行情中心升级到1.1版! 官方博客
持有 21国债(15)(010115)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(%)
1184698基金天元191,407,413.602.89
2184693基金普丰119,777,041.802.18
3519003海富通收益增长103,956,016.003.52
4500010基金金元102,369,781.808.89
5162207泰达荷银效率102,065,742.002.57
6184688基金开元97,707,051.002.35
7240002宝康灵活配置基金94,362,800.004.37
8500007基金景阳92,496,947.403.96
9500005基金汉盛91,712,111.402.23
10202001南方稳健成长90,540,000.003.38
11070002嘉实理财增长83,631,798.003.43
12500015基金汉兴79,541,116.201.75
13184691基金景宏70,643,289.601.74
14184695基金景博69,180,274.804.12
15519011海富通精选63,378,000.002.67
16184709基金安久62,872,407.006.24
17500017基金景业62,597,714.406.91
18500006基金裕阳58,862,700.001.46
19184711基金普华55,840,075.206.64
20500016基金裕元51,316,200.001.71
21217001招商股票基金51,237,592.003.71
22090001大成价值增长45,873,600.008.39
23500019基金普润43,802,904.604.22
24040001华安创新42,151,400.001.89
25217002招商平衡型基金30,683,000.0010.63
26217003招商债券基金28,041,244.007.86
27217203招商债券B28,041,244.007.86
28500013基金安瑞27,932,112.003.17
29184702基金同智27,167,400.003.51
30184705基金裕泽26,161,200.002.47
31160603普天收益基金24,836,128.0012.69
32217005招商先锋21,948,908.001.68
33184710基金隆元14,086,800.001.44
34184696基金裕华12,476,880.001.19
35162203泰达荷银稳定11,941,220.003.69
36162202泰达荷银周期8,269,320.003.27
37350001天治财富增长4,325,800.006.86
38151001银河稳健3,521,000.002.77