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持有 松霖转债(113651)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(%)
1040023华安可转债债券B32,752,200.000.62
2040022华安可转债债券A32,752,200.000.62
3110036易方达双债增强债券C25,469,874.300.19
4110035易方达双债增强债券A25,469,874.300.19
5511380博时可转债ETF25,326,268.500.10
6001751华商信用增强债券A13,602,240.600.27
7001752华商信用增强债券C13,602,240.600.27
8005771银华可转债债券7,909,656.301.52
9070005嘉实债券7,495,215.000.23
10004994中欧可转债债券C7,211,782.500.40
11004993中欧可转债债券A7,211,782.500.40
12630009华商稳定增利债券A6,238,034.400.55
13630109华商稳定增利债券C6,238,034.400.55
14511180海富通上证投资级可转债ETF6,142,297.200.19
15110007易方达稳健收益债券A5,837,449.800.02
16110008易方达稳健收益债券B5,837,449.800.02
17008008易方达稳健收益债券C5,837,449.800.02
18002065景顺长城景盛双息收益债券A5,406,632.400.05
19002066景顺长城景盛双息收益债券C5,406,632.400.05
20163817中银转债增强债券B5,038,800.000.70
21163816中银转债增强债券A5,038,800.000.70
22000183嘉实丰益策略定期债券4,902,752.400.32
23002600易方达裕景添利6个月定期开放债券4,431,624.600.24
24161010富国天丰强化债券(LOF)4,199,839.800.59
25007884易方达恒盛3个月定开混合发起式3,839,565.600.20
26003459嘉实稳宏债券C3,779,100.000.37
27003458嘉实稳宏债券A3,779,100.000.37
28002925广发集源债券A3,464,175.000.04
29002926广发集源债券C3,464,175.000.04
30005284华商可转债债券C3,096,342.600.13
31005273华商可转债债券A3,096,342.600.13
32002962中欧双利债券C3,030,838.200.08
33002961中欧双利债券A3,030,838.200.08
34005078富国宝利增强债券2,529,477.600.12
35002738泓德裕康债券A2,499,244.800.71
36002739泓德裕康债券C2,499,244.800.71
37005121富国兴利增强债券2,431,221.000.20
38008398汇添富鑫福债券2,273,758.500.21
39006467浦银安盛双债增强债券C1,889,550.000.28
40006466浦银安盛双债增强债券A1,889,550.000.28
41006618长江可转债债券A1,889,550.000.72
42006619长江可转债债券C1,889,550.000.72
43006483广发可转债债券C1,835,382.900.07
44006482广发可转债债券A1,835,382.900.07
45010629广发可转债债券E1,835,382.900.07
46270001广发聚富混合1,826,565.000.12
47002009中欧瑾通灵活配置混合A1,334,022.300.06
48002010中欧瑾通灵活配置混合C1,334,022.300.06
49270009广发增强债券1,259,700.000.07
50261101景顺长城稳定收益债券C1,234,506.001.17
51261001景顺长城稳定收益债券A1,234,506.001.17
52007551鑫元泽利债券1,083,342.000.15
53003093华商丰利增强定期开放债券C1,056,888.300.17
54003092华商丰利增强定期开放债券A1,056,888.300.17
55630103华商收益增强债券B1,037,992.800.23
56630003华商收益增强债券A1,037,992.800.23
57004902富国丰利增强债券1,029,174.900.11
58000668国寿安保尊享债券A815,025.900.27
59000669国寿安保尊享债券C815,025.900.27
60002988平安鼎信债券741,963.300.10
61006140广发集嘉债券A629,850.000.15
62006141广发集嘉债券C629,850.000.15
63161908万家添利债券(LOF)566,865.000.17
64001803易方达瑞财混合E508,918.800.04
65001802易方达瑞财混合I508,918.800.04
66005964中欧安财债券503,880.000.04
67310518申万菱信可转债债券502,620.300.88
68007647平安季享裕定开债E497,581.500.10
69007646平安季享裕定开债C497,581.500.10
70007645平安季享裕定开债A497,581.500.10
71009516中欧真益稳健一年混合C493,802.400.23
72009515中欧真益稳健一年混合A493,802.400.23
73002501银华远景债券469,868.100.10
74163811中银双利债券A442,154.700.58
75163812中银双利债券B442,154.700.58
76000579鑫元恒鑫收益增强债券C440,895.000.41
77000578鑫元恒鑫收益增强债券A440,895.000.41
78001610平安鑫享混合C433,336.800.10
79001609平安鑫享混合A433,336.800.10
80007925平安鑫享混合E433,336.800.10
81161115易方达岁丰添利债券(LOF)408,142.800.00
82004301国寿安保稳信混合A406,883.100.29
83004302国寿安保稳信混合C406,883.100.29
84180015银华增强收益债券387,987.600.18
85006331中银国有企业债C377,910.000.04
86001235中银国有企业债A377,910.000.04
87003336长江收益增强债券377,910.000.20
88519618银河君信混合I360,274.202.00
89519617银河君信混合C360,274.202.00
90519616银河君信混合A360,274.202.00
91180025银华信用双利债券A311,145.900.14
92180026银华信用双利债券C311,145.900.14
93010367中融景瑞一年持有混合A304,847.400.41
94010368中融景瑞一年持有混合C304,847.400.41
95010189中欧添益一年混合C285,951.900.24
96010188中欧添益一年混合A285,951.900.24
97519676银河强化债券280,913.100.10
98000804中信建投稳利混合A277,136.200.79
99006844中信建投稳利混合C277,136.200.79
100519030海富通稳固收益债券263,277.300.03
101010216中欧达益稳健一年混合C262,017.600.17
102010215中欧达益稳健一年混合A262,017.600.17
103007033平安可转债债券C190,214.700.40
104007032平安可转债债券A190,214.700.40
105004807中银证券安弘债券A125,970.000.04
106004808中银证券安弘债券C125,970.000.04
107005166嘉实润和量化定期混合104,555.100.23
108003510长盛可转债债券A100,776.000.09
109003511长盛可转债债券C100,776.000.09
110001165中欧琪和灵活配置混合C99,516.300.02
111001164中欧琪和灵活配置混合A99,516.300.02
112005461南方希元可转债债券68,023.800.00
113008233中银恒优12个月持有期债券C62,985.000.02
114008232中银恒优12个月持有期债券A62,985.000.02
115007072民生加银鑫福混合C40,310.401.06
116002518民生加银鑫福混合A40,310.401.06
117001087华富恒利债券C37,791.000.34
118001086华富恒利债券A37,791.000.34
119000894中欧睿达定期开放混合A36,531.300.07
120009648中欧睿达定期开放混合C36,531.300.07
121004442中欧康裕混合A27,713.400.04
122004455中欧康裕混合C27,713.400.04
123006254长城久悦债券21,414.900.19
124001489万家瑞丰混合C20,155.200.18
125001488万家瑞丰混合A20,155.200.18
126010605创金合信鑫祥混合A2,519.400.01
127010606创金合信鑫祥混合C2,519.400.01