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融通月月添利定开详情
融通月月添利定开债券A(000437)资产配置
进入融通月月添利定开债券A基金主页
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债券143,353.67113.31%
2资产净值126,517.44100.00%
3非国债债券125,293.8399.03%
4企业债券92,578.9373.17%
5中期票据32,714.9025.86%
6其它资产27,900.2222.05%
7应收申购款24,964.9619.73%
8国债及货币资金22,530.4117.80%
9银行存款4,470.573.53%
10应收利息2,934.172.32%
11资产支持证券2.800.00%
12交易保证金0.690.00%
13其他应收款0.400.00%
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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债券113,902.07108.60%
2非国债债券113,902.07108.59%
3资产净值104,886.15100.00%
4企业债券85,976.7581.97%
5中期票据27,434.9026.16%
6其它资产4,001.143.81%
7应收利息3,255.163.10%
8银行存款2,597.632.48%
9国债及货币资金2,597.632.47%
10资产支持证券1,982.801.89%
11应收证券清算款745.930.71%
12可转换债券490.420.47%
13交易保证金0.050.00%
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164,333.20154.70%
2非国债债券158,096.50148.83%
3资产净值106,226.10100.00%
4企业债券81,134.8076.38%
5中期票据54,039.3050.87%
6金融债券22,922.4021.58%
7政策性金融债券22,922.4021.58%
8国债及货币资金10,181.179.58%
9银行存款3,944.473.71%
10其它资产3,442.843.24%
11应收利息3,442.813.24%
12资产支持证券2,604.302.45%
13买入返售证券500.010.47%
14交易保证金0.030.00%
报表日期:2015-12-31
序号 资产名称 资产金额(万元) 占净值比例(%) 比例变动
1债券151,498.70143.03%
2非国债债券148,438.40140.13%
3资产净值105,922.98100.00%
4企业债券80,388.0075.89%
5中期票据53,388.4050.40%
6金融债券14,662.0013.84%
7政策性金融债券14,662.0013.84%
8国债及货币资金6,601.196.23%
9银行存款3,540.893.34%
10资产支持证券2,597.502.45%
11其它资产2,183.642.06%
12应收利息2,097.021.98%
13应收证券清算款85.600.08%
14交易保证金1.020.00%

 
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