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持有 凌钢转债(110070)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(%)
1001751华商信用增强债券A17,463,836.400.38
2001752华商信用增强债券C17,463,836.400.38
3020020国泰双利债券C9,598,993.201.77
4020019国泰双利债券A9,598,993.201.77
5003093华商丰利增强定期开放债券C6,680,576.404.84
6003092华商丰利增强定期开放债券A6,680,576.404.84
7002246泰康稳健增利债券C5,967,998.400.15
8002245泰康稳健增利债券A5,967,998.400.15
9000068民生加银转债优选C3,604,509.601.04
10000067民生加银转债优选A3,604,509.601.04
11519967长信利富债券3,175,701.600.40
12002767泰康宏泰回报混合3,153,000.000.10
13000810富国收益增强债券A2,883,103.200.03
14000812富国收益增强债券C2,883,103.200.03
15005524泰康颐年混合C1,891,800.000.06
16005523泰康颐年混合A1,891,800.000.06
17005824泰康颐享混合C1,891,800.000.15
18005823泰康颐享混合A1,891,800.000.15
19519030海富通稳固收益债券1,880,449.200.11
20000047华夏双债债券A1,609,291.200.08
21000048华夏双债债券C1,609,291.200.08
22630109华商稳定增利债券C1,576,500.000.03
23630009华商稳定增利债券A1,576,500.000.03
24161010富国天丰强化债券(LOF)1,382,275.200.06
25000345鹏华丰融定期开放债券882,840.000.11
26007683华商转债精选债券A824,824.800.96
27007684华商转债精选债券C824,824.800.96
28003813泰康金泰3月定开混合630,600.000.08
29004340泰康兴泰回报沪港深混合630,600.000.03
30005273华商可转债债券A401,061.600.02
31005284华商可转债债券C401,061.600.02
32000466融通通瑞债券A252,240.001.43
33000859融通通瑞债券C252,240.001.43
34161627融通通福债券(LOF)C252,240.001.56
35161626融通通福债券(LOF)A252,240.001.56
36511380博时可转债ETF223,108.500.03
37008331万家可转债债券A151,344.000.29
38008332万家可转债债券C151,344.000.29
39511180海富通上证投资级可转债ETF133,613.000.05
40010098博远鑫享三个月债券E129,903.600.08
41010097博远鑫享三个月债券C129,903.600.08
42010096博远鑫享三个月债券A129,903.600.08
43008611海富通添鑫收益债券A63,060.000.21
44008610海富通添鑫收益债券C63,060.000.21
45003273安信永丰定开债券A63,060.000.46
46003274安信永丰定开债券C63,060.000.46
47002924华商瑞鑫定期开放债券37,836.000.03