/*
$file: config.inc.php,v $
$vision: 1.0.0.0 $
$Date: 2007-1-6 9:34:54 Saturday $
*/
?>
持有债券 - 搜狐基金
序号 |
基金代码 |
基金简称 |
债券市值(元) |
占基金净值比例(%) |
1 | 004952 | 兴全恒益债券A | 38,548,745.16 | 1.22 |
2 | 004953 | 兴全恒益债券C | 38,548,745.16 | 1.22 |
3 | 005461 | 南方希元可转债债券 | 23,126,719.13 | 1.02 |
4 | 511380 | 博时可转债ETF | 22,544,861.13 | 0.08 |
5 | 006030 | 南方昌元可转债债券A | 20,108,541.87 | 0.72 |
6 | 006031 | 南方昌元可转债债券C | 20,108,541.87 | 0.72 |
7 | 002743 | 泓德裕祥债券C | 13,237,242.98 | 2.17 |
8 | 002742 | 泓德裕祥债券A | 13,237,242.98 | 2.17 |
9 | 002065 | 景顺长城景盛双息收益债券A | 10,964,815.82 | 0.11 |
10 | 002066 | 景顺长城景盛双息收益债券C | 10,964,815.82 | 0.11 |
11 | 202102 | 南方多利增强债券C | 8,236,996.97 | 0.28 |
12 | 202103 | 南方多利增强债券A | 8,236,996.97 | 0.28 |
13 | 202105 | 南方广利回报债券A/B | 7,955,939.57 | 0.23 |
14 | 202107 | 南方广利回报债券C | 7,955,939.57 | 0.23 |
15 | 000385 | 景顺长城景颐双利债券A | 7,247,632.00 | 0.05 |
16 | 000386 | 景顺长城景颐双利债券C | 7,247,632.00 | 0.05 |
17 | 001751 | 华商信用增强债券A | 6,987,084.52 | 0.14 |
18 | 001752 | 华商信用增强债券C | 6,987,084.52 | 0.14 |
19 | 270001 | 广发聚富混合 | 5,448,721.57 | 0.37 |
20 | 000536 | 前海开源可转债债券 | 4,624,151.39 | 0.35 |
21 | 000875 | 建信稳定得利债券A | 3,157,573.14 | 0.08 |
22 | 000876 | 建信稳定得利债券C | 3,157,573.14 | 0.08 |
23 | 010165 | 太平丰和一年定开债券发起式 | 3,100,336.16 | 0.06 |
24 | 009019 | 西部利得聚泰18个月定开债C | 2,981,092.47 | 0.56 |
25 | 009018 | 西部利得聚泰18个月定开债A | 2,981,092.47 | 0.56 |
26 | 000297 | 鹏华可转债债券 | 2,674,874.65 | 0.04 |
27 | 010012 | 景顺长城景颐招利6个月持有债券C | 2,517,234.48 | 0.05 |
28 | 010011 | 景顺长城景颐招利6个月持有债券A | 2,517,234.48 | 0.05 |
29 | 531020 | 建信转债增强债券C | 2,508,887.42 | 2.81 |
30 | 530020 | 建信转债增强债券A | 2,508,887.42 | 2.81 |
31 | 005751 | 平安双债添益债券C | 2,384,873.97 | 0.14 |
32 | 005750 | 平安双债添益债券A | 2,384,873.97 | 0.14 |
33 | 395001 | 中海稳健收益债券 | 1,802,964.72 | 1.72 |
34 | 009000 | 景顺长城景颐嘉利6个月持有期债券C | 1,538,243.71 | 0.05 |
35 | 008999 | 景顺长城景颐嘉利6个月持有期债券A | 1,538,243.71 | 0.05 |
36 | 006619 | 长江可转债债券C | 1,266,368.08 | 0.48 |
37 | 006618 | 长江可转债债券A | 1,266,368.08 | 0.48 |
38 | 002245 | 泰康稳健增利债券A | 1,266,368.08 | 0.03 |
39 | 002246 | 泰康稳健增利债券C | 1,266,368.08 | 0.03 |
40 | 161015 | 富国天盈债券(LOF)C | 1,171,450.10 | 0.03 |
41 | 007762 | 富国天盈债券(LOF)A | 1,171,450.10 | 0.03 |
