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持有 20国债(10)(010010)的基金
序号 基金代码 基金简称 债券市值(元) 占基金净值比例(%)
1184693基金普丰467,004,278.406.83
2500018基金兴和453,501,756.406.79
3184722基金久嘉411,136,211.207.90
4270002广发稳健增长371,246,231.706.49
5500008基金兴华366,941,843.407.75
6184692基金裕隆306,572,600.404.10
7002001华夏回报251,567,277.308.17
8500016基金裕元250,883,494.407.44
9500006基金裕阳244,814,900.004.63
10110001易方达平稳增长220,042,074.602.25
11184689基金普惠217,327,264.004.49
12000001华夏成长195,719,846.401.87
13184699基金同盛194,117,605.003.09
14500015基金汉兴178,406,219.203.29
15180001银华优势企业173,916,900.005.11
16184701基金景福170,918,000.002.94
17500001基金金泰170,750,098.204.10
18500011基金金鑫153,142,528.002.80
19200001长城久恒146,274,165.9010.26
20519013海富通风格优势145,070,821.801.30
21500005基金汉盛142,141,441.202.86
22200007长城安心回报134,710,200.007.82
23500002基金泰和133,996,695.802.53
24519011海富通精选131,684,247.003.93
25184691基金景宏125,106,949.002.87
26090002大成债券基金121,826,275.208.01
27092002大成债券C121,826,275.208.01
28519005海富通股票120,925,526.403.43
29050001博时价值增长111,588,300.003.22
30070002嘉实理财增长109,663,150.504.02
31500009基金安顺109,447,844.001.29
32002011华夏红利104,149,080.002.01
33240002宝康灵活配置基金101,507,151.602.01
34184719基金融鑫99,686,415.405.06
35184690基金同益99,328,493.002.05
36184708基金兴科89,329,790.007.16
37184718基金兴安83,448,200.006.14
38184728基金鸿阳82,284,952.202.02
39000011华夏大盘精选68,863,050.002.07
40500035基金汉博67,409,053.805.53
41519007海富通强化回报64,589,519.703.57
42500007基金景阳61,139,379.402.17
43288002中信红利精选59,876,673.302.12
44100018富国天利增长59,002,062.307.23
45500019基金普润55,786,629.804.46
46162204泰达荷银精选55,131,657.301.86
47500013基金安瑞54,944,104.604.60
48020003国泰金龙精选54,788,850.0028.64
49500025基金汉鼎52,375,307.604.72
50002021华夏回报二号51,625,170.901.07
51500039基金同德50,301,167.404.47
52184696基金裕华49,867,840.003.88
53510080长盛债券基金47,692,437.3010.63
54184705基金裕泽45,886,456.003.84
55500021基金金鼎45,745,700.004.45
56206001鹏华行业成长38,085,790.504.52
57184709基金安久37,677,365.003.26
58184703基金金盛35,348,858.603.21
59500010基金金元29,367,734.002.13
60519029华夏平稳增长29,296,452.600.68
61184700基金鸿飞26,582,776.002.30
62184711基金普华23,853,115.002.26
63162102金鹰中小盘精选22,165,859.7012.42
64213001宝盈鸿利收益21,194,739.903.75
65020005国泰金马稳健19,845,627.302.64
66162208泰达荷银首选企业15,141,828.600.28
67210001金鹰优选14,737,698.007.96
68310318盛利配置14,576,850.0023.54
69162205泰达荷银风险预算13,571,550.004.17
70121001国投瑞银融华债券13,169,430.002.52
71020001国泰金鹰增长10,053,000.001.27
72519996长信银利精选8,251,502.402.73
73255010德盛稳健7,209,006.301.93
74253010德盛安心2,462,985.006.48
75160605中国501,507,950.000.05
76240001宝康消费品基金272,436.300.01