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持有 洛阳钼业(603993)的基金
  报表日期:2017-12-31
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(%)
1001125博时互联网主题灵活配置混合12,853.302,093.377.02%
2163503天治核心3,672.90990.005.65%
3161015富国天盈分级债券4,143.17335.213.55%
4150150信诚有色指数分级A731.69197.223.26%
5150151信诚有色指数分级B731.69197.223.26%
6165520信诚中证800有色指数分级731.69197.223.26%
7000358大成景祥分级债券B1,867.79151.121.28%
8000357大成景祥分级债券A1,867.79151.121.28%
9000440大成景祥分级债券1,867.79151.121.28%
10160602鹏华普天债券A371.00100.000.50%
11160608鹏华普天债券B371.00100.000.50%
12510173国联安上证大宗商品ETF341.6292.082.38%
13002180中银移动互联灵活配置混合592.7186.154.23%
14002373大成景源灵活配置混合C550.4080.000.87%
15001438易方达瑞享灵活配置混合E550.4080.002.96%
16001437易方达瑞享灵活配置混合I550.4080.002.96%
17001295大成景源灵活配置混合550.4080.000.87%
18000422华泰柏瑞丰汇债券C792.9375.952.75%
19000421华泰柏瑞丰汇债券A792.9375.952.75%
20090002大成债券A259.7070.000.30%
21092002大成债券C259.7070.000.30%
22001933华商新兴活力灵活配置混合344.0050.003.31%
23161505银河通利分级债券580.4346.964.87%
24161506银河通利A580.4346.964.87%
25040019华安稳固收益563.1045.566.58%
26000782国投岁增利一年定开债券C541.9843.850.57%
27000781国投岁增利一年定开债券A541.9843.850.57%
28150333建信有色金属分级A149.0740.182.44%
29150334建信有色金属分级B149.0740.182.44%
30165316建信有色金属分级149.0740.182.44%
31070005嘉实债券462.6437.430.89%
32202102南方多利C313.2030.000.12%
33202103南方多利A313.2030.000.12%
34002510申万菱信中证500指数增强137.6020.001.25%
35002370大成景秀灵活配置混合C137.6020.002.37%
36001159大成景秀灵活配置混合137.6020.002.37%
37166401浦银增利分级债券211.1617.081.96%
38165705诺德双翼分级债券197.7616.001.11%
39395001中海稳健收益53.7015.000.28%
40001364大成景润灵活配置混合68.8010.003.74%
41160617鹏华丰润22.266.000.00%
42000143鹏华双债加利债券11.011.600.16%

 
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