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持有 海泰转债(123200)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(%)
1110036易方达双债增强债券C35,694,996.180.23
2110035易方达双债增强债券A35,694,996.180.23
3420002天弘永利债券A16,121,576.490.09
4420102天弘永利债券B16,121,576.490.09
5009610天弘永利债券C16,121,576.490.09
6002794天弘永利债券E16,121,576.490.09
7511380博时可转债ETF13,992,229.830.04
8002459华夏鼎利债券A12,614,709.350.22
9002460华夏鼎利债券C12,614,709.350.22
10009512天弘添利债券(LOF)E12,533,110.700.48
11164206天弘添利债券(LOF)C12,533,110.700.48
12004993中欧可转债债券A12,355,247.710.42
13004994中欧可转债债券C12,355,247.710.42
14005750平安双债添益债券A3,092,037.280.20
15005751平安双债添益债券C3,092,037.280.20
16000014华夏聚利债券2,896,751.880.42
17700006平安添利债券C2,693,857.950.06
18700005平安添利债券A2,693,857.950.06
19007884易方达恒盛3个月定开混合发起式2,241,757.350.11
20001003华夏债券C1,654,026.580.13
21001001华夏债券A/B1,654,026.580.13
22009308天弘安康颐养混合C1,626,459.470.07
23420009天弘安康颐养混合A1,626,459.470.07
24164208天弘丰利债券(LOF)1,366,225.950.20
25005302前海开源弘泽债券C1,323,221.260.26
26005301前海开源弘泽债券A1,323,221.260.26
27003286平安惠享纯债债券A1,152,305.180.12
28009404平安惠享纯债债券C1,152,305.180.12
29002636广发集裕债券A1,102,684.380.05
30002637广发集裕债券C1,102,684.380.05
31003382民生加银鑫享债券A476,359.650.29
32003383民生加银鑫享债券C476,359.650.29
33007955民生加银鑫享债券D476,359.650.29
34003026安信新价值混合A443,279.120.70
35003027安信新价值混合C443,279.120.70
36007502前海开源裕和混合C441,073.750.85
37004218前海开源裕和混合A441,073.750.85
38002351易方达裕祥回报债券381,528.800.00
39006839安信聚利增强债券A337,421.420.16
40006840安信聚利增强债券C337,421.420.16
41010053安信聚利增强债券B337,421.420.16
42110018易方达增强回报债券B330,805.320.00
43110017易方达增强回报债券A330,805.320.00
44005793华富可转债债券330,805.320.28
45100051富国可转换债券A297,724.780.01
46009758富国可转换债券C297,724.780.01
47400027东方双债添利债券A220,536.880.05
48400029东方双债添利债券C220,536.880.05
49001755嘉实新思路混合156,581.180.01
50002600易方达裕景添利6个月定期开放债券129,014.070.01
51002935泰康恒泰回报混合C121,295.280.07
52002934泰康恒泰回报混合A121,295.280.07
53000579鑫元恒鑫收益增强债券C48,518.110.05
54000578鑫元恒鑫收益增强债券A48,518.110.05
55010056平安瑞兴一年定开混合A11,026.840.00
56010057平安瑞兴一年定开混合C11,026.840.00