行情中心升级到1.1版! 官方博客
持有 02国债(14)(010214)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(%)
1184688基金开元216,696,148.2010.15
2270001广发聚富205,813,431.609.01
3270002广发稳健增长121,364,973.606.28
4184701基金景福115,897,000.004.20
5161601融通新蓝筹98,462,192.809.08
6110001易方达平稳增长94,783,549.603.71
7500011基金金鑫89,278,986.403.13
8500001基金金泰76,392,247.803.90
9240001宝康消费品基金74,117,400.003.85
10020006国泰金象保本增值70,578,924.4015.61
11500007基金景阳65,507,000.006.05
12184719基金融鑫65,453,586.607.72
13184693基金普丰50,100,761.401.76
14180001银华优势企业43,121,200.803.74
15184695基金景博42,803,281.604.63
16121001国投瑞银融华债券39,864,068.8013.03
17184738基金通宝38,460,671.408.33
18500010基金金元38,381,055.207.53
19090001大成价值增长26,218,400.002.85
20184703基金金盛25,295,780.004.82
21161603融通债券24,907,480.008.02
22160603普天收益基金18,612,038.808.29
23420001天弘精选16,811,036.406.58
24151001银河稳健16,739,440.003.88
25184712基金科汇16,507,764.001.52
26184710基金隆元15,208,709.803.38
27580001东吴嘉禾优势10,084,000.002.90
28020003国泰金龙精选6,554,600.002.93
29020005国泰金马稳健4,894,773.600.78
30350001天治财富增长4,492,422.002.93
31350002天治品质优选3,532,425.201.48
32519180万家1801,512,600.000.27