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持有 福能转债(110048)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(%)
1000297鹏华可转债债券113,606,520.731.32
2010119天弘多元收益债券C83,662,701.340.96
3010118天弘多元收益债券A83,662,701.340.96
4202107南方广利回报债券C72,771,255.870.98
5202105南方广利回报债券A/B72,771,255.870.98
6001751华商信用增强债券A70,352,068.820.59
7001752华商信用增强债券C70,352,068.820.59
8006899天弘弘丰增强回报债券C50,855,666.901.62
9006898天弘弘丰增强回报债券A50,855,666.901.62
10006482广发可转债债券A47,784,898.541.28
11006483广发可转债债券C47,784,898.541.28
12010629广发可转债债券E47,784,898.541.28
13000536前海开源可转债债券47,422,530.862.35
14005461南方希元可转债债券47,397,012.000.89
15610008信达澳银信用债债券A46,901,946.300.64
16610108信达澳银信用债债券C46,901,946.300.64
17006030南方昌元可转债债券A39,782,186.960.83
18006031南方昌元可转债债券C39,782,186.960.83
19002794天弘永利债券E34,479,369.790.11
20420102天弘永利债券B34,479,369.790.11
21420002天弘永利债券A34,479,369.790.11
22009610天弘永利债券C34,479,369.790.11
23202103南方多利增强债券A32,189,478.250.43
24202102南方多利增强债券C32,189,478.250.43
25004428交银增利增强债券C30,411,664.990.83
26004427交银增利增强债券A30,411,664.990.83
27360013光大保德信信用添益债券A24,727,766.310.18
28360014光大保德信信用添益债券C24,727,766.310.18
29519680交银增利债券A/B20,204,124.720.96
30519682交银增利债券C20,204,124.720.96
31050023博时天颐债券A18,989,427.421.66
32050123博时天颐债券C18,989,427.421.66
33003401工银可转债债券17,264,353.122.12
34003093华商丰利增强定期开放债券C15,614,134.111.35
35003092华商丰利增强定期开放债券A15,614,134.111.35
36519753交银安心收益债券13,849,930.890.35
37511380博时可转债ETF11,920,980.300.20
38519732交银定期支付双息平衡混合10,661,775.820.29
39001046华夏可转债增强债券I8,970,726.640.36
40001045华夏可转债增强债券A8,970,726.640.36
41164208天弘丰利债券(LOF)5,639,666.000.45
42090002大成债券A/B5,335,141.050.37
43092002大成债券C5,335,141.050.37
44000998南方双元债券C5,273,895.811.87
45000997南方双元债券A5,273,895.811.87
46007392申万菱信安泰丰利债券C4,253,141.780.19
47007391申万菱信安泰丰利债券A4,253,141.780.19
48395001中海稳健收益债券3,594,755.430.50
49003505景顺长城景颐丰利债券C2,606,325.284.33
50003504景顺长城景颐丰利债券A2,606,325.284.33
51164206天弘添利债券(LOF)C2,300,099.080.15
52009512天弘添利债券(LOF)E2,300,099.080.15
53519030海富通稳固收益债券2,005,781.660.05
54009871景顺长城景瑞收益债券C1,735,281.851.55
55001750景顺长城景瑞收益债券A1,735,281.851.55
56511180海富通上证投资级可转债ETF1,306,595.240.34
57003119博时鑫源混合A935,691.192.14
58003120博时鑫源混合C935,691.192.14
59000992广发对冲套利定期开放混合721,332.851.06
60519733交银强化回报债券A702,619.020.14
61519735交银强化回报债券C702,619.020.14
62164606华泰柏瑞信用增利(LOF)700,917.770.64
63000378上投摩根双债增利债券C692,411.480.26
64000377上投摩根双债增利债券A692,411.480.26
65007033平安可转债债券C566,518.491.10
66007032平安可转债债券A566,518.491.10
67519519华泰柏瑞稳本增利债券A510,377.010.25
68460003华泰柏瑞稳本增利债券B510,377.010.25
69006459人保鑫裕增强债券A411,704.120.19
70006460人保鑫裕增强债券C411,704.120.19
71006114人保鑫利债券A340,251.340.21
72006115人保鑫利债券C340,251.340.21
73003254前海开源鼎裕债券A221,163.371.54
74003255前海开源鼎裕债券C221,163.371.54
75003038广发集瑞债券C171,826.930.05
76003037广发集瑞债券A171,826.930.05
77005166嘉实润和量化定期混合85,062.840.16
78004340泰康兴泰回报沪港深混合51,037.700.01
79010056平安瑞兴一年定开混合A17,012.570.03
80010057平安瑞兴一年定开混合C17,012.570.03
81002622广发稳裕混合15,311.310.03