交银施罗德基金管理有限公司
Bank Of Communications Schroder Fund Management Co.,ltd.
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旗下基金收入分析详情
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交银施罗德基金 2019年4季度 收入分析 基金明细一览 (全部)
截止至:2019-12-31
序号 | 基金代码 | 基金名称 | 相关资讯 | 收入合计 | 股票收入 | 占比 | 债券收入 | 占比 | 股利收入 | 占比 |
---|---|---|---|---|---|---|---|---|---|---|
1 | 000710 | 交银现金宝货币A | 详情 | 30,251.38 | - | - | 534.01 | 1.77% | - | - |
2 | 002889 | 交银天利宝货币A | 详情 | 4,518.65 | - | - | 72.76 | 1.61% | - | - |
3 | 002890 | 交银天利宝货币E | 详情 | 4,518.65 | - | - | 72.76 | 1.61% | - | - |
4 | 002918 | 交银现金宝货币E | 详情 | 30,251.38 | - | - | 534.01 | 1.77% | - | - |
5 | 003042 | 交银活期通货币A | 详情 | 120,136.20 | - | - | 24.84 | 0.02% | - | - |
6 | 003043 | 交银活期通货币E | 详情 | 120,136.20 | - | - | 24.84 | 0.02% | - | - |
7 | 003482 | 交银天鑫宝货币A | 详情 | 35,381.43 | - | - | 50.00 | 0.14% | - | - |
8 | 003483 | 交银天鑫宝货币E | 详情 | 35,381.43 | - | - | 50.00 | 0.14% | - | - |
9 | 003900 | 交银瑞鑫定开混合 | 详情 | 4,752.82 | 1,726.72 | 36.33% | 134.33 | 2.83% | 199.80 | 4.20% |
10 | 003968 | 交银天益宝货币A | 详情 | 18,814.48 | - | - | 76.06 | 0.40% | - | - |
11 | 003969 | 交银天益宝货币E | 详情 | 18,814.48 | - | - | 76.06 | 0.40% | - | - |
12 | 004075 | 交银医药创新股票 | 详情 | 24,835.79 | 12,065.75 | 48.58% | -77.67 | - | 247.88 | 1.00% |
13 | 004427 | 交银增利增强债券A | 详情 | 429.30 | 6.03 | 1.40% | 243.68 | 56.76% | - | - |
14 | 004428 | 交银增利增强债券C | 详情 | 429.30 | 6.03 | 1.40% | 243.68 | 56.76% | - | - |
15 | 004868 | 交银股息优化混合 | 详情 | 8,230.99 | 3,952.76 | 48.02% | - | - | 205.54 | 2.50% |
16 | 004975 | 交银恒益灵活配置混合 | 详情 | 4,506.90 | 2,458.94 | 54.56% | 33.86 | 0.75% | 204.71 | 4.54% |
17 | 005001 | 交银持续成长主题混合 | 详情 | 99,856.95 | 62,896.95 | 62.99% | 10.90 | 0.01% | 1,044.65 | 1.05% |
18 | 005004 | 交银品质升级混合 | 详情 | 45,502.46 | 16,228.28 | 35.66% | - | - | 2,212.55 | 4.86% |
19 | 005025 | 交银丰盈收益债券C | 详情 | 115.27 | - | - | -16.18 | - | - | - |
20 | 005577 | 交银丰晟收益债券A | 详情 | 3,181.73 | - | - | 46.55 | 1.46% | - | - |
21 | 005578 | 交银丰晟收益债券C | 详情 | 3,181.73 | - | - | 46.55 | 1.46% | - | - |
22 | 005724 | 交银致远智投混合 | 详情 | 1,315.83 | 619.68 | 47.09% | 3.46 | 0.26% | 22.09 | 1.68% |
23 | 005972 | 交银裕如纯债债券A | 详情 | 18,273.36 | - | - | -38.06 | - | - | - |
24 | 005973 | 交银裕如纯债债券C | 详情 | 18,273.36 | - | - | -38.06 | - | - | - |
25 | 006202 | 交银核心资产混合 | 详情 | 7,364.85 | 4,984.98 | 67.69% | 2.40 | 0.03% | 429.42 | 5.83% |
26 | 006223 | 交银创新成长混合 | 详情 | 10,346.68 | 6,993.86 | 67.60% | 12.51 | 0.12% | 164.51 | 1.59% |
27 | 006367 | 交银裕祥纯债债券A | 详情 | 15,299.79 | - | - | -1,020.01 | - | - | - |
28 | 006368 | 交银裕祥纯债债券C | 详情 | 15,299.79 | - | - | -1,020.01 | - | - | - |
29 | 006745 | 交银中债1-3年农发债指数A | 详情 | 21,044.96 | - | - | -1,053.69 | - | - | - |
