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持有 国开1702(018006)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(%)
1008017国泰惠信三年定期开放债券680,729,990.554.77
2003400建信恒瑞一年定期开放债券489,168,000.002.92
3007761鑫元安睿三年定期开放债券349,491,456.2822.95
4240001华宝宝康消费品混合127,420,111.207.79
5001823光大保德信鼎鑫混合C108,614,658.9017.11
6001464光大保德信鼎鑫混合A108,614,658.9017.11
7006083鑫元全利债券C96,814,500.009.74
8006082鑫元全利债券A96,814,500.009.74
9008064建信睿信三个月定期开放债券92,573,005.8043.63
10100037富国优化增强债券C78,328,026.003.10
11100035富国优化增强债券A/B78,328,026.003.10
12162201泰达宏利成长混合72,553,805.409.15
13003105光大保德信永鑫混合A69,967,329.6010.97
14003106光大保德信永鑫混合C69,967,329.6010.97
15005786中邮纯债汇利三个月定期开放债券57,766,664.4027.26
16005206南方优选成长混合C56,050,500.001.66
17202023南方优选成长混合A56,050,500.001.66
18202001南方稳健成长混合48,509,160.002.09
19004734中欧瑾灵灵活配置混合A47,372,863.506.72
20004735中欧瑾灵灵活配置混合C47,372,863.506.72
21002367国联安安稳灵活配置混合42,345,643.207.45
22450001国富中国收益混合41,171,640.006.06
23002782富国祥利定期开放债券发起式37,867,717.8010.07
24162207泰达宏利效率优选混合(LOF)35,674,614.603.46
25005589长信企业精选两年定开混合34,649,400.005.14
26001157国联安睿祺灵活配置混合33,324,570.006.10
27004975交银恒益灵活配置混合31,518,724.804.17
28001185安信动态策略混合A29,622,179.705.35
29002029安信动态策略混合C29,622,179.705.35
30009205兴银丰运稳益回报混合A26,496,600.0011.87
31009206兴银丰运稳益回报混合C26,496,600.0011.87
32008758九泰聚鑫混合C25,477,500.008.01
33008757九泰聚鑫混合A25,477,500.008.01
34253020国联安增利债券A23,687,960.4067.73
35253021国联安增利债券B23,687,960.4067.73
36100016富国天源沪港深平衡混合23,483,121.303.67
37000812富国收益增强债券C23,439,300.004.00
38000810富国收益增强债券A23,439,300.004.00
39673071西部利得新动力混合A21,534,602.103.85
40673073西部利得新动力混合C21,534,602.103.85
41162203泰达宏利稳定混合21,013,842.008.79
42002358国投瑞银瑞祥灵活配置混合20,842,633.203.80
43002448江信汇福债券20,383,019.104.70
44373020上投摩根双核平衡混合20,382,000.003.87
45008455中信保诚中债1-3年国开行指数C20,338,000.0013.52
46008454中信保诚中债1-3年国开行指数A20,338,000.0013.52
47673040西部利得行业主题优选混合A19,774,616.404.09
48673043西部利得行业主题优选混合C19,774,616.404.09
49007546融通增享纯债债券19,087,743.0030.06
50007101中欧远见两年定期开放混合C16,887,506.100.38
51166025中欧远见两年定期开放混合A16,887,506.100.38
52161603融通债券A/B16,305,600.008.43
53161693融通债券C16,305,600.008.43
54161627融通通福债券(LOF)C15,892,864.5021.39
55161626融通通福债券(LOF)A15,892,864.5021.39
56000316中海瑞利六个月定期开放债券15,339,493.2015.89
57673120西部利得新富混合15,184,590.008.08
58675011西部利得稳健双利债券A14,776,950.0010.55
59675013西部利得稳健双利债券C14,776,950.0010.55
60161010富国天丰强化债券(LOF)13,997,338.503.95
61009349前海联合添泽债券A13,600,908.6013.65
62009350前海联合添泽债券C13,600,908.6013.65
63519753交银安心收益债券13,482,693.0015.99
64150103银河银泰混合12,840,660.000.91
65007342国投瑞银顺臻纯债债券12,229,200.006.28
66004466长盛盛杰混合C11,964,234.0020.04
67009850长盛盛杰混合A11,964,234.0020.04
68009624安信阿尔法定开混合C11,963,214.902.78
69005280安信阿尔法定开混合A11,963,214.902.78
70519683交银双利债券A/B11,636,083.805.81
71519685交银双利债券C11,636,083.805.81
72150033嘉实多利分级债券进取11,210,100.0010.72
73150032嘉实多利分级债券优先11,210,100.0010.72
74160718嘉实多利分级债券11,210,100.0010.72
75002581招商丰凯混合A10,639,404.002.82
76002582招商丰凯混合C10,639,404.002.82
77003000招商丰德混合A10,522,207.5017.02
78003001招商丰德混合C10,522,207.5017.02
79673050西部利得新盈混合10,191,000.003.25
80005027光大保德信优选一年混合10,113,548.406.27
81002515招商丰益混合C9,866,926.202.53
