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持有 模塑转债(127004)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(%)
1110007易方达稳健收益债券A48,399,554.690.58
2110008易方达稳健收益债券B48,399,554.690.58
3320003诺安先锋混合9,598,130.070.30
4000436易方达裕惠定开混合发起式5,279,436.400.16
5004952兴全恒益债券A5,128,421.580.28
6004953兴全恒益债券C5,128,421.580.28
7001136易方达裕如混合4,870,184.500.32
8150066国泰信用互利分级债券A3,798,743.911.54
9150067国泰信用互利分级债券B3,798,743.911.54
1016021L国泰信用互利分级债券3,798,743.911.54
11110027易方达安心回报债券A2,161,041.190.03
12110028易方达安心回报债券B2,161,041.190.03
13002602易方达丰惠混合1,961,889.311.63
14000406汇添富双利增强债券A1,650,910.000.33
15000407汇添富双利增强债券C1,650,910.000.33
16100018富国天利增长债券1,230,362.400.03
17001745易方达瑞富混合I965,695.460.22
18001746易方达瑞富混合E965,695.460.22
19163806中银增利债券909,390.740.10
20163812中银双利债券B868,900.000.02
21163811中银双利债券A868,900.000.02
22164808工银四季收益债券(LOF)674,700.850.08
23100058富国产业债A655,150.600.14
24519186万家稳健增利债券A580,164.530.52
25519187万家稳健增利债券C580,164.530.52
26002600易方达裕景添利6个月定期开放债券435,318.900.04
27710301富安达增强收益债券A434,450.000.92
28710302富安达增强收益债券C434,450.000.92
29210006金鹰元禧混合A417,072.000.98
30002425金鹰元禧混合C417,072.000.98
31160525博时睿丰定开混合310,197.300.09
32160522博时睿益事件驱动混合(LOF)310,197.300.14
33003435博时鑫泽混合C309,328.400.07
34003434博时鑫泽混合A309,328.400.07
35161908万家添利债券(LOF)304,115.000.66
36160718嘉实多利分级债券221,569.500.30
3716382L中银产业债定期开放债券(LOF)221,569.500.04
38217023招商信用增强债券A221,569.500.07
39398001中海优质成长混合221,569.500.02
40395001中海稳健收益债券221,569.500.54
41020020国泰双利债券C221,569.500.35
42020019国泰双利债券A221,569.500.35
43150032嘉实多利分级债券优先221,569.500.30
44150033嘉实多利分级债券进取221,569.500.30
45150017兴全合润分级混合B221,569.500.00
46150016兴全合润分级混合A221,569.500.00
47070015嘉实多元债券A221,569.500.05
48070016嘉实多元债券B221,569.500.05
49690206民生加银信用双利债券C221,569.500.02
50690202民生增强收益债券C221,569.500.02
51690006民生加银信用双利债券A221,569.500.02
52690002民生增强收益债券A221,569.500.02
53470011汇添富多元收益债券C221,569.500.05
54470010汇添富多元收益债券A221,569.500.05
55519124浦银安盛季季添利债券C221,569.500.03
56519123浦银安盛季季添利债券A221,569.500.03
57519128浦银安盛月月盈定期支付债券A221,569.500.38
58519129浦银安盛月月盈定期支付债券C221,569.500.38
59519121浦银安盛6个月定期债券A221,569.500.43
60519122浦银安盛6个月定期债券C221,569.500.43
61002017招商瑞丰灵活配置混合发起式C221,569.500.03
62002005工银新得利混合221,569.500.07
63001948建信稳定丰利债券A221,569.500.19
64001949建信稳定丰利债券C221,569.500.19
65002178嘉实新起点混合C221,569.500.04
66001688嘉实新起点混合A221,569.500.04
67001722工银银和利混合221,569.500.04
68001427招商丰泽混合A221,569.500.02
69001342易方达新享混合A221,569.500.20
70001343易方达新享混合C221,569.500.20
71001433易方达瑞景混合221,569.500.04
72001446招商丰泽混合C221,569.500.02
73001320工银丰盈回报灵活配置混合221,569.500.22
74001850国泰安益灵活配置混合A221,569.500.11
75001803易方达瑞财混合E221,569.500.02
76001802易方达瑞财混合I221,569.500.02
77001009上投摩根安全战略股票221,569.500.03
78000875建信稳定得利债券A221,569.500.15
79000876建信稳定得利债券C221,569.500.15
80001249易方达新利混合221,569.500.04
81000763工银新财富灵活配置混合221,569.500.04
8200018L易方达保本一号混合221,569.500.01
83000314招商瑞丰灵活配置混合发起式A221,569.500.03
84000171易方达裕丰回报债券221,569.500.01
85002458国泰民利策略收益灵活配置混合221,569.500.01
86002489国泰民福策略价值混合221,569.500.05
87002819招商丰美混合A221,569.500.03
88002820招商丰美混合C221,569.500.03
89003355招商稳祥定开灵活混合A221,569.500.10
90003356招商稳祥定开灵活混合C221,569.500.10
91000346建信安心回报6个月定期开放债券A221,569.500.09
92000347建信安心回报6个月定期开放债券C221,569.500.09
93003405招商稳盛定开混合C221,569.500.06
94003404招商稳盛定开混合A221,569.500.06
95003394建信恒安一年定期开放债券221,569.500.00
96003783招商稳阳定开灵活配置混合C221,569.500.23
97003782招商稳阳定开灵活配置混合A221,569.500.23
98003632招商稳乾定开混合A221,569.500.34
99003633招商稳乾定开混合C221,569.500.34
100004252国泰安益灵活配置混合C221,569.500.11
101485011工银瑞信双利债券B220,700.600.00
102485111工银瑞信双利债券A220,700.600.00
103161014富国汇利回报两年定期开放债券220,700.600.03
104400022东方利群混合A220,700.600.14
105400023东方多策略灵活配置混合A220,700.600.99
106002193东方利群混合C220,700.600.14
107002068东方多策略灵活配置混合C220,700.600.99
108003064南方荣欢定期开放混合220,700.600.05
109002908富国睿利定期开放混合发起式220,700.600.08
110002826中银永利半年定期开放债券211,142.700.02
111002441德邦新添利债券C177,255.600.02
112001367德邦新添利债券A177,255.600.02
113000109富国稳健增强债券C173,780.000.07
114000107富国稳健增强债券A173,780.000.07
115165809东吴中证可转债指数173,780.000.69
116150164东吴中证可转换债券指数分级A173,780.000.69
117150165东吴中证可转换债券指数分级B173,780.000.69
118000082嘉实研究阿尔法股票149,885.250.04
119000984民生加银新收益债券A128,597.201.82
120000987民生加银新收益债券C128,597.201.82
121004267金鹰持久增利债券(LOF)E118,170.400.23
122162105金鹰持久增利债券(LOF)C118,170.400.23
123184801鹏华前海万科REITS104,268.000.00
124001327鹏华弘华混合A104,268.000.05
125001328鹏华弘华混合C104,268.000.05
126001326鹏华弘和混合C104,268.000.02
127001325鹏华弘和混合A104,268.000.02
128003343鹏华弘惠混合A104,268.000.11
129003344鹏华弘惠混合C104,268.000.11
130003143鹏华弘达混合C104,268.000.02
131003142鹏华弘达混合A104,268.000.02
132003663鹏华兴泰定期开放混合104,268.000.03
133003780鹏华兴悦定期开放混合104,268.000.03
134000176嘉实沪深300指数研究增强36,493.800.01
135004495博时量化平衡混合2,606.700.01