30 | 006746 | 交银中债1-3年农发债指数C | 详情 | 21,044.96 | - | - | -1,053.69 | - | - | - |
31 | 006793 | 交银稳鑫短债债券A | 详情 | 5,363.96 | - | - | -312.50 | - | - | - |
32 | 006794 | 交银稳鑫短债债券C | 详情 | 5,363.96 | - | - | -312.50 | - | - | - |
33 | 006880 | 交银安享稳健养老一年(FOF) | 详情 | 8,462.69 | 1,075.66 | 12.71% | - | - | 6,782.63 | 80.15% |
34 | 007316 | 交银可转债债券A | 详情 | 2,278.50 | 49.60 | 2.18% | 678.31 | 29.77% | - | - |
35 | 007317 | 交银可转债债券C | 详情 | 2,278.50 | 49.60 | 2.18% | 678.31 | 29.77% | - | - |
36 | 150217 | 交银国证新能源指数分级A | 详情 | 6,156.92 | -2,425.33 | - | -0.29 | - | 300.10 | 4.87% |
37 | 150218 | 交银国证新能源指数分级B | 详情 | 6,156.92 | -2,425.33 | - | -0.29 | - | 300.10 | 4.87% |
38 | 150317 | 交银中证互联网金融指数分级A | 详情 | 2,714.37 | -617.51 | - | 5.81 | 0.21% | 81.37 | 3.00% |
39 | 150318 | 交银中证互联网金融指数分级B | 详情 | 2,714.37 | -617.51 | - | 5.81 | 0.21% | 81.37 | 3.00% |
40 | 159913 | 交银深证300价值ETF | 详情 | 3,072.88 | 951.03 | 30.95% | 6.82 | 0.22% | 187.57 | 6.10% |
41 | 164902 | 交银信用添利债券(LOF) | 详情 | 8,478.01 | -90.70 | - | 646.16 | 7.62% | - | - |
42 | 164905 | 交银国证新能源指数分级 | 详情 | 6,156.92 | -2,425.33 | - | -0.29 | - | 300.10 | 4.87% |
43 | 164906 | 交银中证海外中国互联网指数 | 详情 | 35,034.75 | 696.49 | 1.99% | - | - | 445.69 | 1.27% |
44 | 164907 | 交银中证互联网金融指数分级 | 详情 | 2,714.37 | -617.51 | - | 5.81 | 0.21% | 81.37 | 3.00% |
45 | 164908 | 交银中证环境治理(LOF) | 详情 | 318.80 | -1,661.47 | - | 1.98 | 0.62% | 68.09 | 21.36% |
46 | 501087 | 交银瑞丰三年封闭混合 | 详情 | 17,757.70 | 851.04 | 4.79% | - | - | 0.02 | 0.00% |
47 | 510010 | 交银上证180公司治理ETF | 详情 | 9,461.42 | 1,768.29 | 18.69% | 3.58 | 0.04% | 1,051.91 | 11.12% |
48 | 519588 | 交银货币A | 详情 | 1,839.90 | - | - | 0.38 | 0.02% | - | - |
49 | 519589 | 交银货币B | 详情 | 1,839.90 | - | - | 0.38 | 0.02% | - | - |
50 | 519680 | 交银增利债券A/B | 详情 | 4,283.57 | - | - | 1,084.72 | 25.32% | - | - |
51 | 519682 | 交银增利债券C | 详情 | 4,283.57 | - | - | 1,084.72 | 25.32% | - | - |
52 | 519683 | 交银双利债券A/B | 详情 | 1,120.54 | 255.59 | 22.81% | 4.08 | 0.36% | 21.83 | 1.95% |
53 | 519685 | 交银双利债券C | 详情 | 1,120.54 | 255.59 | 22.81% | 4.08 | 0.36% | 21.83 | 1.95% |
54 | 519686 | 交银上证180公司治理联接 | 详情 | 8,684.77 | -32.02 | - | -0.07 | - | 12.17 | 0.14% |
55 | 519688 | 交银精选混合 | 详情 | 215,827.00 | 106,971.96 | 49.56% | 406.02 | 0.19% | 5,420.54 | 2.51% |
56 | 519690 | 交银稳健配置混合A | 详情 | 118,400.86 | 53,463.44 | 45.15% | 3.89 | 0.00% | 4,164.42 | 3.52% |
57 | 519692 | 交银成长混合A | 详情 | 106,464.79 | 30,858.45 | 28.98% | 111.45 | 0.10% | 1,840.31 | 1.73% |
58 | 519694 | 交银蓝筹混合 | 详情 | 95,022.37 | 36,447.89 | 38.36% | 104.33 | 0.11% | 1,640.73 | 1.73% |
59 | 519696 | 交银环球精选混合(QDII) | 详情 | 2,916.90 | 584.47 | 20.04% | - | - | 203.28 | 6.97% |
