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持有 04国债(5)(010405)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(%)
1001001华夏债券235,040,228.8014.70
2500018基金兴和190,595,823.606.09
3070006嘉实服务增值行业178,310,340.003.38
4500002基金泰和165,575,904.007.12
5270001广发聚富116,985,512.805.73
6240001宝康消费品基金109,664,859.205.08
7000001华夏成长107,308,094.405.16
8500008基金兴华99,283,423.204.15
9184722基金久嘉94,120,000.003.70
10270002广发稳健增长93,649,400.004.57
11184691基金景宏75,296,000.003.52
12180001银华优势企业74,301,151.608.13
13500015基金汉兴63,060,400.002.22
14050001博时价值增长61,563,892.002.36
15200001长城久恒61,178,000.0013.99
16070001嘉实成长收益58,379,812.403.99
17500038基金通乾48,942,400.002.27
18050004博时精选股票47,060,000.001.43
19255010德盛稳健46,153,624.405.51
20162102金鹰中小盘精选38,338,840.8018.73
21070003嘉实理财稳健36,576,914.405.45
22070002嘉实理财增长35,820,189.602.22
23500028基金兴业33,887,906.007.17
24161601融通新蓝筹32,998,472.003.40
25162204泰达荷银精选32,000,800.002.37
26090001大成价值增长31,820,089.605.00
27070005嘉实理财债券31,507,611.2019.44
28161604融通10030,913,714.005.17
29233001巨田基础行业30,012,985.604.09
30184719基金融鑫27,669,397.602.79
31020001国泰金鹰增长25,831,234.003.67
32184708基金兴科25,450,989.204.19
33500010基金金元24,052,366.004.26
34206001鹏华行业成长23,542,578.803.05
35121002国投瑞银景气行业23,530,000.003.23
36020005国泰金马稳健20,434,393.207.09
37530001建信恒久价值18,824,000.000.53
38161605蓝筹成长18,824,000.003.48
39002001华夏回报18,797,646.400.94
40184718基金兴安15,482,740.002.73
41398001中海优质成长14,118,000.008.07
42160603普天收益基金12,612,080.005.79
43121001国投瑞银融华债券12,235,600.004.43
44500025基金汉鼎11,294,400.002.19
45398011中海分红增利10,353,200.005.63
46240002宝康灵活配置基金9,317,880.000.79
47020003国泰金龙精选7,529,600.004.73
48151002银河收益7,059,000.009.89
49161607融通巨潮6,674,990.406.73
50002011华夏红利4,706,000.001.47
51400001东方龙混合型基金3,764,800.002.42
52350001天治财富增长3,594,442.803.29
53163503天治核心3,355,378.001.04
54288002中信红利精选1,882,400.000.71
55410001华富竞争力优选960,024.000.51