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持有 南电转债(123170)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(%)
1360013光大保德信信用添益债券A61,363,272.130.98
2360014光大保德信信用添益债券C61,363,272.130.98
3110036易方达双债增强债券C58,143,417.520.45
4110035易方达双债增强债券A58,143,417.520.45
5004953兴全恒益债券C25,878,609.420.69
6004952兴全恒益债券A25,878,609.420.69
7519162新华增怡债券A25,433,902.651.57
8519163新华增怡债券C25,433,902.651.57
9240018华宝可转债A22,961,146.301.65
10008817华宝可转债C22,961,146.301.65
11008008易方达稳健收益债券C19,040,986.690.04
12110008易方达稳健收益债券B19,040,986.690.04
13110007易方达稳健收益债券A19,040,986.690.04
14210014金鹰元丰债券18,030,775.951.68
15001751华商信用增强债券A17,255,100.780.29
16001752华商信用增强债券C17,255,100.780.29
17010165太平丰和一年定开债券发起式16,878,249.940.32
18001046华夏可转债增强债券I14,395,588.450.74
19001045华夏可转债增强债券A14,395,588.450.74
20001316安信稳健增值混合A10,614,328.540.10
21001338安信稳健增值混合C10,614,328.540.10
22007398兴全磐稳增利债券C10,473,948.760.60
23340009兴全磐稳增利债券A10,473,948.760.60
24040023华安可转债债券B10,246,699.730.30
25040022华安可转债债券A10,246,699.730.30
26000014华夏聚利债券9,937,021.691.41
27002066景顺长城景盛双息收益债券C8,615,197.430.10
28002065景顺长城景盛双息收益债券A8,615,197.430.10
29511380博时可转债ETF7,640,593.680.10
30009100安信稳健增利混合A6,002,858.260.08
31009101安信稳健增利混合C6,002,858.260.08
32007735金鹰民安回报定开混合C5,813,294.310.44
33006972金鹰民安回报定开混合A5,813,294.310.44
34470058汇添富可转债债券A5,549,157.160.14
35470059汇添富可转债债券C5,549,157.160.14
36010629广发可转债债券E5,519,555.590.23
37006483广发可转债债券C5,519,555.590.23
38006482广发可转债债券A5,519,555.590.23
39000973新华增盈回报债券5,044,791.830.61
40006899天弘弘丰增强回报债券C4,879,706.110.35
41006898天弘弘丰增强回报债券A4,879,706.110.35
42000436易方达裕惠定开混合发起式4,793,178.430.23
43000171易方达裕丰回报债券3,971,165.400.02
44006466浦银安盛双债增强债券A3,425,813.280.31
45006467浦银安盛双债增强债券C3,425,813.280.31
46675111西部利得汇享债券A3,415,566.580.07
47675113西部利得汇享债券C3,415,566.580.07
48750003安信目标收益债券C3,240,120.310.10
49750002安信目标收益债券A3,240,120.310.10
50005751平安双债添益债券C2,846,305.480.15
51005750平安双债添益债券A2,846,305.480.15
52270009广发增强债券2,540,270.710.10
53003093华商丰利增强定期开放债券C2,495,640.640.44
54003092华商丰利增强定期开放债券A2,495,640.640.44
55070016嘉实多元债券B2,284,444.780.08
56070015嘉实多元债券A2,284,444.780.08
57001862东方红收益增强债券A2,277,044.380.71
58001863东方红收益增强债券C2,277,044.380.71
59004265金鹰民丰回报混合2,277,044.381.05
60519682交银增利债券C2,276,588.970.14
61519680交银增利债券A/B2,276,588.970.14
62002969易方达丰和债券2,195,070.790.03
63006141广发集嘉债券C1,696,398.070.12
64006140广发集嘉债券A1,696,398.070.12
65519735交银强化回报债券C1,629,225.260.32
66519733交银强化回报债券A1,629,225.260.32
67002933圆信永丰强化收益债券C1,427,706.830.09
68002932圆信永丰强化收益债券A1,427,706.830.09
69001803易方达瑞财混合E1,341,179.140.11
70001802易方达瑞财混合I1,341,179.140.11
71310518申万菱信可转债债券1,324,101.312.49
72008810安信民稳增长混合C1,242,127.710.08
73008809安信民稳增长混合A1,242,127.710.08
74400027东方双债添利债券A1,242,013.860.15
75400029东方双债添利债券C1,242,013.860.15
76001682新华鑫回报混合1,220,495.791.29
77009019西部利得聚泰18个月定开债C1,138,522.190.22
78009018西部利得聚泰18个月定开债A1,138,522.190.22
79004452添富年年丰定开混合C1,138,522.190.05
80004451添富年年丰定开混合A1,138,522.190.05
81010268太平睿安混合A935,295.980.34
82010269太平睿安混合C935,295.980.34
83519030海富通稳固收益债券643,151.190.04
84008332万家可转债债券C610,247.890.57
85008331万家可转债债券A610,247.890.57
86161908万家添利债券(LOF)569,261.100.20
87009849安信稳健聚申一年持有混合507,780.900.09
88008233中银恒优12个月持有期债券C455,408.880.22
89008232中银恒优12个月持有期债券A455,408.880.22
90007391申万菱信安泰丰利债券A455,408.880.02
91007392申万菱信安泰丰利债券C455,408.880.02
92001033华夏安康优选债券C453,131.830.45
93001031华夏安康优选债券A453,131.830.45
94007884易方达恒盛3个月定开混合发起式428,084.340.03
95519186万家稳健增利债券A397,799.650.05
96519187万家稳健增利债券C397,799.650.05
97003024平安惠金定开债券A348,387.790.05
98006717平安惠金定开债券C348,387.790.05
99005015泰康景泰回报混合C339,165.760.03
100005014泰康景泰回报混合A339,165.760.03
101009901易方达磐固六个月持有混合C293,738.730.03
102009900易方达磐固六个月持有混合A293,738.730.03
103009248易方达磐恒九个月持有混合C284,630.550.03
104009247易方达磐恒九个月持有混合A284,630.550.03
105004836中融鑫价值混合A267,552.720.67
106004837中融鑫价值混合C267,552.720.67
107009902易方达悦享一年持有混合A174,193.900.03
108009903易方达悦享一年持有混合C174,193.900.03
109001530万家瑞富混合157,116.060.29
110003510长盛可转债债券A148,007.880.15
111003511长盛可转债债券C148,007.880.15
112005823泰康颐享混合A66,717.400.03
113005824泰康颐享混合C66,717.400.03
114160215国泰价值经典混合(LOF)65,237.320.02
115009054圆信永丰沣泰混合56,926.110.34
116005678安信尊享添益债券A51,233.500.23
117007099安信尊享添益债券C51,233.500.23
118000310安信永利信用债券A11,385.220.02
119000335安信永利信用债券C11,385.220.02