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持有 24国债03(019734)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(%)
1519994长信金利趋势混合132,870,934.252.01
2590003中邮核心优势混合91,987,569.864.39
3040010华安稳定收益债券B10,220,841.1014.00
4040009华安稳定收益债券A10,220,841.1014.00
5004413建信民丰回报定期开放混合10,220,841.1019.19
6003168前海开源鼎瑞债券C10,220,841.1032.06
7003167前海开源鼎瑞债券A10,220,841.1032.06
8002908富国睿利定期开放混合发起式9,709,799.048.75
9001254泰达宏利新起点混合A8,585,506.529.75
10002313泰达宏利新起点混合B8,585,506.529.75
11001470融通通鑫灵活配置混合8,176,672.8817.35
12004535添富年年益定开混合C7,563,422.4114.63
13004534添富年年益定开混合A7,563,422.4114.63
14673030西部利得多策略优选混合6,643,546.716.73
15005323前海开源泽鑫混合A6,132,504.666.54
16005324前海开源泽鑫混合C6,132,504.666.54
17121006国投瑞银稳健增长混合5,928,087.840.96
18163811中银双利债券A5,110,420.556.70
19163812中银双利债券B5,110,420.556.70
20009568浙商智多宝稳健一年持有期混合A5,110,420.556.15
21009569浙商智多宝稳健一年持有期混合C5,110,420.556.15
22009196北信瑞丰鼎盛中短债A5,110,420.5510.36
23009197北信瑞丰鼎盛中短债C5,110,420.5510.36
24003106光大保德信永鑫混合C5,008,212.148.88
25003105光大保德信永鑫混合A5,008,212.148.88
26005541前海开源盛鑫混合A4,292,753.2635.12
27005542前海开源盛鑫混合C4,292,753.2635.12
28002049融通新机遇灵活配置混合4,088,336.4413.03
29000165国投瑞银策略精选混合4,041,320.570.42
30002561东吴安鑫量化混合3,986,128.036.18
31004774添富添福吉祥混合3,679,502.796.78
32002025广发聚盛混合A3,066,552.333.68
33002026广发聚盛混合C3,066,552.333.68
34002232华夏新趋势混合C3,066,252.3356.42
35002231华夏新趋势混合A3,066,252.3356.42
36009767安信平稳双利3个月持有混合C3,066,252.335.74
37009766安信平稳双利3个月持有混合A3,066,252.335.74
38519654银河丰利纯债债券2,759,627.1025.06
39007833长盛稳怡添利债券A2,555,210.274.81
40007834长盛稳怡添利债券C2,555,210.274.81
41006006诺安鼎利混合C2,146,376.635.80
42006005诺安鼎利混合A2,146,376.635.80
43519111浦银安盛优化收益债券A2,044,168.226.46
44519112浦银安盛优化收益债券C2,044,168.226.46
45002377建信睿怡纯债债券2,044,168.223.86
46519660银河增利债券A1,737,542.9918.99
47519661银河增利债券C1,737,542.9918.99
48005271安信恒利增强债券A715,458.886.29
49005272安信恒利增强债券C715,458.886.29
50005433申万菱信医药先锋股票511,042.050.27
51009366浦银安盛科技创新一年定开混合A408,833.640.60
52009367浦银安盛科技创新一年定开混合C408,833.640.60
53005378前海联合泓元定开债券102,208.419.86