行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

鹏华双债加利债券A(000143)

2025-04-01     1.80440.4901%
持仓重大变化
截止日期:  
 查询其他基金该项数据
序号 股票代码 股票简称 累计买入金额(万元) 占期初净值比例(%)
1601336新华保险9,864.352.16
2600809山西汾酒8,799.571.93
3002984广发中证环保ETF联接C7,989.061.75
4002984森麒麟7,989.061.75
5002171楚江新材6,733.701.48
6600988赤峰黄金6,587.461.44
7603259药明康德6,116.051.34
8603606东方电缆5,267.461.15
9601872招商轮船5,167.751.13
10300015爱尔眼科5,034.521.10
11002130广发鑫隆混合A5,024.901.10
12002130沃尔核材5,024.901.10
13600276恒瑞医药4,960.771.09
14601702华峰铝业4,896.821.07
15300502新易盛4,808.961.05
16002241德邦增利货币B4,808.891.05
17002241歌尔股份4,808.891.05
18300033同花顺4,706.741.03
19002463创金合信价值红利混合A4,668.811.02
20002463沪电股份4,668.811.02
21300832新产业4,020.500.88
22688068热景生物3,779.750.83
23002837华夏网购精选混合A3,451.610.76
24002837英维克3,451.610.76
25688041海光信息3,441.030.75
序号 股票代码 股票简称 累计卖出金额(万元) 占期初净值比例(%)
1002463创金合信价值红利混合A10,122.982.22
2002463沪电股份10,122.982.22
3600809山西汾酒9,702.752.13
4601872招商轮船9,630.822.11
5600276恒瑞医药7,527.871.65
6600988赤峰黄金7,475.321.64
7002984广发中证环保ETF联接C7,447.181.63
8002984森麒麟7,447.181.63
9300033同花顺7,236.181.59
10603259药明康德6,709.731.47
11300832新产业6,450.001.41
12002920中欧短债债券A5,646.091.24
13002920德赛西威5,646.091.24
14688617惠泰医疗5,588.511.22
15601336新华保险5,376.081.18
16600150中国船舶5,138.951.13
17002171楚江新材4,979.491.09
18300015爱尔眼科4,852.061.06
19000975华夏MSCI中国A股国际通ETF联接A4,581.951.00
20000975山金国际4,581.951.00
21300502新易盛4,524.990.99
22600079人福医药4,473.350.98
23605098行动教育4,311.160.94
24000543上银慧财宝货币B4,300.680.94
25000543皖能电力4,300.680.94