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招商债券A详情
招商债券A(217003)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216,736.57114.19%
2非国债债券209,229.07110.23%
3资产净值189,804.27100.00%
4政策性金融债券88,098.0046.42%
5金融债券88,098.0046.42%
6企业债券73,030.9738.48%
7中期票据40,076.5021.11%
8其它资产11,644.946.14%
9国债及货币资金9,577.445.04%
10短期融资券8,023.604.23%
11应收申购款5,322.932.80%
12应收利息4,319.692.28%
13银行存款2,069.941.09%
14应收证券清算款2,000.001.05%
15交易保证金2.320.00%
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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243,387.41105.40%
2非国债债券239,389.81103.66%
3资产净值230,925.55100.00%
4金融债券105,676.8045.76%
5政策性金融债券105,676.8045.76%
6企业债券73,241.8131.72%
7短期融资券30,626.2013.26%
8中期票据29,845.0012.92%
9国债及货币资金6,186.382.67%
10其它资产4,025.971.74%
11应收利息3,925.251.70%
12银行存款2,188.780.95%
13应收申购款99.040.04%
14交易保证金1.680.00%
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371,238.44100.00%
2非国债债券353,805.2495.30%
3债券353,805.2495.30%
4金融债券170,769.3046.00%
5政策性金融债券170,769.3046.00%
6企业债券75,855.6420.43%
7短期融资券65,849.2017.74%
8中期票据41,294.8011.12%
9其它资产8,522.632.30%
10买入返售证券8,000.002.15%
11应收利息7,386.341.99%
12银行存款3,454.580.93%
13国债及货币资金3,454.580.93%
14应收申购款1,134.330.31%
15可转换债券36.300.01%
16交易保证金1.960.00%
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413,905.83100.00%
2债券391,505.6794.59%
3非国债债券391,505.6794.58%
4政策性金融债券201,044.8048.57%
5金融债券201,044.8048.57%
6企业债券80,538.5819.46%
7短期融资券68,353.7016.51%
8中期票据41,302.609.98%
9其它资产39,337.149.50%
10应收证券清算款29,201.997.06%
11应收利息9,340.442.26%
12银行存款2,941.230.71%
13国债及货币资金2,941.230.71%
14应收申购款791.510.19%
15可转换债券266.000.06%
16交易保证金3.190.00%

 
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