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持有 23国债05(019698)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(%)
1009844华泰紫金丰安27个月定开债券发起A865,785,494.9610.83
2009845华泰紫金丰安27个月定开债券发起C865,785,494.9610.83
3003275国联安添利增长债券A123,859,430.006.55
4003276国联安添利增长债券C123,859,430.006.55
5270001广发聚富混合53,516,120.003.57
6100035富国优化增强债券A/B36,759,600.004.36
7100037富国优化增强债券C36,759,600.004.36
8160612鹏华丰收债券25,527,500.0013.86
9160603鹏华普天收益混合24,710,620.006.44
10003361前海开源瑞和债券C15,247,065.2026.48
11003360前海开源瑞和债券A15,247,065.2026.48
12009016泓德睿享一年持有期混合C14,091,180.0020.93
13009015泓德睿享一年持有期混合A14,091,180.0020.93
14000165国投瑞银策略精选混合10,721,550.001.81
15501028财通福瑞混合发起(LOF)10,619,440.006.92
16400013东方成长收益灵活配置混合A10,211,000.005.11
17007687东方成长收益灵活配置混合C10,211,000.005.11
18008428东方红鑫裕两年定开信用债债券10,211,000.003.26
19006243中银双息回报混合10,211,000.005.71
20005866浦银安盛量化多策略混合C7,147,700.0014.36
21005865浦银安盛量化多策略混合A7,147,700.0014.36
22121006国投瑞银稳健增长混合5,922,380.001.08
23001823光大保德信鼎鑫混合C5,820,270.0034.46
24001464光大保德信鼎鑫混合A5,820,270.0034.46
25003168前海开源鼎瑞债券C5,718,160.0021.87
26003167前海开源鼎瑞债券A5,718,160.0021.87
27004025融通收益增强债券A5,105,500.008.04
28004026融通收益增强债券C5,105,500.008.04
29004457光大保德信智选18个月混合5,105,500.0026.50
30004734中欧瑾灵灵活配置混合A5,105,500.0010.28
31004735中欧瑾灵灵活配置混合C5,105,500.0010.28
32007099安信尊享添益债券C4,288,620.0013.31
33005678安信尊享添益债券A4,288,620.0013.31
34003806华安新恒利灵活配置混合C4,084,400.0010.90
35003805华安新恒利灵活配置混合A4,084,400.0010.90
36675081西部利得祥盈债券A2,654,860.0017.72
37675083西部利得祥盈债券C2,654,860.0017.72
38003105光大保德信永鑫混合A2,450,640.0035.49
39003106光大保德信永鑫混合C2,450,640.0035.49
40000110金鹰元安混合A2,042,600.004.17
41002513金鹰元安混合C2,042,600.004.17
42003221新华丰利债券A1,021,100.0011.95
43003222新华丰利债券C1,021,100.0011.95
44001765前海开源嘉鑫混合A1,021,100.003.12
45001770前海开源嘉鑫混合C1,021,100.003.12
46519661银河增利债券C714,770.0015.32
47519660银河增利债券A714,770.0015.32
48005139前海开源弘丰债券C102,110.001.11
49005138前海开源弘丰债券A102,110.001.11