82002514招商丰益混合A9,866,926.202.53
83519730交银定期支付月月丰债券A9,597,883.8033.19
84519731交银定期支付月月丰债券C9,597,883.8033.19
85003334中融融信双盈债券A9,555,081.6039.29
86003335中融融信双盈债券C9,555,081.6039.29
87002849金信智能中国2025混合9,538,776.0010.56
88162202泰达宏利周期混合9,421,579.504.45
89005252中海添瑞定期开放混合9,171,900.0087.47
90004798建信智享添鑫定期开放混合9,171,900.0030.79
91002908富国睿利定期开放混合发起式8,610,375.909.02
92519726交银稳固收益债券8,294,454.9013.96
93006636华富恒欣纯债债券A8,152,800.0013.36
94006637华富恒欣纯债债券C8,152,800.0013.36
95000859融通通瑞债券C7,593,314.1047.84
96000466融通通瑞债券A7,593,314.1047.84
97519326浦银安盛幸福聚益定开债券A7,133,700.008.60
98519327浦银安盛幸福聚益定开债券C7,133,700.008.60
99240013华宝增强收益债券B6,624,150.0012.81
100240012华宝增强收益债券A6,624,150.0012.81
101000333长城稳固收益债券A6,582,393.7015.02
102000334长城稳固收益债券C6,582,393.7015.02
103000597中海积极收益混合6,577,271.403.56
104161902万家增强收益债券6,114,600.008.34
105007757国投瑞银顺业纯债债券5,156,646.008.58
106519729交银增强收益债券4,921,233.9028.33
107004335华宝新飞跃混合4,585,950.002.39
108005997天弘裕利混合C4,076,400.008.89
109002388天弘裕利混合A4,076,400.008.89
110008229鑫元安硕两年定期开放债券4,072,380.000.18
111121010国投瑞银瑞源灵活配置混合3,261,120.002.39
112000104华宸稳健添利债券A3,072,586.505.19
113006258华宸稳健添利债券C3,072,586.505.19
114006141广发集嘉债券C3,050,700.005.24
115006140广发集嘉债券A3,050,700.005.24
116004045金鹰添润定期开放债券3,050,166.3029.06
117002440中加瑞盈债券2,802,525.0014.33
118003628兴银收益增强债券2,761,761.0014.66
119002355国投瑞银岁赢利债券2,543,673.6031.24
120005018国金民丰回报混合2,078,964.008.28
121004219中海添顺定期开放混合2,038,200.0036.31
122519129浦银安盛月月盈定期支付债券C2,038,200.009.61
123519128浦银安盛月月盈定期支付债券A2,038,200.009.61
124002644大成景荣债券A2,038,200.0010.04
125002645大成景荣债券C2,038,200.0010.04
126000361信诚年年有余定期开放债券B2,033,800.0017.70
127000360信诚年年有余定期开放债券A2,033,800.0017.70
128005430渤海汇金睿选混合C1,930,175.4014.25
129005429渤海汇金睿选混合A1,930,175.4014.25
130003733金鹰添裕纯债债券1,770,176.7051.97
131001654国联安添鑫灵活配置混合C1,757,947.500.40
132001359国联安添鑫灵活配置混合A1,757,947.500.40
133005047南华瑞扬纯债债券A1,711,068.9020.51
134005048南华瑞扬纯债债券C1,711,068.9020.51
135005272安信恒利增强债券C1,487,886.0016.22
136005271安信恒利增强债券A1,487,886.0016.22
137003723华润元大双鑫债券C1,426,740.0021.03
138003680华润元大双鑫债券A1,426,740.0021.03
139008345南华瑞泽债券A1,325,849.1011.03
140008346南华瑞泽债券C1,325,849.1011.03
141003384金鹰添盈纯债债券1,282,027.8077.65
142002277中邮纯债恒利债券C1,263,684.0026.07
143002276中邮纯债恒利债券A1,263,684.0026.07
144005179信达澳银新起点定期开放混合A1,222,920.009.66
145006462信达澳银新起点定期开放混合C1,222,920.009.66
146163907中海惠裕纯债债券(LOF)1,222,920.009.55
147005514南华瑞恒中短债债券C1,102,666.2025.62
148005513南华瑞恒中短债债券A1,102,666.2025.62
149002278中邮稳健合赢债券647,128.5056.67
150006731方正富邦富利纯债A577,829.702.47
151006732方正富邦富利纯债C577,829.702.47
152003124天治鑫利纯债债券C489,168.0016.12
153003123天治鑫利纯债债券A489,168.0016.12
154004291前海开源顺和债券C460,633.209.97
155004290前海开源顺和债券A460,633.209.97
156004675富国新机遇灵活配置混合C444,327.600.12
157004674富国新机遇灵活配置混合A444,327.600.12
158167506安信深圳科技指数(LOF)A315,921.000.07
159167507安信深圳科技指数(LOF)C315,921.000.07
160002397中邮增力债券254,775.0081.72
161003852金鹰添享纯债债券81,528.0011.83
162006737诺安恒惠债券26,496.6045.32
163009747中科沃土沃鑫成长混合发起C10,191.000.00
164519225海富通集利债券10,191.006.97
165003125中科沃土沃鑫成长混合发起A10,191.000.00
166007504上投摩根瑞利纯债债券C7,133.700.61
167007503上投摩根瑞利纯债债券A7,133.700.61