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

长盛安泰一年持有混合C(011266)

2024-08-02     0.9994-0.3986%
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)
110238275723晋能装备MTN0054,182,782.089.264
210248191524桂交投MTN009A3,529,196.147.812
310238292123晋能电力MTN0153,141,534.436.959
401970923国债162,437,476.165.401876
5212804421工商银行永续债022,114,184.704.6816
6113044大秦转债962,120.772.13432
7113042上银转债795,714.551.76552
8113021中信转债708,919.731.57513
9113673岱美转债321,616.940.71210
10127039北港转债241,853.150.54181
11127083山路转债213,593.590.47247
12113623凤21转债210,538.480.47386
13113634珀莱转债202,888.970.45113
14113563柳药转债183,767.850.41179
15127031洋丰转债168,753.290.37226
16127082亚科转债118,904.930.26155
17113061拓普转债118,698.600.26319
18127066科利转债109,092.330.24250
19128134鸿路转债107,091.230.24325
20127085韵达转债99,090.910.22361
21113067燃23转债98,862.880.22181
22113054绿动转债95,072.130.21264
23110090爱迪转债94,430.360.21249
24128109楚江转债83,119.890.18301