60 | 519697 | 交银优势行业混合 | 详情 | 123,843.10 | 78,376.84 | 63.29% | 99.24 | 0.08% | 1,618.05 | 1.31% |
61 | 519698 | 交银先锋混合 | 详情 | 42,740.26 | 25,704.07 | 60.14% | 24.25 | 0.06% | 667.09 | 1.56% |
62 | 519700 | 交银主题优选混合 | 详情 | 31,935.00 | 20,087.35 | 62.90% | 373.61 | 1.17% | 378.96 | 1.19% |
63 | 519702 | 交银趋势混合 | 详情 | 12,672.34 | 5,227.35 | 41.25% | - | - | 540.91 | 4.27% |
64 | 519704 | 交银先进制造混合 | 详情 | 101,414.28 | 67,281.13 | 66.34% | 1.23 | 0.00% | 2,039.91 | 2.01% |
65 | 519706 | 交银深证300价值ETF联接 | 详情 | 2,828.95 | 24.25 | 0.86% | -0.25 | - | 2.76 | 0.10% |
66 | 519710 | 交银策略回报灵活配置混合 | 详情 | 29,189.66 | 15,094.53 | 51.71% | -2,364.81 | - | 1,483.16 | 5.08% |
67 | 519712 | 交银阿尔法核心混合 | 详情 | 161,661.50 | 96,727.28 | 59.83% | -4.14 | - | 2,153.65 | 1.33% |
68 | 519714 | 交银消费新驱动股票 | 详情 | 27,597.00 | 17,398.72 | 63.05% | -3.63 | - | 1,388.39 | 5.03% |
69 | 519716 | 交银理财21天债券A | 详情 | 62,378.66 | - | - | 368.55 | 0.59% | - | - |
70 | 519717 | 交银理财21天债券B | 详情 | 62,378.66 | - | - | 368.55 | 0.59% | - | - |
71 | 519718 | 交银纯债债券发起A | 详情 | 3,813.17 | - | - | 474.96 | 12.46% | - | - |
72 | 519720 | 交银纯债债券发起C | 详情 | 3,813.17 | - | - | 474.96 | 12.46% | - | - |
73 | 519721 | 交银理财60天债券A | 详情 | 31,706.23 | - | - | 72.47 | 0.23% | - | - |
74 | 519722 | 交银理财60天债券B | 详情 | 31,706.23 | - | - | 72.47 | 0.23% | - | - |
75 | 519723 | 交银双轮动债券A/B | 详情 | 6,372.48 | - | - | -87.80 | - | - | - |
76 | 519725 | 交银双轮动债券C | 详情 | 6,372.48 | - | - | -87.80 | - | - | - |
77 | 519726 | 交银稳固收益债券 | 详情 | 371.49 | 70.98 | 19.11% | 85.00 | 22.88% | - | - |
78 | 519727 | 交银成长30混合 | 详情 | 39,594.16 | 13,388.64 | 33.81% | - | - | 350.54 | 0.89% |
79 | 519729 | 交银增强收益债券 | 详情 | 323.34 | 144.51 | 44.69% | 102.39 | 31.67% | 1.44 | 0.45% |
80 | 519730 | 交银定期支付月月丰债券A | 详情 | 594.72 | 262.81 | 44.19% | 196.34 | 33.01% | 2.75 | 0.46% |
81 | 519731 | 交银定期支付月月丰债券C | 详情 | 594.72 | 262.81 | 44.19% | 196.34 | 33.01% | 2.75 | 0.46% |
82 | 519732 | 交银定期支付双息平衡混合 | 详情 | 75,948.47 | 38,003.14 | 50.04% | 25.74 | 0.03% | 945.34 | 1.24% |
83 | 519733 | 交银强化回报债券A/B | 详情 | 174.47 | 75.58 | 43.32% | 55.45 | 31.78% | 0.76 | 0.44% |
84 | 519735 | 交银强化回报债券C | 详情 | 174.47 | 75.58 | 43.32% | 55.45 | 31.78% | 0.76 | 0.44% |
85 | 519736 | 交银新成长混合 | 详情 | 179,587.19 | 80,146.83 | 44.63% | 320.83 | 0.18% | 3,581.17 | 1.99% |
86 | 519738 | 交银周期回报灵活配置混合A | 详情 | 3,030.37 | 1,307.06 | 43.13% | 13.30 | 0.44% | 173.32 | 5.72% |
87 | 519740 | 交银丰盈收益债券A | 详情 | 115.27 | - | - | -16.18 | - | - | - |
88 | 519743 | 交银丰润收益债券A/B | 详情 | 7,988.08 | - | - | 176.16 | 2.21% | - | - |
89 | 519745 | 交银丰润收益债券C | 详情 | 7,988.08 | - | - | 176.16 | 2.21% | - | - |
