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持有 21 国债⑶(010103)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744,476,524.009.53
2288102中信稳定双利403,888,574.0011.23
3270001广发聚富387,866,663.006.26
4202201南方避险增值299,777,936.005.18
5184701基金景福194,293,745.102.47
6519011海富通精选159,360,451.003.23
7500009基金安顺133,938,249.901.71
8160311华夏蓝筹133,050,776.000.39
9500007基金景阳127,947,346.804.10
10184691基金景宏124,242,300.002.02
11184699基金同盛106,539,287.401.39
12519003海富通收益增长101,909,000.004.38
13500008基金兴华101,179,696.801.74
14500001基金金泰97,476,670.201.65
15500005基金汉盛90,851,424.301.55
16070011嘉实策略增长89,910,981.000.42
17162207泰达荷银效率60,751,890.003.25
18210001金鹰优选60,540,000.003.14
19519035富国天博59,976,978.000.83
20161601融通新蓝筹40,769,654.002.50
21519021金鼎价值36,075,786.000.24
22206001鹏华行业成长33,867,085.003.67
23410001华富竞争力优选33,387,810.000.67
24184718基金兴安31,791,887.402.09
25184696基金裕华24,141,390.001.66
26350001天治财富增长14,126,000.008.85
27002011华夏红利13,995,839.000.15
28000011华夏大盘精选10,090,000.000.25
29519013海富通风格优势10,025,424.000.12
30020005国泰金马稳健167,494.000.02
31253010德盛安心142,269.000.17