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景顺长城领先回报详情
景顺长城领先回报混合C(001379)资产配置
进入景顺长城领先回报混合C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资产净值51,687.80100.00%
2债券46,862.9090.67%
3非国债债券45,861.9088.72%
4短期融资券25,063.5048.49%
5中期票据12,559.3024.30%
6企业债券6,239.1012.07%
7股票5,182.2310.03%
8金融债券2,000.003.87%
9政策性金融债券2,000.003.87%
10国债及货币资金1,297.102.50%
11其它资产735.831.42%
12应收利息673.571.30%
13银行存款296.100.57%
14应收证券清算款52.930.10%
15交易保证金7.250.01%
16应收申购款2.090.00%
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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45,653.01100.00%
2债券23,093.2050.58%
3非国债债券22,093.8048.39%
4买入返售证券16,940.0937.11%
5短期融资券12,002.2026.29%
6中期票据5,043.4011.05%
7股票4,590.7910.06%
8企业债券3,051.606.68%
9国债及货币资金2,930.176.41%
10金融债券1,996.604.37%
11政策性金融债券1,996.604.37%
12银行存款1,930.774.23%
13其它资产298.420.65%
14应收利息274.740.60%
15应收申购款19.680.04%
16交易保证金4.000.01%
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241,998.87100.00%
2非国债债券216,479.0589.45%
3债券216,479.0589.45%
4短期融资券143,426.4059.27%
5企业债券32,096.1013.26%
6中期票据25,309.7010.46%
7买入返售证券18,528.927.66%
8金融债券15,011.006.20%
9政策性金融债券15,011.006.20%
10其它资产3,414.271.41%
11应收利息3,402.371.41%
12股票3,350.751.38%
13可转换债券635.850.26%
14银行存款487.080.20%
15国债及货币资金487.080.20%
16交易保证金10.670.00%
17应收申购款1.220.00%
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256,262.52100.00%
2非国债债券117,507.2545.85%
3债券117,507.2545.85%
4买入返售证券94,750.2936.97%
5短期融资券52,281.5020.40%
6银行存款36,457.6514.23%
7国债及货币资金36,457.6514.22%
8企业债券29,775.4011.62%
9中期票据19,954.207.79%
10金融债券15,043.505.87%
11政策性金融债券15,043.505.87%
12股票5,654.252.21%
13其它资产2,148.870.84%
14应收利息1,871.100.73%
15可转换债券452.650.18%
16应收证券清算款255.920.10%
17交易保证金19.850.01%
18应收申购款2.000.00%

 
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