媒分级A4,884.18436.484.31%
4320022诺安中小板等权重ETF联接2,797.50250.002.92%
5164905交银国证新能源指数分级2,299.30205.481.89%
6150218交银国证新能源指数分级B2,299.30205.481.89%
7150217交银国证新能源指数分级A2,299.30205.481.89%
8164818工银中证传媒指数分级1,590.54142.144.23%
9150248工银中证传媒指数分级B1,590.54142.144.23%
10150247工银中证传媒指数分级A1,590.54142.144.23%
11512220景顺长城中证800食品饮料940.9784.091.70%
12160225国泰国证新能源汽车指数分级922.3282.425.80%
13160224国泰深证TMT50指数分级812.1972.583.02%
14150216国泰深证TMT50分级B812.1972.583.02%
15150215国泰深证TMT50分级A812.1972.583.02%
16002982广发养老指数C507.8952.961.26%
17000968广发养老指数507.8952.961.26%
18159936广发中证全指可选消费ETF525.2646.941.23%
19150358国泰新能源汽车指数分级B921.1443.234.59%
20150357国泰新能源汽车指数分级A921.1443.234.59%
21159909招商深证TMT50ETF246.1121.993.10%
22150305国寿安保中证养老分级A223.8620.011.73%
23168001国寿安保中证养老分级223.8620.011.73%
24150306国寿安保中证养老分级B223.8620.011.73%
25150280鹏华新能源分级B212.0518.953.48%
26160640鹏华新能源分级212.0518.953.48%
27150279鹏华新能源分级A212.0518.953.48%
28585001东吴中证新兴产业175.2415.661.35%
29150327工银中证新能源指数分级A174.5115.603.50%
30150328工银中证新能源指数分级B174.5115.603.50%
31164821工银中证新能源指数分级174.5115.603.50%
32001612天弘中证休闲娱乐指数C113.5511.843.23%
33001611天弘中证休闲娱乐指数A113.5511.843.23%
34217019招商深证TMT50联接51.474.600.65%
35290010泰信中证200指数46.724.180.88%
36150108长盛同辉分级A39.863.561.27%
37160809长盛同辉100等权分级39.863.561.27%
38150109长盛同辉分级B39.863.561.27%
39159924景顺长城沪深300ETF33.292.980.48%
40150064长盛同瑞A19.971.790.89%
41150065长盛同瑞B19.971.790.89%
42160808长盛同瑞200分级19.971.790.89%
43163821中银沪深300等权重15.831.420.44%
44001465国金通用鑫运灵活配置4.880.343.46%

 
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