90 | 519746 | 交银丰享收益债券A | 详情 | 4,038.83 | - | - | 2.84 | 0.07% | - | - |
91 | 519748 | 交银丰享收益债券C | 详情 | 4,038.83 | - | - | 2.84 | 0.07% | - | - |
92 | 519752 | 交银新回报灵活配置混合A | 详情 | 5,381.44 | 2,152.13 | 39.99% | 363.20 | 6.75% | 178.45 | 3.32% |
93 | 519753 | 交银安心收益债券 | 详情 | 326.61 | 98.46 | 30.15% | 43.55 | 13.33% | 7.44 | 2.28% |
94 | 519755 | 交银多策略回报灵活配置混合A | 详情 | 4,825.44 | 2,412.07 | 49.99% | 114.92 | 2.38% | 203.89 | 4.23% |
95 | 519756 | 交银国企改革灵活配置混合 | 详情 | 18,571.05 | 5,524.37 | 29.75% | 3.01 | 0.02% | 791.39 | 4.26% |
96 | 519759 | 交银周期回报灵活配置混合C | 详情 | 3,030.37 | 1,307.06 | 43.13% | 13.30 | 0.44% | 173.32 | 5.72% |
97 | 519760 | 交银新回报灵活配置混合C | 详情 | 5,381.44 | 2,152.13 | 39.99% | 363.20 | 6.75% | 178.45 | 3.32% |
98 | 519761 | 交银多策略回报灵活配置混合C | 详情 | 4,825.44 | 2,412.07 | 49.99% | 114.92 | 2.38% | 203.89 | 4.23% |
99 | 519762 | 交银裕通纯债债券A | 详情 | 5,211.79 | - | - | -285.03 | - | - | - |
100 | 519763 | 交银裕通纯债债券C | 详情 | 5,211.79 | - | - | -285.03 | - | - | - |
101 | 519766 | 交银荣鑫灵活配置混合 | 详情 | 2,277.48 | 1,132.63 | 49.73% | 79.32 | 3.48% | 248.24 | 10.90% |
102 | 519767 | 交银科技创新灵活配置混合 | 详情 | 10,167.10 | 6,583.74 | 64.76% | 0.07 | 0.00% | 217.99 | 2.14% |
103 | 519768 | 交银优选回报灵活配置混合A | 详情 | 7,282.31 | 2,882.87 | 39.59% | 1,250.20 | 17.17% | 150.38 | 2.07% |
104 | 519769 | 交银优选回报灵活配置混合C | 详情 | 7,282.31 | 2,882.87 | 39.59% | 1,250.20 | 17.17% | 150.38 | 2.07% |
105 | 519770 | 交银优择回报灵活配置混合A | 详情 | 7,365.60 | 2,856.68 | 38.78% | 1,104.78 | 15.00% | 150.39 | 2.04% |
106 | 519771 | 交银优择回报灵活配置混合C | 详情 | 7,365.60 | 2,856.68 | 38.78% | 1,104.78 | 15.00% | 150.39 | 2.04% |
107 | 519772 | 交银新生活力灵活配置混合 | 详情 | 220,462.56 | 105,299.95 | 47.76% | 92.90 | 0.04% | 3,307.91 | 1.50% |
108 | 519773 | 交银数据产业灵活配置混合 | 详情 | 56,799.68 | 30,967.90 | 54.52% | -8.53 | - | 538.88 | 0.95% |
109 | 519776 | 交银裕盈纯债债券A | 详情 | 3,655.77 | - | - | 568.06 | 15.54% | - | - |
110 | 519777 | 交银裕盈纯债债券C | 详情 | 3,655.77 | - | - | 568.06 | 15.54% | - | - |
111 | 519778 | 交银经济新动力混合 | 详情 | 92,978.30 | 42,649.42 | 45.87% | - | - | 1,145.35 | 1.23% |
112 | 519779 | 交银沪港深价值精选混合 | 详情 | 14,809.17 | 6,177.62 | 41.71% | 5.16 | 0.03% | 597.38 | 4.03% |
113 | 519782 | 交银裕隆纯债债券A | 详情 | 5,092.64 | - | - | 773.44 | 15.19% | - | - |
114 | 519783 | 交银裕隆纯债债券C | 详情 | 5,092.64 | - | - | 773.44 | 15.19% | - | - |
115 | 519784 | 交银境尚收益债券A | 详情 | 1,888.45 | - | - | 1,466.00 | 77.63% | - | - |
116 | 519785 | 交银境尚收益债券C | 详情 | 1,888.45 | - | - | 1,466.00 | 77.63% | - | - |
117 | 519786 | 交银裕利纯债债券A | 详情 | 16,910.73 | - | - | 446.92 | 2.64% | - | - |
118 | 519787 | 交银裕利纯债债券C | 详情 | 16,910.73 | - | - | 446.92 | 2.64% | - | - |
119 | 960016 | 交银成长混合H | 详情 | 106,464.79 | 30,858.45 | 28.98% | 111.45 | 0.10% | 1,840.31 | 1.73% |
