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银华通利灵活配置混合C(003063)

2024-11-20     1.33040.2487%
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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)
122041222农发1210,319,666.6737.3161
201974024国债09907,043.673.282288
301973324国债02609,042.582.201946
4110062烽火转债172,990.060.63314
5113641华友转债82,261.120.30543
6118031天23转债54,791.720.20430
7123240楚天转债51,964.690.19179
8123220易瑞转债49,364.360.1889
9123145药石转债46,226.790.17241
10128109楚江转债43,444.610.16296
11113639华正转债41,495.520.15139
12127014北方转债38,704.190.14119
13118028会通转债29,236.390.11275
14127088赫达转债27,551.670.10213
15127068顺博转债27,294.680.10159
16113678中贝转债27,034.060.1077
17123121帝尔转债26,999.380.10189
18123190道氏转0226,987.570.10254
19123161强联转债26,879.730.10138
20113534鼎胜转债26,867.350.1086
21127089晶澳转债26,728.730.10400
22123119康泰转226,610.180.10278
23118034晶能转债26,461.060.10508
24123210信服转债22,007.550.08242
25123115捷捷转债17,101.210.06311
26123117健帆转债13,906.650.05164
27113658密卫转债13,454.420.05184
28118012微芯转债13,436.570.05157
29123225翔丰转债13,433.650.05173
30123221力诺转债13,338.900.05166
31123103震安转债13,338.090.0576
32123219宇瞳转债13,299.590.05220
33123237佳禾转债13,034.820.05242
34123050聚飞转债13,029.150.05129
35128083新北转债12,840.590.05207
36113663新化转债12,757.640.05148
37127045牧原转债12,723.810.05689
38113672福蓉转债12,417.500.04111
39113047旗滨转债10,590.360.04302
40118015芯海转债9,332.940.03154
41113064东材转债8,679.970.03315
42127035濮耐转债7,083.700.03176
43127104姚记转债5,640.150.02109