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申万菱信安鑫回报(001201)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债券99,709.69105.11%
2非国债债券97,070.47102.32%
3资产净值94,860.63100.00%
4企业债券67,860.3571.54%
5金融债券19,091.6020.13%
6政策性金融债券19,091.6020.13%
7买入返售证券16,000.0516.87%
8短期融资券10,010.9010.55%
9股票4,530.764.78%
10国债及货币资金3,705.153.90%
11其它资产1,311.791.38%
12应收利息1,272.621.34%
13银行存款1,065.931.12%
14可转换债券107.620.11%
15交易保证金23.530.02%
16应收证券清算款15.640.02%
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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61,224.95100.00%
2非国债债券52,417.2185.61%
3债券52,417.2185.61%
4企业债券41,243.3167.36%
5买入返售证券12,000.0419.60%
6短期融资券6,037.809.86%
7金融债券5,047.508.24%
8政策性金融债券5,047.508.24%
9股票2,757.664.50%
10其它资产1,168.821.91%
11应收利息1,150.541.88%
12银行存款613.661.00%
13国债及货币资金613.661.00%
14可转换债券88.600.14%
15应收证券清算款9.230.02%
16交易保证金8.260.01%
17应收申购款0.800.00%
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资产净值180,769.07100.00%
2债券163,738.6090.58%
3非国债债券163,738.6090.57%
4企业债券87,779.9648.56%
5短期融资券46,242.5025.58%
6金融债券20,080.9011.11%
7政策性金融债券20,080.9011.11%
8买入返售证券8,060.044.46%
9中期票据7,265.104.02%
10股票3,785.872.09%
11其它资产3,181.591.76%
12应收利息3,158.161.75%
13可转换债券2,370.141.31%
14银行存款2,193.521.21%
15国债及货币资金2,193.521.21%
16交易保证金23.420.01%
17应收申购款0.010.00%
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资产净值297,082.55100.00%
2债券202,714.9468.24%
3非国债债券202,013.6867.99%
4企业债券98,986.6933.32%
5短期融资券75,313.7025.35%
6国债及货币资金31,802.7310.71%
7银行存款31,101.4710.47%
8金融债券20,106.206.77%
9中期票据7,236.902.44%
10股票6,758.512.28%
11其它资产3,028.751.02%
12应收利息2,669.250.90%
13可转换债券370.190.12%
14交易保证金75.730.03%

 
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