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持有 23国债11(019704)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(%)
1008339嘉实安元39个月定期纯债债券C1,788,621,074.3810.65
2008338嘉实安元39个月定期纯债债券A1,788,621,074.3810.65
3008333景顺长城弘利39个月定期开放债券1,055,414,395.5912.93
4002227长城新优选混合A50,438,452.0610.98
5002228长城新优选混合C50,438,452.0610.98
6009229平安增鑫六个月定开债E20,587,123.2914.55
7009228平安增鑫六个月定开债C20,587,123.2914.55
8009227平安增鑫六个月定开债A20,587,123.2914.55
9050201博时价值增长贰号混合14,819,848.772.04
10009830长城优选增强六个月混合C10,293,561.648.76
11009829长城优选增强六个月混合A10,293,561.648.76
12004774添富添福吉祥混合3,602,046.587.19
13003119博时鑫源混合A2,058,312.3311.51
14003120博时鑫源混合C2,058,312.3311.51
15002425金鹰元禧混合C1,029,356.165.93
16210006金鹰元禧混合A1,029,356.165.93
17005722前海联合泓瑞定开债券102,915.629.61