行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

景顺长城顺益回报混合C类(002793)

2025-01-27     1.4678-0.0409%
持有债券
截止日期:  
 查询其他基金该项数据
序号 债券代码 债券简称 债券市值(元) 占基金净值比例(股) 其它基金持有(家)
123020323国开0310,657,540.9825.73314
224001324附息国债135,224,178.0812.61184
3222800322兴业银行二级013,734,568.859.0229
4212106221北京农商二级3,100,796.717.4932
523240003224成都银行二级资本债023,038,556.007.3421
6110059浦发转债1,291,648.383.12830
7113052兴业转债562,025.061.361077
8128129青农转债522,087.871.26388
9113037紫银转债324,441.600.78365
10123174精锻转债80,206.470.19235
11111010立昂转债52,933.850.13475
12127070大中转债47,691.420.12238
13113042上银转债28,812.650.07812
14111014李子转债28,637.360.07235
15113616韦尔转债26,771.030.06179
16123154火星转债23,002.680.06217
17110085通22转债22,115.800.05697
18113605大参转债22,040.020.05249
19113059福莱转债20,766.120.05503
20123121帝尔转债10,745.090.03207
21118039煜邦转债10,415.980.03120
22113677华懋转债9,800.760.02223
23110087天业转债5,351.620.01382