行情中心升级到1.1版! 官方博客
持有 20国债⑷(010004)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(%)
1500018基金兴和323,839,371.604.13
2500001基金金泰304,804,553.205.17
3500011基金金鑫258,990,790.803.27
4500006基金裕阳168,258,635.602.89
5184698基金天元164,062,104.001.84
6184691基金景宏156,234,807.602.54
7002001华夏回报148,915,000.003.97
8050001博时价值增长128,112,088.003.16
9500008基金兴华125,339,422.402.16
10184699基金同盛123,216,000.001.61
11184703基金金盛117,753,424.007.50
12184690基金同益78,473,190.001.36
13310308盛利精选63,041,368.002.96
14217001招商股票基金52,465,322.004.16
15020006国泰金象保本增值51,105,574.0015.10
16500039基金同德37,956,688.802.77
17184705基金裕泽35,207,945.202.41
18213001宝盈鸿利收益27,729,000.001.53
19519021金鼎价值25,037,233.000.17
20217002招商平衡型基金23,621,000.007.33
21184718基金兴安22,084,414.401.45
22080001长盛成长价值17,656,184.003.15
23200001长城久恒15,405,000.001.56
24020003国泰金龙精选13,351,000.005.13
25257030德盛优势8,216,000.000.21
26162205泰达荷银风险预算7,189,000.002.69
27253010德盛安心1,757,197.002.11
28290003泰信中短债513,500.000.42