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持有 首华转债(123128)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(%)
1110008易方达稳健收益债券B101,744,203.710.20
2110007易方达稳健收益债券A101,744,203.710.20
3008008易方达稳健收益债券C101,744,203.710.20
4009610天弘永利债券C51,798,774.400.20
5420002天弘永利债券A51,798,774.400.20
6420102天弘永利债券B51,798,774.400.20
7002794天弘永利债券E51,798,774.400.20
8010435富国双债增强债券A31,912,015.720.56
9010436富国双债增强债券C31,912,015.720.56
10000107富国稳健增强债券A30,758,866.630.22
11000109富国稳健增强债券C30,758,866.630.22
12100018富国天利增长债券30,585,848.010.23
13240003华宝宝康债券A29,208,586.851.01
14007964华宝宝康债券C29,208,586.851.01
15007762富国天盈债券(LOF)A22,023,122.340.51
16161015富国天盈债券(LOF)C22,023,122.340.51
17009735天弘增强回报债券E21,653,543.040.33
18007129天弘增强回报债券C21,653,543.040.33
19007128天弘增强回报债券A21,653,543.040.33
20001316安信稳健增值混合A21,207,374.990.19
21001338安信稳健增值混合C21,207,374.990.19
22009101安信稳健增利混合C16,074,386.320.19
23009100安信稳健增利混合A16,074,386.320.19
24160513博时稳健回报债券(LOF)A15,492,003.370.35
25160514博时稳健回报债券(LOF)C15,492,003.370.35
26110036易方达双债增强债券C15,018,592.330.10
27110035易方达双债增强债券A15,018,592.330.10
28003638安信永鑫增强债券C12,695,537.150.11
29003637安信永鑫增强债券A12,695,537.150.11
30110018易方达增强回报债券B10,483,509.970.06
31110017易方达增强回报债券A10,483,509.970.06
32000045工银产业债债券A10,291,061.450.16
33000046工银产业债债券B10,291,061.450.16
34610108信达澳银信用债债券C10,177,566.160.17
35610008信达澳银信用债债券A10,177,566.160.17
36511380博时可转债ETF8,404,482.330.13
37550005信诚三得益债券B6,167,707.900.40
38550004信诚三得益债券A6,167,707.900.40
39001711安信新趋势混合C6,163,081.730.13
40001710安信新趋势混合A6,163,081.730.13
41750003安信目标收益债券C6,051,025.700.19
42750002安信目标收益债券A6,051,025.700.19
43005908华泰保兴尊利债券A5,140,184.930.26
44005909华泰保兴尊利债券C5,140,184.930.26
45007391申万菱信安泰丰利债券A4,626,166.440.22
46007392申万菱信安泰丰利债券C4,626,166.440.22
47002501银华远景债券3,877,241.490.10
48519669银河领先债券3,803,736.850.90
49164808工银四季收益债券(LOF)3,558,241.620.14
50002966中海合嘉增强收益债券C3,289,718.365.88
51002965中海合嘉增强收益债券A3,289,718.365.88
52010043天弘安康颐和混合A3,245,307.160.33
53010044天弘安康颐和混合C3,245,307.160.33
54008809安信民稳增长混合A3,114,952.070.19
55008810安信民稳增长混合C3,114,952.070.19
56165517信诚双盈债券(LOF)3,084,110.960.12
57162105金鹰持久增利债券(LOF)C2,570,092.470.17
58004267金鹰持久增利债券(LOF)E2,570,092.470.17
59005684财通资管鸿睿12个月定开债券A2,570,042.470.06
60005685财通资管鸿睿12个月定开债券C2,570,042.470.06
61000181景顺长城四季金利债券A2,330,559.850.11
62000182景顺长城四季金利债券C2,330,559.850.11
63007562景顺长城景泰纯利债券2,098,223.490.08
64007262东方红聚利债券A2,056,073.970.09
65007263东方红聚利债券C2,056,073.970.09
66161014富国汇利回报两年定期开放债券1,741,494.650.13
67006014易方达鑫转招利混合C1,596,541.440.57
68006013易方达鑫转招利混合A1,596,541.440.57
69003029安信新优选混合C1,336,448.080.36
70003028安信新优选混合A1,336,448.080.36
71519030海富通稳固收益债券1,302,522.860.05
