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(%)
1270001广发聚富混合542,230,608.709.43
2500038基金通乾441,973,272.8010.75
3184693基金普丰403,075,883.005.89
4184689基金普惠304,820,678.906.30
5500009基金安顺270,901,641.103.19
6000001华夏成长混合269,942,784.102.58
7519013海富通风格优势混合258,569,086.602.33
8161605融通蓝筹成长混合253,226,210.603.08
9180001银华优势企业混合251,652,472.507.40
10184728基金鸿阳248,985,851.606.11
11500001基金金泰236,753,759.705.68
12500008基金兴华231,524,482.704.89
13090001大成价值增长混合228,020,289.204.84
14500011基金金鑫207,133,569.003.79
15184719基金融鑫199,742,322.2010.13
16184688基金开元199,602,807.903.37
17500018基金兴和195,210,616.702.92
18184722基金久嘉188,995,706.303.63
19090002大成债券A/B161,202,201.6010.60
20092002大成债券C161,202,201.6010.60
21184710基金隆元159,333,360.2013.27
22121002国投瑞银景气行业混合159,268,924.105.47
23002011华夏红利混合157,589,734.503.04
24002021华夏回报二号混合153,657,900.003.17
25200001长城久恒灵活配置混合144,876,300.8010.16
26500007基金景阳143,696,717.905.09
27519011海富通精选混合141,964,835.104.24
28184701基金景福140,044,253.602.41
29184706基金天华132,488,400.002.63
30184698基金天元127,332,393.101.55
31500002基金泰和125,462,500.002.37
32500015基金汉兴110,762,309.802.04
33002001华夏回报混合A106,951,924.203.47
34162207泰达宏利效率优选混合(LOF)105,451,500.004.25
35184718基金兴安105,181,737.807.74
36160610鹏华动力增长混合(LOF)103,167,721.800.99
37162208泰达宏利首选企业股票100,430,000.001.87
38519003海富通收益增长混合99,776,200.704.00
39161607融通巨潮100指数(LOF)A95,249,820.605.11
40000011华夏大盘精选混合93,701,190.002.81
41184713基金科翔88,789,309.403.37
42519029华夏稳增混合86,608,823.402.01
43184708基金兴科84,897,964.506.81
44184695基金景博83,011,008.505.08
45184711基金普华81,111,004.407.68
46200007长城安心回报混合79,027,362.704.59
47100018富国天利增长债券77,505,848.209.50
48500019基金普润74,433,388.305.95
49500003基金安信74,313,948.001.40
50500013基金安瑞71,587,898.805.99
51160605鹏华中国50混合70,301,000.002.17
52161604融通深证100指数A66,004,604.603.26
53500035基金汉博65,432,206.705.37
54184700基金鸿飞63,817,253.405.52
55070002嘉实增长混合63,790,123.102.34
56500010基金金元62,229,400.004.51
57206001鹏华弘泰灵活配置混合A59,429,452.507.06
58070007嘉实保本55,236,500.0016.44
59100026富国天合稳健优选混合50,215,000.000.96
60184703基金金盛47,404,751.004.30
61121001国投瑞银融华债券47,187,035.509.04
62288002华夏收入混合45,562,078.101.61
63500025基金汉鼎42,783,716.203.85
64160607鹏华价值优势混合(LOF)41,649,325.303.16
65184709基金安久40,837,541.903.54
66184712基金科汇34,125,800.001.60
67040005华安宏利混合32,941,040.000.51
68500021基金金鼎31,571,383.503.07
69519007海富通强化回报混合30,129,000.001.66
70020001国泰金鹰增长混合30,129,000.003.82
71162203泰达宏利稳定混合30,129,000.002.08
72410001华富竞争力优选混合27,406,342.706.01
73210001金鹰成份优选混合23,098,900.0012.47
74150103银河银泰混合23,029,603.302.31
75213001宝盈鸿利收益混合A20,892,452.903.70
76233001大摩基础行业混合20,804,074.5010.28
77162102金鹰中小盘精选混合20,638,365.0011.56
78519005海富通股票混合20,086,000.000.57
79151001银河稳健混合14,532,221.006.46
80255010国联安稳健混合14,227,918.103.80
81519690交银稳健配置混合A12,051,600.000.21
82519692交银成长混合A11,417,886.700.18
83350001天治财富增长混合11,093,497.807.00
84240001华宝宝康消费品混合8,424,068.400.22
85519996长信银利精选混合6,829,240.002.25
86020003国泰金龙行业混合6,025,800.003.15
87162204泰达宏利行业混合5,737,565.900.19
88020005国泰金马稳健混合5,021,500.000.67
89202003南方绩优混合A3,367,417.900.03
90160603鹏华普天收益混合1,355,805.000.16
91200006长城消费增值混合94,404.200.00