42 | 002102 | 创金合信转债精选债券C | 1,167,395.81 | 2.16 |
43 | 002101 | 创金合信转债精选债券A | 1,167,395.81 | 2.16 |
44 | 008398 | 汇添富鑫福债券 | 1,093,464.72 | 0.10 |
45 | 005121 | 富国兴利增强债券 | 534,092.53 | 0.04 |
46 | 519735 | 交银强化回报债券C | 524,672.27 | 0.10 |
47 | 519733 | 交银强化回报债券A | 524,672.27 | 0.10 |
48 | 003092 | 华商丰利增强定期开放债券A | 523,479.84 | 0.09 |
49 | 003093 | 华商丰利增强定期开放债券C | 523,479.84 | 0.09 |
50 | 164606 | 华泰柏瑞信用增利(LOF) | 476,974.79 | 0.23 |
51 | 001898 | 易方达大健康主题混合 | 465,765.89 | 0.07 |
52 | 003510 | 长盛可转债债券A | 411,390.76 | 0.37 |
53 | 003511 | 长盛可转债债券C | 411,390.76 | 0.37 |
54 | 720002 | 财通可转债债券A | 258,758.83 | 0.93 |
55 | 003205 | 财通可转债债券C | 258,758.83 | 0.93 |
56 | 008331 | 万家可转债债券A | 232,525.21 | 0.27 |
57 | 008332 | 万家可转债债券C | 232,525.21 | 0.27 |
58 | 519030 | 海富通稳固收益债券 | 221,912.52 | 0.02 |
59 | 002767 | 泰康宏泰回报混合 | 199,136.98 | 0.03 |
60 | 004340 | 泰康兴泰回报沪港深混合 | 134,745.38 | 0.03 |
61 | 005172 | 泰康安悦纯债3月定开债券 | 127,590.76 | 0.00 |
62 | 161908 | 万家添利债券(LOF) | 119,243.70 | 0.04 |
63 | 003336 | 长江收益增强债券 | 119,243.70 | 0.06 |
64 | 002604 | 华夏新起点混合A | 98,972.27 | 0.18 |
65 | 008213 | 华夏新起点混合C | 98,972.27 | 0.18 |
66 | 000335 | 安信永利信用债券C | 97,779.83 | 0.14 |
67 | 000310 | 安信永利信用债券A | 97,779.83 | 0.14 |
68 | 003026 | 安信新价值混合A | 66,776.47 | 0.12 |
69 | 003027 | 安信新价值混合C | 66,776.47 | 0.12 |
70 | 006839 | 安信聚利增强债券A | 58,429.41 | 0.10 |
71 | 006840 | 安信聚利增强债券C | 58,429.41 | 0.10 |
72 | 010053 | 安信聚利增强债券B | 58,429.41 | 0.10 |
73 | 006254 | 长城久悦债券 | 54,852.10 | 0.49 |
74 | 006854 | 人保鑫泽纯债债券A | 35,774.31 | 0.05 |
75 | 006855 | 人保鑫泽纯债债券C | 35,774.31 | 0.05 |
76 | 007233 | 金鹰鑫益混合E | 34,580.67 | 0.01 |
77 | 003484 | 金鹰鑫益混合A | 34,580.67 | 0.01 |
78 | 003485 | 金鹰鑫益混合C | 34,580.67 | 0.01 |
79 | 001488 | 万家瑞丰混合A | 20,271.43 | 0.18 |
80 | 001489 | 万家瑞丰混合C | 20,271.43 | 0.18 |
81 | 003471 | 前海联合添鑫3个月定期开放债券A | 5,962.18 | 0.34 |
82 | 003472 | 前海联合添鑫3个月定期开放债券C | 5,962.18 | 0.34 |
83 | 009349 | 前海联合添泽债券A | 4,769.75 | 0.26 |
84 | 009350 | 前海联合添泽债券C | 4,769.75 | 0.26 |
85 | 009269 | 创金合信稳健增利6个月持有期混合C | 1,192.44 | 0.00 |
86 | 009268 | 创金合信稳健增利6个月持有期混合A | 1,192.44 | 0.00 |
87 | 010606 | 创金合信鑫祥混合C | 1,192.44 | 0.01 |
88 | 010605 | 创金合信鑫祥混合A | 1,192.44 | 0.01 |