72009849安信稳健聚申一年持有混合1,264,485.490.19
73008571金信民达纯债A1,233,644.380.49
74008572金信民达纯债C1,233,644.380.49
75003484金鹰鑫益混合A1,139,064.980.62
76003485金鹰鑫益混合C1,139,064.980.62
77007233金鹰鑫益混合E1,139,064.980.62
78395001中海稳健收益债券1,077,382.760.22
79009937东方欣益一年持有期混合A1,055,793.980.78
80009938东方欣益一年持有期混合C1,055,793.980.78
81519733交银强化回报债券A1,029,065.020.20
82519735交银强化回报债券C1,029,065.020.20
83002483富国泰利定期开放债券发起式1,028,036.990.62
84001803易方达瑞财混合E952,990.290.08
85001802易方达瑞财混合I952,990.290.08
86004202华夏睿磐泰兴混合771,027.740.08
87003154华宝新活力混合637,382.930.95
88005177华夏睿磐泰利混合A598,317.530.03
89005178华夏睿磐泰利混合C598,317.530.03
90008464招商添瑞1年定开债C577,756.790.01
91008463招商添瑞1年定开债A577,756.790.01
92009730中信保诚安鑫回报债券A514,018.490.37
93009731中信保诚安鑫回报债券C514,018.490.37
94004720华夏睿磐泰茂混合A497,569.900.04
95004721华夏睿磐泰茂混合C497,569.900.04
96003301华夏鼎融债券A497,569.900.07
97003302华夏鼎融债券C497,569.900.07
98008766财通资管鸿盛12个月定开债券A462,607.640.14
99008767财通资管鸿盛12个月定开债券C462,607.640.14
100000255长城定期开放债券C436,915.720.50
101000254长城定期开放债券A436,915.720.50
102420108天弘债券发起式B434,859.650.19
103420008天弘债券发起式A434,859.650.19
104002586金鹰添利信用债债券A411,214.793.49
105002587金鹰添利信用债债券C411,214.793.49
106010367中融景瑞一年持有混合A401,962.460.46
107010368中融景瑞一年持有混合C401,962.460.46
108000310安信永利信用债券A352,616.690.16
109000335安信永利信用债券C352,616.690.16
110003345安信新成长混合A308,411.100.07
111003346安信新成长混合C308,411.100.07
112040037华安安心收益债券B308,411.100.42
113040036华安安心收益债券A308,411.100.42
114006880交银安享稳健养老一年混合(FOF)305,326.980.00
115002728华富益鑫灵活配置混合A239,532.620.52
116002729华富益鑫灵活配置混合C239,532.620.52
117007551鑫元泽利债券236,448.510.16
118395011中海增强收益债券A206,635.430.10
119395012中海增强收益债券C206,635.430.10
120003343鹏华弘惠混合A205,607.400.20
121003344鹏华弘惠混合C205,607.400.20
122003341工银瑞盈18个月定开债券205,607.400.04
123002035安信平稳增长混合发起C192,242.920.05
124750005安信平稳增长混合发起A192,242.920.05
125519730交银定期支付月月丰债券A159,345.730.41
126519731交银定期支付月月丰债券C159,345.730.41
127005140华夏睿磐泰荣混合A149,065.360.10
128005141华夏睿磐泰荣混合C149,065.360.10
129005166嘉实润和量化定期混合125,420.510.23
130007267嘉实新添益定期混合C104,859.770.20
131007266嘉实新添益定期混合A104,859.770.20
132660102农银恒久增利债券C102,803.700.14
133660002农银恒久增利债券A102,803.700.14
134000579鑫元恒鑫收益增强债券C61,682.220.06
135000578鑫元恒鑫收益增强债券A61,682.220.06
136005252中海添瑞定期开放混合60,654.180.55
137005271安信恒利增强债券A51,401.850.45
138005272安信恒利增强债券C51,401.850.45
139002101创金合信转债精选债券A51,401.850.10
140002102创金合信转债精选债券C51,401.850.10
141003186鹏华兴安定期开放混合51,401.850.10
142002986泰康丰盈债券41,121.480.02
143002935泰康恒泰回报混合C41,121.480.02
144002934泰康恒泰回报混合A41,121.480.02
145009154海富通富盈混合A38,037.370.03
146009155海富通富盈混合C38,037.370.03
147009449泰康申润一年持有期混合C20,560.740.04
148009448泰康申润一年持有期混合A20,560.740.04
149010118天弘多元收益债券A2,056.070.00
150010119天弘多元收益债券C2,056.070.00