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持有 20 国债⑽(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(%)
1270002广发稳健增长848,828,981.0010.87
2180001银华优势企业546,292,782.105.00
3184722基金久嘉503,296,407.908.78
4184693基金普丰487,063,828.806.62
5500018基金兴和386,101,549.804.93
6500006基金裕阳383,680,787.406.59
7184692基金裕隆348,555,605.404.13
8500008基金兴华308,246,091.305.31
9184689基金普惠281,484,000.004.77
10050001博时价值增长225,097,600.005.55
11110001易方达平稳增长215,633,451.802.52
12184699基金同盛194,098,297.502.53
13500015基金汉兴192,462,674.403.05
14002001华夏回报186,148,680.904.96
15184701基金景福175,927,500.002.24
16500001基金金泰170,733,114.902.90
17210001金鹰优选168,111,730.808.71
18519011海富通精选160,691,549.203.26
19500011基金金鑫153,127,296.001.94
20000001华夏成长135,347,971.201.25
21500002基金泰和133,983,368.102.13
22184691基金景宏127,105,105.502.07
23500005基金汉盛122,021,303.402.08
24070002嘉实理财增长109,619,516.503.34
25184690基金同益106,355,713.501.85
26002011华夏红利104,107,640.001.14
27288002中信红利精选94,994,201.901.23
28270001广发聚富90,196,809.301.46
29200001长城久恒85,416,500.008.62
30100018富国天利增长84,101,085.905.66
31200007长城安心回报78,382,200.006.45
32184696基金裕华76,654,125.005.27
33000011华夏大盘精选68,835,650.001.73
34040005华安宏利66,825,850.000.56
35184718基金兴安64,339,200.004.23
36090001大成价值增长62,084,731.801.79
37500007基金景阳61,133,298.301.96
38510080长盛债券基金60,294,000.007.10
39162204泰达荷银精选55,109,720.901.51
40184705基金裕泽52,114,752.003.56
41184712基金科汇49,963,410.001.80
42184719基金融鑫49,411,500.302.11
43184703基金金盛47,408,942.703.02
44020003国泰金龙精选46,727,850.0017.97
45519005海富通股票46,073,660.101.14
46519021金鼎价值45,722,950.000.30
47500025基金汉鼎42,317,098.203.58
48500039基金同德41,248,464.303.01
49206001鹏华行业成长38,070,636.504.13
50450001富兰克林国海收益36,512,036.601.22
51213001宝盈鸿利收益35,171,500.001.94
52184709基金安久33,174,900.002.27
53519029华夏平稳增长29,284,795.800.40
54160611鹏华优质治理23,841,252.500.14
55519996长信银利精选21,613,389.203.48
56020005国泰金马稳健19,857,828.901.80
57080001长盛成长价值15,073,500.002.69
58162205泰达荷银风险预算12,058,800.004.51
59020001国泰金鹰增长10,049,000.000.96
60020006国泰金象保本增值9,044,100.002.67
61162102金鹰中小盘精选8,791,870.107.73
62255010德盛稳健6,543,908.801.66
63253010德盛安心4,173,349.705.02
64160603普天收益基金4,024,624.500.59
65257030德盛优势3,718,130.000.10
66310318盛利配置2,827,788.603.93
67160605中国501,507,350.000.02