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

汇添富双享回报债券A(012789)

2024-11-20     1.03640.0676%
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)
123002323附息国债2357,732,622.954.47131
214805422申宏0642,843,875.073.322
310238337223晋能装备MTN00942,035,081.973.262
401973324国债0238,572,696.442.991946
5127341PR正棚改36,908,165.482.862
6132026G三峡EB210,334,939.180.80522
7110062烽火转债7,895,356.690.61314
8113059福莱转债7,411,820.490.57478
9113049长汽转债7,106,912.630.55293
10113050南银转债7,102,279.100.55774
11127045牧原转债6,246,233.260.48689
12110081闻泰转债6,157,337.550.48323
13110085通22转债4,942,944.000.38498
14113062常银转债4,369,498.270.34390
15113652伟22转债4,269,276.770.33189
16127100神码转债3,986,622.410.31282
17113641华友转债3,748,608.000.29543
18113661福22转债3,739,953.290.29319
19110067华安转债3,530,094.520.27320
20123158宙邦转债2,922,523.970.23382
21113616韦尔转债2,801,017.120.22230
22127026超声转债2,503,008.080.19196
23127044蒙娜转债2,466,530.820.19120
24113021中信转债1,918,237.810.15472
25110089兴发转债1,774,715.620.14370
26111010立昂转债1,043,117.810.08379
27118035国力转债495,558.220.04146
28113667春23转债485,205.790.04131
29113655欧22转债425,819.730.03292