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

国泰民益灵活配置混合(LOF)A(160220)

2024-11-20     1.89750.3650%
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)
101972723国债247,256,822.4710.911755
210238027423兴泰金融MTN0015,185,552.467.802
310228224022海淀国资MTN0013,130,001.644.7112
410228241422淮安国投MTN0023,112,443.934.686
510238083823重庆发展MTN001A3,079,255.894.635
6113657再22转债2,521,323.183.79151
7110059浦发转债1,960,240.052.95913
8113606荣泰转债1,311,707.231.97192
9113527维格转债1,279,295.281.92108
10113542好客转债1,133,710.691.71150
11113675新23转债1,127,467.131.70298
12113636甬金转债1,027,215.381.55221
13127016鲁泰转债919,710.101.38314
14110074精达转债596,888.230.90118
15110087天业转债563,196.350.85283
16118000嘉元转债520,131.960.78134
17118032建龙转债437,414.700.66171
18113627太平转债404,852.290.61225
19128074游族转债398,382.040.60117
20128130景兴转债395,061.250.59243
21118030睿创转债377,139.240.57314
22110075南航转债331,115.720.50405
23128048张行转债329,139.840.50133
24128135洽洽转债324,717.350.49270
25128121宏川转债324,465.790.49192
26123108乐普转2324,318.520.49287
27128097奥佳转债323,876.870.49146
28113623凤21转债299,211.500.45456
29113641华友转债280,104.320.42543
30127038国微转债278,813.690.42218
31111014李子转债200,931.380.30226
32123113仙乐转债195,394.440.29340
33111011冠盛转债49,653.680.07168