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新华安享惠金定期债券C(519161)

2024-11-29     0.96800.2693%
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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)
124020324国开0310,293,508.2020.29461
224001424附息国债1410,085,816.4419.8836
301974324国债111,830,280.933.61111
401974124国债10506,322.601.0094
5102232国债2304424,127.780.843
6113060浙22转债206,630.680.41624
7110073国投转债161,303.590.32419
8127050麒麟转债151,657.150.30344
9113582火炬转债150,018.620.3073
10113058友发转债88,020.100.17350
11113619世运转债85,803.040.17236
12110075南航转债80,939.400.16405
13127099盛航转债74,577.960.15120
14110079杭银转债65,668.970.13827
15123107温氏转债61,545.750.12732
16127086恒邦转债59,673.660.12330
17113588润达转债59,199.280.1270
18118009华锐转债50,349.680.10192
19127016鲁泰转债44,484.160.09314
20127104姚记转债28,200.750.06109
21127095广泰转债26,496.510.05253
22110089兴发转债22,183.950.04370
23127089晶澳转债17,819.150.04400