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持有 万顺转债(123012)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A19,657,748.380.35
2001752华商信用增强债券C19,657,748.380.35
3000297鹏华可转债债券17,532,270.180.28
4010119天弘多元收益债券C11,114,886.000.21
5010118天弘多元收益债券A11,114,886.000.21
6006899天弘弘丰增强回报债券C8,872,409.000.42
7006898天弘弘丰增强回报债券A8,872,409.000.42
8000068民生加银转债优选C4,424,504.621.58
9000067民生加银转债优选A4,424,504.621.58
10003092华商丰利增强定期开放债券A3,535,313.741.17
11003093华商丰利增强定期开放债券C3,535,313.741.17
12164206天弘添利债券(LOF)C2,591,523.420.10
13009512天弘添利债券(LOF)E2,591,523.420.10
14070016嘉实多元债券B1,169,988.000.07
15070015嘉实多元债券A1,169,988.000.07
16160622鹏华丰利债券(LOF)588,893.960.01
17006654华泰紫金季季享定开债券发起A522,594.640.32
18006655华泰紫金季季享定开债券发起C522,594.640.32
19200013长城积极增利债券A520,644.660.97
20200113长城积极增利债券C520,644.660.97
21009826民生加银家盈6个月持有期债券A483,595.040.49
22009827民生加银家盈6个月持有期债券C483,595.040.49
23519735交银强化回报债券C388,046.022.57
24519733交银强化回报债券A388,046.022.57
25531020建信转债增强债券C362,696.280.30
26530020建信转债增强债券A362,696.280.30
27519030海富通稳固收益债券354,896.360.01
28530009建信收益增强A294,446.980.29
29531009建信收益增强C294,446.980.29
30001448华商双翼平衡混合230,097.640.47
31009638华泰紫金周周购12个月滚动债发起A116,998.800.60
32009639华泰紫金周周购12个月滚动债发起C116,998.800.60
33006501建信润利增强债券C105,298.920.23
34006500建信润利增强债券A105,298.920.23
35006254长城久悦债券58,499.400.47
36003680华润元大双鑫债券A9,749.900.27
37003723华润元大双鑫债券C9,749.900.27
38519647银河鸿利混合I9,749.900.24
39519640银河鸿利混合A9,749.900.24
40519641银河鸿利混合C9,749.900.24