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持有 24特国01(019742)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(%)
1003219前海开源祥和债券C459,388,781.7625.52
2003218前海开源祥和债券A459,388,781.7625.52
3007511南方泰元债券C331,033,276.354.96
4007510南方泰元债券A331,033,276.354.96
5590010中邮稳定收益债券C204,738,435.621.92
6590009中邮稳定收益债券A204,738,435.621.92
7006742南方臻元债券165,906,747.9010.73
8161010富国天丰强化债券(LOF)97,389,093.708.19
9519163新华增怡债券C77,911,274.964.06
10519162新华增怡债券A77,911,274.964.06
11002932圆信永丰强化收益债券A38,734,298.633.81
12002933圆信永丰强化收益债券C38,734,298.633.81
13010053安信聚利增强债券B32,315,472.007.88
14006840安信聚利增强债券C32,315,472.007.88
15006839安信聚利增强债券A32,315,472.007.88
16163811中银双利债券A29,880,744.667.80
17163812中银双利债券B29,880,744.667.80
18001943前海开源沪港深汇鑫混合C27,999,364.4458.13
19001942前海开源沪港深汇鑫混合A27,999,364.4458.13
20001651工银新蓝筹股票27,667,356.175.67
21519018汇添富均衡增长混合21,660,219.790.90
22005741南方君信灵活配置混合A19,367,149.327.39
23010150南方君信灵活配置混合C19,367,149.327.39
24003027安信新价值混合C15,051,041.758.61
25003026安信新价值混合A15,051,041.758.61
26161625融通可转债债券C11,848,268.6013.68
27161624融通可转债债券A11,848,268.6013.68
28395001中海稳健收益债券10,513,595.345.13
29001682新华鑫回报混合9,406,901.1010.70
30040010华安稳定收益债券B8,189,537.429.79
31040009华安稳定收益债券A8,189,537.429.79
32001470融通通鑫灵活配置混合7,746,859.7323.65
33002388天弘裕利混合A7,525,520.8813.84
34005997天弘裕利混合C7,525,520.8813.84
35009938东方欣益一年持有期混合C6,418,826.638.29
36009937东方欣益一年持有期混合A6,418,826.638.29
37501186华夏3年封闭运作战略配售混合(LOF)6,418,826.631.19
38007893平安估值精选混合A5,538,471.235.15
39007894平安估值精选混合C5,538,471.235.15
40540001汇丰晋信2016周期混合5,533,471.234.01
41009475汇丰晋信慧盈混合5,422,801.815.50
42000590华安新活力混合5,312,132.3811.66
43400016东方强化收益债券5,201,462.966.33
44162207泰达宏利效率优选混合(LOF)4,537,446.411.16
45006110富荣价值精选混合C4,426,776.998.85
46006109富荣价值精选混合A4,426,776.998.85
47004709红塔红土盛商一年定开债券C4,426,776.996.48
48004708红塔红土盛商一年定开债券A4,426,776.996.48
49005144东吴优益债券A4,205,438.1410.98
50005145东吴优益债券C4,205,438.1410.98
51000507泰达宏利宏达混合A3,873,429.867.29
52000508泰达宏利宏达混合B3,873,429.867.29
53004901财通资管鑫锐混合C3,652,091.0118.97
54004900财通资管鑫锐混合A3,652,091.0118.97
55470028汇添富社会责任混合3,652,091.010.55
56002304平安安心灵活配置混合A3,323,082.7416.87
57007048平安安心灵活配置混合C3,323,082.7416.87
58001254泰达宏利新起点混合A3,320,082.744.83
59002313泰达宏利新起点混合B3,320,082.744.83
60010257天弘多利一年混合3,098,743.896.32
61001530万家瑞富混合2,766,735.625.65
62005024南方兴利半年定开债券发起式2,434,727.3411.59
63519060海富通纯债债券C2,434,727.344.00
64519061海富通纯债债券A2,434,727.344.00
65006648汇安多因子混合A2,324,057.920.45
66006649汇安多因子混合C2,324,057.920.45
67008803海富通瑞弘6个月定开债券2,213,388.495.46
68519654银河丰利纯债债券2,213,388.4921.34
69009340工银养老2055混合(FOF)2,213,388.490.92
70162108金鹰元盛债券(LOF)C1,661,541.374.96
71004333金鹰元盛债券(LOF)E1,661,541.374.96
72000844南方绝对收益混合1,660,041.372.56
73009415中邮瑞享两年定期开放混合A1,660,041.373.93
74009416中邮瑞享两年定期开放混合C1,660,041.373.93
75004361上投摩根安通回报混合A1,660,041.376.64
76004362上投摩根安通回报混合C1,660,041.376.64
77008331万家可转债债券A1,660,041.372.99
78008332万家可转债债券C1,660,041.372.99
79233006大摩领先优势混合1,549,371.950.47
80002766新华双利债券C1,217,363.677.12
81002765新华双利债券A1,217,363.677.12
82000511国泰国策驱动灵活配置混合A1,106,694.255.01
83002062国泰国策驱动灵活配置混合C1,106,694.255.01
84005138前海开源弘丰债券A1,106,694.251.87
85005139前海开源弘丰债券C1,106,694.251.87
86006625汇安嘉鑫纯债债券1,106,694.259.82
87001830融通跨界成长灵活配置混合1,106,694.255.50
88003167前海开源鼎瑞债券A996,024.826.36
89003168前海开源鼎瑞债券C996,024.826.36
90206015鹏华纯债债券996,024.821.75
91009081中信保诚嘉丰一年定开纯债债券996,024.829.64
92005553国富新趋势混合C664,016.555.86
93005552国富新趋势混合A664,016.555.86
94002415融通通盈灵活配置混合664,016.554.95
95210006金鹰元禧混合A553,847.123.09
96002425金鹰元禧混合C553,847.123.09
97002513金鹰元安混合C553,847.123.09
98000110金鹰元安混合A553,847.123.09
99001414中融鑫起点混合C553,347.127.20
100001413中融鑫起点混合A553,347.127.20
101006501建信润利增强债券C553,347.122.44
102006500建信润利增强债券A553,347.122.44
103001430中邮乐享收益灵活配置混合553,347.123.29
104009818红塔红土稳健精选混合C553,347.125.36
105009817红塔红土稳健精选混合A553,347.125.36
106003843中邮景泰灵活配置混合C442,677.703.72
107003842中邮景泰灵活配置混合A442,677.703.72
108001281长安鑫利优选混合A332,008.273.55
109002072长安鑫利优选混合C332,008.273.55
110005600汇安量化优选混合C221,338.858.29
111005599汇安量化优选混合A221,338.858.29
112004913中银证券聚瑞混合A221,338.851.69
113004914中银证券聚瑞混合C221,338.851.69
114001657长安鑫富领先混合221,338.852.98
115004082国联安鑫乾混合C110,669.423.46
116004081国联安鑫乾混合A110,669.423.46
117519225海富通集利债券110,669.420.67