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

嘉实新思路混合C(021820)

2024-11-26     1.12450.0000%
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)
1202801320农业银行二级0171,249,912.336.7870
2192803319中国银行二级0362,227,331.155.9268
321238000823交行债0130,400,320.002.8965
411241019624兴业银行CD19629,560,211.512.816
501954716国债1922,005,827.342.0991
6113052兴业转债5,028,560.930.48975
7127045牧原转债3,470,129.590.33689
8118024冠宇转债2,537,240.270.24493
9128133奇正转债2,460,910.140.23124
10127054双箭转债2,036,417.350.19145
11110068龙净转债2,020,986.920.19246
12113563柳药转债1,709,517.950.16197
13111012福新转债1,564,744.950.1572
14110090爱迪转债1,495,487.950.14298
15123085万顺转21,384,455.480.13153
16113061拓普转债1,220,338.900.12438
17113021中信转债1,198,898.630.11472
18127071天箭转债1,128,050.680.1188
19113648巨星转债984,226.440.09234
20123145药石转债851,546.160.08241
21128090汽模转2838,095.110.0854
22127081中旗转债816,061.780.08115
23113673岱美转债611,760.960.06228
24123178花园转债589,147.400.06294
25123172漱玉转债506,589.040.05135
26123169正海转债477,144.730.05312
27123152润禾转债272,819.130.03100
28123061航新转债241,678.080.0223
29127078优彩转债43,121.070.00177