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持有 晶瑞转2(123124)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(%)
1110035易方达双债增强债券A33,267,992.620.26
2110036易方达双债增强债券C33,267,992.620.26
3004952兴全恒益债券A16,041,396.100.43
4004953兴全恒益债券C16,041,396.100.43
5000122汇添富实业债债券A14,715,687.390.93
6000123汇添富实业债债券C14,715,687.390.93
7610108信达澳银信用债债券C13,361,917.110.49
8610008信达澳银信用债债券A13,361,917.110.49
9110008易方达稳健收益债券B13,228,825.090.03
10110007易方达稳健收益债券A13,228,825.090.03
11008008易方达稳健收益债券C13,228,825.090.03
12008817华宝可转债C9,441,515.440.68
13240018华宝可转债A9,441,515.440.68
14009100安信稳健增利混合A7,924,687.390.10
15009101安信稳健增利混合C7,924,687.390.10
16000182景顺长城四季金利债券C6,425,999.150.26
17000181景顺长城四季金利债券A6,425,999.150.26
18400029东方双债添利债券C6,214,334.740.76
19400027东方双债添利债券A6,214,334.740.76
20007879嘉实致安3个月定期债券6,013,193.420.11
21100018富国天利增长债券4,760,444.790.04
22420002天弘永利债券A4,627,453.000.02
23009610天弘永利债券C4,627,453.000.02
24420102天弘永利债券B4,627,453.000.02
25002794天弘永利债券E4,627,453.000.02
26750002安信目标收益债券A4,228,277.180.14
27750003安信目标收益债券C4,228,277.180.14
28511380博时可转债ETF3,869,488.910.05
29070025嘉实信用债券A3,006,596.710.05
30070026嘉实信用债券C3,006,596.710.05
31519753交银安心收益债券2,904,973.740.12
32000973新华增盈回报债券2,829,909.050.34
33519669银河领先债券2,213,957.601.58
34340009兴全磐稳增利债券A2,147,912.690.12
35007398兴全磐稳增利债券C2,147,912.690.12
36519162新华增怡债券A2,004,397.810.12
37519163新华增怡债券C2,004,397.810.12
38008809安信民稳增长混合A1,639,597.410.11
39008810安信民稳增长混合C1,639,597.410.11
40519977长信可转债A1,632,582.010.16
41519976长信可转债C1,632,582.010.16
42001752华商信用增强债券C1,379,025.690.02
43001751华商信用增强债券A1,379,025.690.02
44164208天弘丰利债券(LOF)1,363,992.710.21
45000004中海可转债债券C1,325,909.151.51
46000003中海可转债债券A1,325,909.151.51
47001803易方达瑞财混合E1,320,898.160.11
48001802易方达瑞财混合I1,320,898.160.11
49000189易方达丰华债券A1,077,363.820.03
50006867易方达丰华债券C1,077,363.820.03
51009849安信稳健聚申一年持有混合769,688.760.14
52009938东方欣益一年持有期混合C756,660.170.65
53009937东方欣益一年持有期混合A756,660.170.65
54519680交银增利债券A/B754,655.770.05
55519682交银增利债券C754,655.770.05
56004006东方民丰回报赢安混合C736,616.190.30
57004005东方民丰回报赢安混合A736,616.190.30
58009607长信稳健精选混合C461,011.500.38
59009606长信稳健精选混合A461,011.500.38
60000047华夏双债债券A429,943.330.09
61000048华夏双债债券C429,943.330.09
62002351易方达裕祥回报债券396,870.770.00
63001304建信鑫安回报灵活配置混合277,609.100.09
64005014泰康景泰回报混合A276,807.340.02
65005015泰康景泰回报混合C276,807.340.02
66110017易方达增强回报债券A258,567.320.00
67110018易方达增强回报债券B258,567.320.00
68007884易方达恒盛3个月定开混合发起式218,479.360.01
69004340泰康兴泰回报沪港深混合100,219.890.02
70007233金鹰鑫益混合E84,184.710.05
71003484金鹰鑫益混合A84,184.710.05
72003485金鹰鑫益混合C84,184.710.05
73010097博远鑫享三个月债券C71,154.700.31
74010096博远鑫享三个月债券A71,154.700.31
75010098博远鑫享三个月债券E71,154.700.31
76005824泰康颐享混合C51,412.800.02
77005823泰康颐享混合A51,412.800.02
78002986泰康丰盈债券49,107.750.03
79002934泰康恒泰回报混合A48,105.550.03
80002935泰康恒泰回报混合C48,105.550.03
81009349前海联合添泽债券A3,006.600.16
82009350前海联合添泽债券C3,006.600.16