120 | 960017 | 交银稳健配置混合H | 详情 | 118,400.86 | 53,463.44 | 45.15% | 3.89 | 0.00% | 4,164.42 | 3.52% |
交银施罗德基金 2019年3季度 收入分析 基金明细一览 (全部)
截止至:2019-08-19
交银施罗德基金 2019年2季度 收入分析 基金明细一览 (全部)
截止至:2019-06-30
序号 | 基金代码 | 基金名称 | 相关资讯 | 收入合计 | 股票收入 | 占比 | 债券收入 | 占比 | 股利收入 | 占比 |
---|---|---|---|---|---|---|---|---|---|---|
1 | 000710 | 交银现金宝货币A | 详情 | 11,976.61 | - | - | 241.55 | 2.02% | - | - |
2 | 002889 | 交银天利宝货币A | 详情 | 2,211.28 | - | - | 40.02 | 1.81% | - | - |
3 | 002890 | 交银天利宝货币E | 详情 | 2,211.28 | - | - | 40.02 | 1.81% | - | - |
4 | 002918 | 交银现金宝货币E | 详情 | 11,976.61 | - | - | 241.55 | 2.02% | - | - |
5 | 003042 | 交银活期通货币A | 详情 | 63,443.58 | - | - | -97.70 | - | - | - |
6 | 003043 | 交银活期通货币E | 详情 | 63,443.58 | - | - | -97.70 | - | - | - |
7 | 003482 | 交银天鑫宝货币A | 详情 | 19,591.66 | - | - | 50.00 | 0.26% | - | - |
8 | 003483 | 交银天鑫宝货币E | 详情 | 19,591.66 | - | - | 50.00 | 0.26% | - | - |
9 | 003900 | 交银瑞鑫定开混合 | 详情 | 1,720.60 | 358.93 | 20.86% | 116.01 | 6.74% | 85.13 | 4.95% |
10 | 003968 | 交银天益宝货币A | 详情 | 8,843.73 | - | - | 62.96 | 0.71% | - | - |
11 | 003969 | 交银天益宝货币E | 详情 | 8,843.73 | - | - | 62.96 | 0.71% | - | - |
12 | 004075 | 交银医药创新股票 | 详情 | 15,135.50 | 3,876.13 | 25.61% | -67.57 | - | 220.11 | 1.45% |
13 | 004427 | 交银增利增强债券A | 详情 | 204.90 | 5.99 | 2.92% | 231.73 | 113.09% | - | - |
14 | 004428 | 交银增利增强债券C | 详情 | 204.90 | 5.99 | 2.92% | 231.73 | 113.09% | - | - |
15 | 004868 | 交银股息优化混合 | 详情 | 4,364.06 | 1,465.46 | 33.58% | - | - | 183.37 | 4.20% |
16 | 004975 | 交银恒益灵活配置混合 | 详情 | 1,533.47 | 556.85 | 36.31% | 31.00 | 2.02% | 38.64 | 2.52% |
17 | 005001 | 交银持续成长主题混合 | 详情 | 40,545.42 | 22,554.68 | 55.63% | 10.91 | 0.03% | 703.49 | 1.74% |
18 | 005002 | 交银天运宝货币A | 详情 | 159.09 | - | - | 0.52 | 0.33% | - | - |
19 | 005003 | 交银天运宝货币E | 详情 | 159.09 | - | - | 0.52 | 0.33% | - | - |
20 | 005004 | 交银品质升级混合 | 详情 | 40,147.46 | 5,969.82 | 14.87% | - | - | 2,000.07 | 4.98% |
21 | 005025 | 交银丰盈收益债券C | 详情 | 44.58 | - | - | -8.92 | - | - | - |
22 | 005577 | 交银丰晟收益债券A | 详情 | 1,736.75 | - | - | 46.55 | 2.68% | - | - |
23 | 005578 | 交银丰晟收益债券C | 详情 | 1,736.75 | - | - | 46.55 | 2.68% | - | - |
24 | 005724 | 交银致远智投混合 | 详情 | 1,050.25 | 506.10 | 48.19% | 3.46 | 0.33% | 14.78 | 1.41% |
25 | 005972 | 交银裕如纯债债券A | 详情 | 6,197.30 | - | - | 304.54 | 4.91% | - | - |
26 | 005973 | 交银裕如纯债债券C | 详情 | 6,197.30 | - | - | 304.54 | 4.91% | - | - |
27 | 006202 | 交银核心资产混合 | 详情 | 3,365.58 | 771.20 | 22.91% | -0.28 | - | 202.16 | 6.01% |
28 | 006223 | 交银创新成长混合 | 详情 | 6,641.54 | 4,584.34 | 69.03% | 12.51 | 0.19% | 69.18 | 1.04% |
29 | 006367 | 交银裕祥纯债债券A | 详情 | 6,601.85 | - | - | -673.40 | - | - | - |
