基金汉鼎(500025)

查看其他基金:
基金汉鼎(500025)财务指标
资产类型 资产市值 占资产总值比例 占资产净值比例
资产总计 ¥1,389,498,775.37 138,949,877,537.00% 110.91%
股票 ¥972,231,378.67 97,223,137,867.00% 77.61%
国债及货币资金 ¥299,149,223.03 29,914,922,303.00% 23.87%
债券 ¥253,159,122.70 25,315,912,270.00% 20.21%
银行存款 ¥159,430,600.33 15,943,060,033.00% 12.73%
国债 ¥139,718,622.70 13,971,862,270.00% 11.15%
非国债债券 ¥113,440,500.00 11,344,050,000.00% 9.05%
央行票据 ¥68,600,000.00 6,860,000,000.00% 5.48%
金融债券 ¥44,840,500.00 4,484,050,000.00% 3.58%
其它资产 ¥4,677,673.67 467,767,367.00% 0.37%
应收利息 ¥3,589,877.36 358,987,736.00% 0.29%
交易保证金 ¥653,689.52 65,368,952.00% 0.05%
待摊费用 ¥434,106.79 43,410,679.00% 0.03%

基金首页 | 版权声明 | 联系我们 | 广告服务 | 免责声明 | 网站地图
Copyright@2007 基金之家. All Right Reserved.
正在备案中...