行情中心升级到1.1版! 官方博客
持有 招行转债(110036)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(%)
1070006嘉实服务增值行业367,986,895.905.90
2340001兴业可转债混合355,181,430.5016.89
3519003海富通收益增长320,190,000.003.97
4202201南方避险增值166,718,663.806.16
5257010德盛小盘159,932,770.402.76
6184691基金景宏158,398,865.008.57
7184698基金天元157,529,830.504.78
8160605中国5094,237,253.507.50
9519688交银精选92,922,339.903.71
10070001嘉实成长收益91,629,839.604.66
11202001南方稳健成长74,711,000.002.23
12110001易方达平稳增长67,714,848.502.65
13500058基金银丰67,517,049.702.24
14000001华夏成长65,082,886.703.21
15310308盛利精选64,171,514.001.35
16050004博时精选股票60,673,870.401.30
17160105南方积配57,494,383.704.49
18270001广发聚富56,963,935.602.49
19270002广发稳健增长53,721,478.202.78
20184688基金开元53,315,000.002.50
21202101南方宝元债券型50,500,366.805.40
22161603融通债券47,522,599.8015.31
23040004华安宝利配置39,672,608.303.73
24500056基金科瑞35,336,115.700.98
25160106南方高增长34,153,600.006.33
26080001长盛成长价值33,502,547.002.98
27070002嘉实理财增长28,111,614.701.53
28240005华宝兴业多策略增长26,337,762.100.84
29151001银河稳健24,331,238.105.63
30070003嘉实理财稳健23,112,381.502.75
31161601融通新蓝筹22,626,760.002.09
32500015基金汉兴21,320,000.000.83
33100018富国天利增长18,647,865.608.15
34090002大成债券基金17,604,046.208.13
35184718基金兴安17,074,661.903.33
36184708基金兴科17,070,396.703.25
37002011华夏红利16,009,500.002.99
38213001宝盈鸿利收益15,860,078.004.57
39500008基金兴华15,018,835.500.74
40160505博时主题14,876,027.401.34
41500035基金汉博14,384,387.003.01
42121002国投瑞银景气行业12,807,600.001.09
43255010德盛稳健11,985,779.001.07
44110002易方达策略成长10,673,000.000.42
45121001国投瑞银融华债券10,673,000.003.49
46090003大成蓝筹稳健10,673,000.001.33
47510080长盛债券基金9,605,700.007.01
48184719基金融鑫9,127,528.001.08
49500005基金汉盛8,530,400.000.43
50110005易方达积极成长7,654,675.600.59
51260104景顺内需增长6,496,655.100.48
52160602普天债券基金6,083,610.008.71
53184711基金普华4,884,720.301.27
54580001东吴嘉禾优势4,838,070.901.39
55350002天治品质优选4,269,200.001.78
56184696基金裕华3,755,508.600.72
57200001长城久恒3,231,784.400.78
58020002国泰金龙债券3,201,900.004.73
59350001天治财富增长2,676,788.401.75
60020006国泰金象保本增值2,241,330.000.50
61070005嘉实理财债券2,134,600.001.75
62002001华夏回报1,266,885.100.06
63500039基金同德1,135,609.500.20
64253010德盛安心90,720.500.06
65184702基金同智2,132.600.00