30 | 006368 | 交银裕祥纯债债券C | 详情 | 6,601.85 | - | - | -673.40 | - | - | - |
31 | 006745 | 交银中债1-3年农发债指数A | 详情 | 7,745.67 | - | - | -1,058.36 | - | - | - |
32 | 006746 | 交银中债1-3年农发债指数C | 详情 | 7,745.67 | - | - | -1,058.36 | - | - | - |
33 | 006793 | 交银稳鑫短债债券A | 详情 | 2,220.95 | - | - | -142.35 | - | - | - |
34 | 006794 | 交银稳鑫短债债券C | 详情 | 2,220.95 | - | - | -142.35 | - | - | - |
35 | 150217 | 交银国证新能源指数分级A | 详情 | 3,204.39 | -1,873.79 | - | -0.60 | - | 140.38 | 4.38% |
36 | 150218 | 交银国证新能源指数分级B | 详情 | 3,204.39 | -1,873.79 | - | -0.60 | - | 140.38 | 4.38% |
37 | 150317 | 交银中证互联网金融指数分级A | 详情 | 2,301.11 | -450.14 | - | 6.10 | 0.26% | 59.63 | 2.59% |
38 | 150318 | 交银中证互联网金融指数分级B | 详情 | 2,301.11 | -450.14 | - | 6.10 | 0.26% | 59.63 | 2.59% |
39 | 159913 | 交银深证300价值ETF | 详情 | 2,156.62 | 298.66 | 13.85% | 6.82 | 0.32% | 106.73 | 4.95% |
40 | 164902 | 交银信用添利债券(LOF) | 详情 | 3,565.55 | - | - | 843.40 | 23.65% | - | - |
41 | 164905 | 交银国证新能源指数分级 | 详情 | 3,204.39 | -1,873.79 | - | -0.60 | - | 140.38 | 4.38% |
42 | 164906 | 交银中证海外中国互联网指数 | 详情 | 17,304.89 | -3,355.09 | - | - | - | 270.91 | 1.57% |
43 | 164907 | 交银中证互联网金融指数分级 | 详情 | 2,301.11 | -450.14 | - | 6.10 | 0.26% | 59.63 | 2.59% |
44 | 164908 | 交银中证环境治理(LOF) | 详情 | 1,220.77 | -868.19 | - | 1.98 | 0.16% | 45.47 | 3.73% |
45 | 510010 | 交银上证180公司治理ETF | 详情 | 8,123.25 | 460.73 | 5.67% | 3.58 | 0.04% | 494.56 | 6.09% |
46 | 519588 | 交银货币A | 详情 | 1,279.65 | - | - | 0.38 | 0.03% | - | - |
47 | 519589 | 交银货币B | 详情 | 1,279.65 | - | - | 0.38 | 0.03% | - | - |
48 | 519680 | 交银增利债券A/B | 详情 | 1,762.24 | - | - | 708.79 | 40.22% | - | - |
49 | 519682 | 交银增利债券C | 详情 | 1,762.24 | - | - | 708.79 | 40.22% | - | - |
50 | 519683 | 交银双利债券A/B | 详情 | 310.73 | -1.84 | - | 25.16 | 8.10% | 12.19 | 3.92% |
51 | 519685 | 交银双利债券C | 详情 | 310.73 | -1.84 | - | 25.16 | 8.10% | 12.19 | 3.92% |
52 | 519686 | 交银上证180公司治理联接 | 详情 | 7,563.23 | -17.73 | - | 0.04 | 0.00% | 9.09 | 0.12% |
53 | 519688 | 交银精选混合 | 详情 | 112,095.04 | 20,274.52 | 18.09% | 404.67 | 0.36% | 4,265.60 | 3.81% |
54 | 519690 | 交银稳健配置混合A | 详情 | 55,743.11 | 14,227.43 | 25.52% | 3.89 | 0.01% | 2,860.91 | 5.13% |
55 | 519692 | 交银成长混合A | 详情 | 43,035.73 | -1,412.54 | - | 1.32 | 0.00% | 1,535.26 | 3.57% |
56 | 519694 | 交银蓝筹混合 | 详情 | 42,344.34 | 14,398.47 | 34.00% | 104.33 | 0.25% | 1,400.39 | 3.31% |
57 | 519696 | 交银环球精选混合(QDII) | 详情 | 1,727.56 | 210.77 | 12.20% | - | - | 124.15 | 7.19% |
58 | 519697 | 交银优势行业混合 | 详情 | 65,003.88 | 29,751.87 | 45.77% | 99.24 | 0.15% | 1,229.91 | 1.89% |
59 | 519698 | 交银先锋混合 | 详情 | 30,650.42 | 14,807.45 | 48.31% | 25.45 | 0.08% | 490.31 | 1.60% |
60 | 519700 | 交银主题优选混合 | 详情 | 13,700.26 | 9,029.72 | 65.91% | 36.03 | 0.26% | 262.94 | 1.92% |
