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海富通策略收益债券A(010260)

2025-03-31     1.0538-0.0379%
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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)
101974024国债098,303,598.5813.832714
201975824国债215,524,077.959.20428
3212802121工商银行永续债015,277,647.128.7956
4110059浦发转债4,943,143.798.23830
5212802521建设银行二级014,165,155.076.94149
6113052兴业转债2,281,957.183.801077
7113605大参转债997,600.941.66249
8127024盈峰转债951,214.861.58224
9113042上银转债728,719.961.21812
10123108乐普转2679,396.321.13209
11113056重银转债541,447.720.90843
12110076华海转债519,205.710.86296
13128071合兴转债482,197.660.8089
14113633科沃转债466,499.480.78169
15128131崇达转2432,887.610.72181
16113584家悦转债377,218.150.63212
17128129青农转债269,252.860.45388
18113563柳药转债218,830.600.36175
19128142新乳转债153,394.760.26216
20128116瑞达转债152,746.410.25141
21113059福莱转债109,295.340.18503
22113054绿动转债105,165.760.18334
23127085韵达转债95,186.800.16360
24123210信服转债94,045.710.16283
25110073国投转债91,268.160.15486
26110064建工转债84,325.560.14190
27128134鸿路转债65,820.840.11337
28113047旗滨转债53,727.840.09280
29113043财通转债45,320.510.08292
30127030盛虹转债32,378.100.05171
31113045环旭转债25,511.940.04398
32113053隆22转债21,220.600.04374
33128136立讯转债13,033.100.02351