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持有 20国债(10)(010010)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(%)
1184722基金久嘉468,760,029.6010.08
2270002广发稳健增长混合A443,706,420.506.77
3500018基金兴和435,436,114.807.78
4500008基金兴华358,747,573.808.20
5180001银华优势企业混合292,274,034.106.52
6002001华夏回报混合A259,759,049.108.77
7184692基金裕隆255,981,200.004.21
8110001易方达平稳增长混合245,125,798.201.64
9184693基金普丰232,618,380.404.23
10500015基金汉兴195,077,830.404.28
11184699基金同盛184,502,985.003.38
12500006基金裕阳170,318,200.004.22
13500002基金泰和164,248,220.603.79
14500005基金汉盛163,381,512.603.97
15184689基金普惠160,435,713.203.98
16184701基金景福154,780,947.402.66
17500001基金金泰151,001,697.403.60
18184720基金久富148,128,459.6012.55
19500016基金裕元147,931,938.604.93
20184706基金天华146,131,000.003.33
21184721基金丰和143,282,957.202.30
22002021华夏回报二号混合142,523,180.002.00
23240002华宝宝康配置混合139,202,329.606.45
24519011海富通精选混合131,658,049.005.54
25002011华夏红利混合120,612,000.002.48
26092002大成债券C120,595,918.4014.39
27090002大成债券A/B120,595,918.4014.39
28184691基金景宏110,288,593.002.71
29070002嘉实增长混合109,641,333.504.50
30500009基金安顺108,540,060.001.65
31500011基金金鑫108,157,096.002.24
32184708基金兴科103,400,280.009.53
33184719基金融鑫99,924,377.805.43
34519005海富通股票混合99,798,389.202.75
35519013海富通风格优势混合90,459,000.003.32
36184718基金兴安83,647,400.007.72
37240001华宝宝康消费品混合83,193,132.104.09
38000001华夏成长混合82,217,180.003.55
39519007海富通强化回报混合64,576,669.903.79
40184728基金鸿阳64,240,195.401.82
41500035基金汉博61,643,094.805.82
42184702基金同智54,033,197.006.97
43040001华安创新混合47,215,577.602.12
44500019基金普润45,369,140.404.37
45000011华夏大盘精选混合44,224,400.002.23
46500025基金汉鼎43,430,133.204.89
47100018富国天利增长债券43,310,764.1012.75
48500013基金安瑞42,598,698.204.84
49184700基金鸿飞41,763,232.004.50
50500029基金科讯40,312,000.002.14
51162204泰达宏利行业混合40,204,000.001.43
52500039基金同德38,327,641.803.65
53184705基金裕泽34,270,239.003.23
54184709基金安久34,240,005.003.40
55184696基金裕华33,358,180.003.18
56020003国泰金龙行业混合32,665,750.0017.70
57206001鹏华弘泰灵活配置混合A29,032,313.503.94
58500021基金金鼎25,698,900.002.99
59160607鹏华价值优势混合(LOF)25,127,500.001.39
60510080长盛全债指数增强债券24,169,639.7016.84
61184703基金金盛21,034,801.601.90
62020005国泰金马稳健混合19,841,679.103.66
63090001大成价值增长混合19,549,195.003.57
64184711基金普华19,148,200.002.28
65100016富国天源沪港深平衡混合18,480,773.703.80
66162102金鹰中小盘精选混合18,190,299.8016.56
67213001宝盈鸿利收益混合A18,175,223.307.76
68040005华安宏利混合17,086,700.000.75
69162202泰达宏利周期混合14,986,041.005.93
70121001国投瑞银融华债券13,166,810.009.09
71200001长城久恒灵活配置混合12,391,877.902.77
72162203泰达宏利稳定混合12,061,200.003.73
73210001金鹰成份优选混合10,051,000.0015.40
74020001国泰金鹰增长混合10,051,000.001.19
75161005富国天惠成长混合(LOF)A8,040,800.001.83
76310318申万菱信沪深300指数增强A7,839,780.006.40
77255010国联安稳健混合7,754,346.501.97
78288002华夏收入混合7,579,459.101.49
79151001银河稳健混合6,043,666.304.75
80020002国泰金龙债券A3,015,300.005.83
81162205泰达宏利风险预算混合2,512,750.003.43
82160605鹏华中国50混合1,507,650.000.22