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持有 23国债13(019706)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(%)
1007246安信鑫日享中短债债券C151,193,835.622.04
2007245安信鑫日享中短债债券A151,193,835.622.04
3202001南方稳健成长混合92,429,831.515.98
4050001博时价值增长混合75,899,305.484.15
5006258华宸稳健添利债券C56,445,698.634.52
6000104华宸稳健添利债券A56,445,698.634.52
7050201博时价值增长贰号混合51,708,291.787.29
8240002华宝宝康配置混合40,318,356.1610.07
9530014建信双周理财A28,222,849.3119.71
10008572金信民达纯债C23,787,830.149.40
11008571金信民达纯债A23,787,830.149.40
12005416鹏华尊惠定期开放混合A20,159,178.086.33
13005417鹏华尊惠定期开放混合C20,159,178.086.33
14080001长盛成长价值混合18,143,260.275.65
15020005国泰金马稳健混合17,639,280.822.02
16202002南方稳健成长贰号混合14,816,995.891.31
17255010国联安稳健混合14,816,995.896.82
18004734中欧瑾灵灵活配置混合A10,986,752.0522.11
19004735中欧瑾灵灵活配置混合C10,986,752.0522.11
20006057鹏华丰和债券(LOF)C10,079,589.0421.00
21002377建信睿怡纯债债券10,079,589.0411.21
22160621鹏华丰和债券(LOF)A10,079,589.0421.00
23010058天弘荣创一年混合9,071,630.1417.19
24519667银河银信添利债券A7,660,487.6713.95
25519666银河银信添利债券B7,660,487.6713.95
26003360前海开源瑞和债券A7,660,487.6713.31
27003361前海开源瑞和债券C7,660,487.6713.31
28003168前海开源鼎瑞债券C5,846,161.6422.36
29003167前海开源鼎瑞债券A5,846,161.6422.36
30003063银华通利灵活配置混合C5,039,794.5210.08
31003062银华通利灵活配置混合A5,039,794.5210.08
32004457光大保德信智选18个月混合5,039,794.5226.16
33004026融通收益增强债券C5,039,794.527.94
34004025融通收益增强债券A5,039,794.527.94
35004535添富年年益定开混合C4,838,202.748.89
36004534添富年年益定开混合A4,838,202.748.89
37009129明亚价值长青混合C4,738,816.854.61
38009128明亚价值长青混合A4,738,816.854.61
39005397南方安养混合3,931,039.7310.14
40002030信诚新选混合B3,628,652.0512.13
41001402信诚新选混合A3,628,652.0512.13
42519112浦银安盛优化收益债券C3,527,856.166.18
43519111浦银安盛优化收益债券A3,527,856.166.18
44000992广发对冲套利定期开放混合2,621,473.153.93
45001765前海开源嘉鑫混合A2,217,509.596.79
46001770前海开源嘉鑫混合C2,217,509.596.79
47005553国富新趋势混合C1,411,142.4711.42
48005552国富新趋势混合A1,411,142.4711.42
49002862金信量化精选混合201,591.780.93