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持有 建龙转债(118032)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(%)
1006102浙商丰利增强债券53,378,301.370.87
2110035易方达双债增强债券A36,881,203.550.23
3110036易方达双债增强债券C36,881,203.550.23
4110007易方达稳健收益债券A26,319,772.840.05
5110008易方达稳健收益债券B26,319,772.840.05
6008008易方达稳健收益债券C26,319,772.840.05
7610108信达澳银信用债债券C20,994,753.490.36
8610008信达澳银信用债债券A20,994,753.490.36
9340009兴全磐稳增利债券A16,391,408.780.67
10007398兴全磐稳增利债券C16,391,408.780.67
11003637安信永鑫增强债券A12,385,901.050.10
12003638安信永鑫增强债券C12,385,901.050.10
13009101安信稳健增利混合C11,505,159.080.13
14009100安信稳健增利混合A11,505,159.080.13
15000181景顺长城四季金利债券A8,584,298.430.40
16000182景顺长城四季金利债券C8,584,298.430.40
17005684财通资管鸿睿12个月定开债券A7,472,962.190.18
18005685财通资管鸿睿12个月定开债券C7,472,962.190.18
19007128天弘增强回报债券A6,686,166.030.10
20007129天弘增强回报债券C6,686,166.030.10
21009735天弘增强回报债券E6,686,166.030.10
22240003华宝宝康债券A6,574,071.600.23
23007964华宝宝康债券C6,574,071.600.23
24007879嘉实致安3个月定期债券6,405,396.160.13
25750003安信目标收益债券C5,462,735.360.17
26750002安信目标收益债券A5,462,735.360.17
27000810富国收益增强债券A5,337,830.140.34
28000812富国收益增强债券C5,337,830.140.34
29001710安信新趋势混合A5,017,560.330.10
30001711安信新趋势混合C5,017,560.330.10
31100018富国天利增长债券4,827,533.580.04
32511380博时可转债ETF4,492,702.900.07
33070026嘉实信用债券C4,270,264.110.06
34070025嘉实信用债券A4,270,264.110.06
35009611兴全汇享一年持有混合A4,059,953.600.50
36009612兴全汇享一年持有混合C4,059,953.600.50
37000436易方达裕惠定开混合发起式3,868,859.280.10
38620009金元顺安丰祥债券2,761,793.310.08
39008810安信民稳增长混合C2,735,104.160.17
40008809安信民稳增长混合A2,735,104.160.17
41007837国寿安保尊耀纯债债券A2,668,915.070.39
42007838国寿安保尊耀纯债债券C2,668,915.070.39
43005078富国宝利增强债券2,562,158.470.05
44006466浦银安盛双债增强债券A2,135,132.050.12
45006467浦银安盛双债增强债券C2,135,132.050.12
46005121富国兴利增强债券1,719,848.870.06
47001863东方红收益增强债券C1,601,349.040.46
48001862东方红收益增强债券A1,601,349.040.46
49004902富国丰利增强债券1,571,457.190.05
50320003诺安先锋混合1,308,835.950.03
51519030海富通稳固收益债券1,307,768.380.05
52001751华商信用增强债券A1,144,430.780.01
53001752华商信用增强债券C1,144,430.780.01
54001743诺安优选回报混合1,124,147.030.04
55519669银河领先债券1,120,944.330.26
56009849安信稳健聚申一年持有混合1,112,403.800.17
57001136易方达裕如混合1,086,782.220.21
58001946东方红信用债债券C1,067,566.030.08
59001945东方红信用债债券A1,067,566.030.08
60001802易方达瑞财混合I987,498.580.08
61001803易方达瑞财混合E987,498.580.08
62002005工银新得利混合926,647.311.82
63070005嘉实债券772,917.800.11
64164808工银四季收益债券(LOF)650,147.710.02
65001316安信稳健增值混合A587,161.320.01
66001338安信稳健增值混合C587,161.320.01
67007251广发睿享稳健增利混合559,404.600.55
68161014富国汇利回报两年定期开放债券548,728.940.04
69005679财通资管鑫盛6个月定开混合533,783.010.37
70005946工银可转债优选债券C533,783.010.29
71005945工银可转债优选债券A533,783.010.29
72010043天弘安康颐和混合A501,756.030.05
73010044天弘安康颐和混合C501,756.030.05
74010053安信聚利增强债券B479,337.151.25
75006839安信聚利增强债券A479,337.151.25
76006840安信聚利增强债券C479,337.151.25
77007884易方达恒盛3个月定开混合发起式460,120.960.03
78003027安信新价值混合C409,945.350.89
79003026安信新价值混合A409,945.350.89
80002587金鹰添利信用债债券C405,675.093.44
81002586金鹰添利信用债债券A405,675.093.44
82004335华宝新飞跃混合388,594.030.17
83750005安信平稳增长混合发起A384,323.770.10
84002035安信平稳增长混合发起C384,323.770.10
85006854人保鑫泽纯债债券A320,269.810.49
86006855人保鑫泽纯债债券C320,269.810.49
87161908万家添利债券(LOF)320,269.810.12
88009858博时价值臻选持有期混合C305,323.880.06
89009857博时价值臻选持有期混合A305,323.880.06
90006141广发集嘉债券C266,891.510.01
91006140广发集嘉债券A266,891.510.01
92000335安信永利信用债券C226,324.000.10
93000310安信永利信用债券A226,324.000.10
94400027东方双债添利债券A220,986.170.02
95400029东方双债添利债券C220,986.170.02
96004694天弘策略精选混合A219,918.600.44
97004748天弘策略精选混合C219,918.600.44
98519187万家稳健增利债券C214,580.770.02
99519186万家稳健增利债券A214,580.770.02
100169108东方红均衡优选定开混合213,513.210.03
101006639人保鑫盛纯债C213,513.210.68
102006638人保鑫盛纯债A213,513.210.68
103004008中融鑫思路混合A213,513.210.30
104004009中融鑫思路混合C213,513.210.30
105003341工银瑞盈18个月定开债券213,513.210.04
106002667前海开源沪港深创新成长混合C157,999.770.02
107002666前海开源沪港深创新成长混合A157,999.770.02
108007099安信尊享添益债券C149,459.240.46
109005678安信尊享添益债券A149,459.240.46
110007266嘉实新添益定期混合A119,567.400.22
111007267嘉实新添益定期混合C119,567.400.22
112005166嘉实润和量化定期混合95,013.380.17
113002102创金合信转债精选债券C53,378.300.10
114002101创金合信转债精选债券A53,378.300.10
115002986泰康丰盈债券42,702.640.02
116002935泰康恒泰回报混合C42,702.640.02
117002934泰康恒泰回报混合A42,702.640.02
118000004中海可转债债券C26,689.150.05
119000003中海可转债债券A26,689.150.05
120001744诺安进取回报混合21,351.320.00
121009449泰康申润一年持有期混合C21,351.320.04
122009448泰康申润一年持有期混合A21,351.320.04
123002053诺安优势行业混合C11,743.230.01
124000538诺安优势行业混合A11,743.230.01