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新华信用增益债券详情
新华信用增益债券A(519162)资产配置
进入新华信用增益债券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资产净值60,641.94100.00%
2债券51,742.2085.32%
3非国债债券51,543.2684.99%
4短期融资券38,682.9063.79%
5股票5,344.448.81%
6企业债券4,535.327.48%
7中期票据4,042.006.67%
8政策性金融债券2,203.243.63%
9金融债券2,203.243.63%
10其他债券1,999.583.30%
11买入返售证券1,760.032.90%
12其它资产1,221.172.01%
13应收利息1,210.262.00%
14国债及货币资金910.881.50%
15银行存款711.941.17%
16可转换债券80.210.13%
17应收申购款7.890.01%
18交易保证金3.020.01%
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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47,888.81100.00%
2债券40,738.2885.07%
3非国债债券40,738.2885.06%
4短期融资券23,111.8048.26%
5股票9,567.8719.98%
6中期票据9,076.0018.95%
7企业债券4,492.809.38%
8金融债券2,001.804.18%
9其他债券1,999.584.18%
10政策性金融债券2,001.804.18%
11其它资产1,235.232.58%
12应收利息1,137.682.38%
13银行存款356.460.74%
14国债及货币资金356.460.74%
15买入返售证券270.000.56%
16可转换债券56.300.12%
17应收申购款54.020.11%
18应收证券清算款41.800.09%
19交易保证金1.740.00%
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37,151.42100.00%
2非国债债券28,946.2577.91%
3债券28,946.2577.91%
4短期融资券15,617.9042.04%
5股票7,451.8420.06%
6企业债券5,240.6214.11%
7中期票据4,029.5010.85%
8金融债券2,001.205.39%
9政策性金融债券2,001.205.39%
10其他债券1,999.585.38%
11其它资产862.852.32%
12应收利息860.072.32%
13银行存款572.681.54%
14国债及货币资金572.681.54%
15可转换债券57.440.15%
16应收申购款2.600.01%
17交易保证金0.180.00%
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35,250.00100.00%
2债券28,460.7480.74%
3非国债债券28,460.7480.73%
4短期融资券18,135.7051.45%
5股票6,748.6019.15%
6企业债券6,270.3917.79%
7金融债券2,001.205.68%
8政策性金融债券2,001.205.68%
9其他债券1,999.585.67%
10其它资产649.101.84%
11应收利息614.861.74%
12银行存款590.071.67%
13国债及货币资金590.071.67%
14可转换债券53.870.15%
15应收证券清算款30.010.09%
16买入返售证券20.000.06%
17交易保证金3.530.01%
18应收申购款0.700.00%

 
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