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信诚添金分级债券详情
信诚添金分级债券季季添金A(550015)资产配置
进入信诚添金分级债券季季添金A基金主页
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96,859.63138.81%
2非国债债券90,849.90130.19%
3企业债券79,133.76113.40%
4资产净值69,780.85100.00%
5可转换债券8,714.6412.49%
6国债及货币资金7,820.6411.20%
7短期融资券3,001.504.30%
8其它资产2,166.933.11%
9应收利息2,155.433.09%
10银行存款1,810.902.60%
11股票1,608.562.31%
12交易保证金11.510.02%
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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93,653.93132.62%
2非国债债券89,648.68126.94%
3企业债券80,661.64114.22%
4资产净值70,618.51100.00%
5可转换债券8,987.0412.73%
6国债及货币资金5,367.877.60%
7其它资产2,056.122.91%
8应收利息2,041.422.89%
9股票1,730.902.45%
10银行存款1,362.631.93%
11交易保证金14.700.02%
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93,246.43130.72%
2非国债债券87,992.83123.35%
3企业债券80,507.30112.86%
4资产净值71,333.78100.00%
5国债及货币资金8,807.3012.34%
6银行存款3,553.704.98%
7可转换债券3,469.134.86%
8政策性金融债券3,003.604.21%
9金融债券3,003.604.21%
10股票2,261.973.17%
11其它资产2,097.102.94%
12应收利息2,079.702.92%
13中期票据1,012.801.42%
14交易保证金17.400.02%
报表日期:2015-9-30
序号 资产名称 资产金额(万元) 占净值比例(%) 比例变动
1债券66,096.43124.26%
2非国债债券60,932.83114.55%
3企业债券55,447.63104.24%
4资产净值53,191.59100.00%
5国债及货币资金5,747.6810.80%
6金融债券3,011.405.66%
7政策性金融债券3,011.405.66%
8股票1,949.493.67%
9其它资产1,517.852.85%
10应收利息1,506.122.83%
11可转换债券1,460.402.75%
12中期票据1,013.401.91%
13银行存款584.081.10%
14交易保证金11.720.02%

 
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