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华宝增强收益债券A(240012)

2024-11-20     1.28850.6169%
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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)
101972723国债241,839,757.816.021755
201974224特国011,155,588.583.7886
3132026G三峡EB21,033,493.923.38522
4123222博俊转债923,803.083.02195
5111008沿浦转债919,064.593.01136
6113069博23转债914,685.012.99298
7118043福立转债914,243.422.99223
8127015希望转债907,202.992.97162
9111002特纸转债906,079.292.96184
10113673岱美转债905,406.222.96228
11110062烽火转债904,523.182.96314
12113024核建转债904,020.662.96212
13127104姚记转债902,423.852.95109
14123190道氏转02899,585.752.94254
15127043川恒转债884,690.682.89234
16113632鹤21转债880,577.702.88348
17113664大元转债845,631.642.77193
18127100神码转债604,033.701.98282
19127082亚科转债474,823.011.55180
20110090爱迪转债460,150.141.51298
21118029富淼转债423,064.111.38101
22127050麒麟转债413,610.411.35344
23128087孚日转债384,348.661.26179
24113663新化转债382,729.321.25148
25127072博实转债362,699.181.19168
26123193海能转债355,135.891.16163
2713202019蓝星EB332,798.221.0968
28113588润达转债295,996.380.9770
29123059银信转债291,274.270.95132
30123050聚飞转债260,583.010.85129
31113637华翔转债249,960.550.82264
32123178花园转债245,478.080.80294
33128143锋龙转债243,998.850.8024
34123022长信转债241,067.120.7946
35111015东亚转债222,652.550.73142
36113534鼎胜转债212,110.680.6986
37118042奥维转债204,871.180.67201
38123056雪榕转债201,604.930.6614
39118035国力转债198,223.290.65146
40111009盛泰转债186,338.900.61137
41123221力诺转债181,894.110.59166
42123219宇瞳转债132,995.890.43220
43123212立中转债113,402.330.37274
44123224宇邦转债113,400.520.37148
45123223九典转0280,088.770.26136
46123127耐普转债79,501.250.26125
47127081中旗转债60,991.160.20115