61 | 519702 | 交银趋势混合 | 详情 | 8,895.89 | 1,577.02 | 17.73% | - | - | 484.70 | 5.45% |
62 | 519704 | 交银先进制造混合 | 详情 | 51,218.92 | 37,987.51 | 74.17% | 1.23 | 0.00% | 1,049.48 | 2.05% |
63 | 519706 | 交银深证300价值ETF联接 | 详情 | 2,015.91 | 33.19 | 1.65% | -0.25 | - | 2.21 | 0.11% |
64 | 519709 | 交银全球资源混合(QDII) | 详情 | 333.84 | -237.87 | - | - | - | 46.50 | 13.93% |
65 | 519710 | 交银策略回报灵活配置混合 | 详情 | 24,225.29 | 6,216.46 | 25.66% | -536.43 | - | 1,283.30 | 5.30% |
66 | 519712 | 交银阿尔法核心混合 | 详情 | 70,084.33 | 34,324.44 | 48.98% | -4.12 | - | 1,493.18 | 2.13% |
67 | 519714 | 交银消费新驱动股票 | 详情 | 23,522.07 | 8,113.91 | 34.49% | -3.63 | - | 1,254.64 | 5.33% |
68 | 519716 | 交银理财21天债券A | 详情 | 36,316.95 | - | - | 343.12 | 0.94% | - | - |
69 | 519717 | 交银理财21天债券B | 详情 | 36,316.95 | - | - | 343.12 | 0.94% | - | - |
70 | 519718 | 交银纯债债券发起A | 详情 | 1,218.36 | - | - | 386.13 | 31.69% | - | - |
71 | 519720 | 交银纯债债券发起C | 详情 | 1,218.36 | - | - | 386.13 | 31.69% | - | - |
72 | 519721 | 交银理财60天债券A | 详情 | 18,348.98 | - | - | 72.47 | 0.39% | - | - |
73 | 519722 | 交银理财60天债券B | 详情 | 18,348.98 | - | - | 72.47 | 0.39% | - | - |
74 | 519723 | 交银双轮动债券A/B | 详情 | 3,192.81 | - | - | -548.23 | - | - | - |
75 | 519725 | 交银双轮动债券C | 详情 | 3,192.81 | - | - | -548.23 | - | - | - |
76 | 519726 | 交银稳固收益债券 | 详情 | 22.99 | - | - | 0.04 | 0.18% | - | - |
77 | 519727 | 交银成长30混合 | 详情 | 1,674.83 | -639.71 | - | - | - | 195.65 | 11.68% |
78 | 519729 | 交银增强收益债券 | 详情 | 180.76 | 72.76 | 40.25% | 83.08 | 45.96% | 0.14 | 0.08% |
79 | 519730 | 交银定期支付月月丰债券A | 详情 | 339.12 | 128.75 | 37.96% | 162.66 | 47.96% | 0.28 | 0.08% |
80 | 519731 | 交银定期支付月月丰债券C | 详情 | 339.12 | 128.75 | 37.96% | 162.66 | 47.96% | 0.28 | 0.08% |
81 | 519732 | 交银定期支付双息平衡混合 | 详情 | 39,015.29 | 14,756.00 | 37.82% | 0.63 | 0.00% | 813.10 | 2.08% |
82 | 519733 | 交银强化回报债券A/B | 详情 | 96.55 | 36.41 | 37.71% | 46.35 | 48.01% | 0.08 | 0.08% |
83 | 519735 | 交银强化回报债券C | 详情 | 96.55 | 36.41 | 37.71% | 46.35 | 48.01% | 0.08 | 0.08% |
84 | 519736 | 交银新成长混合 | 详情 | 92,862.94 | 21,089.18 | 22.71% | 319.89 | 0.34% | 2,940.05 | 3.17% |
85 | 519738 | 交银周期回报灵活配置混合A | 详情 | 543.70 | - | - | -13.72 | - | 11.75 | 2.16% |
86 | 519740 | 交银丰盈收益债券A | 详情 | 44.58 | - | - | -8.92 | - | - | - |
87 | 519743 | 交银丰润收益债券A/B | 详情 | 2,994.41 | - | - | 122.59 | 4.09% | - | - |
88 | 519745 | 交银丰润收益债券C | 详情 | 2,994.41 | - | - | 122.59 | 4.09% | - | - |
89 | 519746 | 交银丰享收益债券A | 详情 | 995.57 | - | - | -105.05 | - | - | - |
90 | 519748 | 交银丰享收益债券C | 详情 | 995.57 | - | - | -105.05 | - | - | - |
91 | 519752 | 交银新回报灵活配置混合A | 详情 | 2,071.39 | 528.07 | 25.49% | 277.38 | 13.39% | 76.32 | 3.68% |
92 | 519753 | 交银安心收益债券 | 详情 | 83.57 | 0.90 | 1.07% | 34.74 | 41.57% | 4.22 | 5.04% |
93 | 519755 | 交银多策略回报灵活配置混合A | 详情 | 1,370.06 | 210.72 | 15.38% | 91.42 | 6.67% | 29.88 | 2.18% |
94 | 519756 | 交银国企改革灵活配置混合 | 详情 | 10,475.56 | 2,423.98 | 23.14% | 0.21 | 0.00% | 426.75 | 4.07% |
95 | 519759 | 交银周期回报灵活配置混合C | 详情 | 543.70 | - | - | -13.72 | - | 11.75 | 2.16% |
96 | 519760 | 交银新回报灵活配置混合C | 详情 | 2,071.39 | 528.07 | 25.49% | 277.38 | 13.39% | 76.32 | 3.68% |
97 | 519761 | 交银多策略回报灵活配置混合C | 详情 | 1,370.06 | 210.72 | 15.38% | 91.42 | 6.67% | 29.88 | 2.18% |
98 | 519762 | 交银裕通纯债债券A | 详情 | 1,416.70 | - | - | 43.09 | 3.04% | - | - |
99 | 519763 | 交银裕通纯债债券C | 详情 | 1,416.70 | - | - | 43.09 | 3.04% | - | - |
100 | 519766 | 交银荣鑫灵活配置混合 | 详情 | 191.72 | -232.71 | - | 88.31 | 46.06% | 82.33 | 42.94% |
101 | 519767 | 交银科技创新灵活配置混合 | 详情 | 5,080.37 | 2,071.47 | 40.77% | 0.07 | 0.00% | 173.27 | 3.41% |
102 | 519768 | 交银优选回报灵活配置混合A | 详情 | 2,418.81 | 624.43 | 25.82% | 1,071.91 | 44.32% | 87.01 | 3.60% |
103 | 519769 | 交银优选回报灵活配置混合C | 详情 | 2,418.81 | 624.43 | 25.82% | 1,071.91 | 44.32% | 87.01 | 3.60% |
104 | 519770 | 交银优择回报灵活配置混合A | 详情 | 2,476.99 | 628.32 | 25.37% | 1,012.67 | 40.88% | 87.01 | 3.51% |
105 | 519771 | 交银优择回报灵活配置混合C | 详情 | 2,476.99 | 628.32 | 25.37% | 1,012.67 | 40.88% | 87.01 | 3.51% |
106 | 519772 | 交银新生活力灵活配置混合 | 详情 | 105,091.64 | 33,860.13 | 32.22% | - | - | 2,954.70 | 2.81% |
107 | 519773 | 交银数据产业灵活配置混合 | 详情 | 24,768.63 | 9,331.68 | 37.68% | -8.53 | - | 403.41 | 1.63% |
108 | 519776 | 交银裕盈纯债债券A | 详情 | 2,291.82 | - | - | 382.14 | 16.67% | - | - |
109 | 519777 | 交银裕盈纯债债券C | 详情 | 2,291.82 | - | - | 382.14 | 16.67% | - | - |
110 | 519778 | 交银经济新动力混合 | 详情 | 1,569.56 | -3,359.23 | - | - | - | 806.97 | 51.41% |
111 | 519779 | 交银沪港深价值精选混合 | 详情 | 6,645.16 | 1,190.95 | 17.92% | 0.05 | 0.00% | 274.64 | 4.13% |
112 | 519782 | 交银裕隆纯债债券A | 详情 | 2,043.54 | - | - | 63.04 | 3.08% | - | - |
113 | 519783 | 交银裕隆纯债债券C | 详情 | 2,043.54 | - | - | 63.04 | 3.08% | - | - |
114 | 519784 | 交银境尚收益债券A | 详情 | 1,768.29 | - | - | 1,463.57 | 82.77% | - | - |
115 | 519785 | 交银境尚收益债券C | 详情 | 1,768.29 | - | - | 1,463.57 | 82.77% | - | - |
116 | 519786 | 交银裕利纯债债券A | 详情 | 8,020.09 | - | - | 215.13 | 2.68% | - | - |
117 | 519787 | 交银裕利纯债债券C | 详情 | 8,020.09 | - | - | 215.13 | 2.68% | - | - |
118 | 960016 | 交银成长混合H | 详情 | 43,035.73 | -1,412.54 | - | 1.32 | 0.00% | 1,535.26 | 3.57% |
119 | 519726 | 交银稳固收益债券 | 详情 | 823.85 | - | - | 214.53 | 26.04% | - | - |
交银施罗德基金 2019年1季度 收入分析 基金明细一览 (全部)
截止至:2019-03-28
序号 | 基金代码 | 基金名称 | 相关资讯 | 收入合计 | 股票收入 | 占比 | 债券收入 | 占比 | 股利收入 | 占比 |
---|---|---|---|---|---|---|---|---|---|---|
1 | 519766 | 交银荣鑫灵活配置混合 | 详情 | 556.63 | - | - | 349.25 | 62.74% | - | - |