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$file: config.inc.php,v $
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$Date: 2007-1-6 9:34:54 Saturday $
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持有债券 - 搜狐基金
序号 |
基金代码 |
基金简称 |
债券市值(元) |
占基金净值比例(%) |
1 | 110007 | 易方达稳健收益债券A | 138,320,825.92 | 0.22 |
2 | 110008 | 易方达稳健收益债券B | 138,320,825.92 | 0.22 |
3 | 008008 | 易方达稳健收益债券C | 138,320,825.92 | 0.22 |
4 | 110028 | 易方达安心回报债券B | 82,294,532.84 | 0.71 |
5 | 110027 | 易方达安心回报债券A | 82,294,532.84 | 0.71 |
6 | 110035 | 易方达双债增强债券A | 71,025,141.42 | 0.39 |
7 | 110036 | 易方达双债增强债券C | 71,025,141.42 | 0.39 |
8 | 000107 | 富国稳健增强债券A | 44,653,090.39 | 0.25 |
9 | 000109 | 富国稳健增强债券C | 44,653,090.39 | 0.25 |
10 | 010435 | 富国双债增强债券A | 44,230,666.26 | 0.56 |
11 | 010436 | 富国双债增强债券C | 44,230,666.26 | 0.56 |
12 | 001603 | 易方达安盈回报混合 | 30,098,089.36 | 1.33 |
13 | 002351 | 易方达裕祥回报债券 | 28,007,391.91 | 0.09 |
14 | 511380 | 博时可转债ETF | 25,068,617.66 | 0.43 |
15 | 161015 | 富国天盈债券(LOF)C | 21,901,215.26 | 0.40 |
16 | 007762 | 富国天盈债券(LOF)A | 21,901,215.26 | 0.40 |
17 | 005876 | 易方达鑫转增利混合A | 20,525,231.63 | 2.57 |
18 | 005877 | 易方达鑫转增利混合C | 20,525,231.63 | 2.57 |
19 | 675111 | 西部利得汇享债券A | 20,511,557.26 | 0.28 |
20 | 675113 | 西部利得汇享债券C | 20,511,557.26 | 0.28 |
21 | 100051 | 富国可转换债券A | 17,102,080.63 | 0.38 |
22 | 009758 | 富国可转换债券C | 17,102,080.63 | 0.38 |
23 | 100035 | 富国优化增强债券A/B | 17,039,406.43 | 1.61 |
24 | 100037 | 富国优化增强债券C | 17,039,406.43 | 1.61 |
25 | 000810 | 富国收益增强债券A | 13,393,932.94 | 0.62 |
26 | 000812 | 富国收益增强债券C | 13,393,932.94 | 0.62 |
27 | 000171 | 易方达裕丰回报债券 | 12,851,630.15 | 0.06 |
28 | 000189 | 易方达丰华债券A | 12,696,198.13 | 0.18 |
29 | 006867 | 易方达丰华债券C | 12,696,198.13 | 0.18 |
30 | 128112 | 国投瑞银优化增强债券C | 12,378,724.81 | 0.09 |
31 | 121012 | 国投瑞银优化增强债券A/B | 12,378,724.81 | 0.09 |
32 | 100018 | 富国天利增长债券 | 11,904,338.07 | 0.08 |
33 | 240018 | 华宝可转债A | 9,116,247.67 | 0.53 |
34 | 008817 | 华宝可转债C | 9,116,247.67 | 0.53 |
35 | 007969 | 西部利得得尊债券C | 9,116,247.67 | 0.37 |
36 | 675100 | 西部利得得尊债券A | 9,116,247.67 | 0.37 |
37 | 002245 | 泰康稳健增利债券A | 8,201,204.31 | 0.16 |
38 | 002246 | 泰康稳健增利债券C | 8,201,204.31 | 0.16 |
39 | 161115 | 易方达岁丰添利债券(LOF) | 7,976,716.71 | 0.10 |
40 | 161010 | 富国天丰强化债券(LOF) | 7,976,716.71 | 0.83 |
41 | 002969 | 易方达丰和债券 | 6,088,969.73 | 0.07 |
42 | 008346 | 南华瑞泽债券C | 5,697,654.79 | 0.51 |
43 | 008345 | 南华瑞泽债券A | 5,697,654.79 | 0.51 |
44 | 002066 | 景顺长城景盛双息收益债券C | 5,407,074.40 | 0.05 |
45 | 002065 | 景顺长城景盛双息收益债券A | 5,407,074.40 | 0.05 |
46 | 007562 | 景顺长城景泰纯利债券 | 5,293,121.30 | 0.14 |
47 | 519680 | 交银增利债券A/B | 5,095,070.82 | 0.24 |
48 | 519682 | 交银增利债券C | 5,095,070.82 | 0.24 |
49 | 002600 | 易方达裕景添利6个月定期开放债券 | 4,558,237.79 | 0.25 |
50 | 002637 | 广发集裕债券C | 4,558,123.84 | 0.03 |
51 | 002636 | 广发集裕债券A | 4,558,123.84 | 0.03 |
52 | 005717 | 兴业机遇债券A | 4,261,845.79 | 3.04 |
53 | 008222 | 兴业机遇债券C | 4,261,845.79 | 3.04 |
54 | 020020 | 国泰双利债券C | 4,065,846.46 | 0.06 |
55 | 020019 | 国泰双利债券A | 4,065,846.46 | 0.06 |
56 | 620009 | 金元顺安丰祥债券 | 3,453,120.66 | 0.10 |
57 | 040023 | 华安可转债债券B | 3,418,592.88 | 0.11 |
58 | 040022 | 华安可转债债券A | 3,418,592.88 | 0.11 |
59 | 110017 | 易方达增强回报债券A | 3,217,579.62 | 0.02 |
60 | 110018 | 易方达增强回报债券B | 3,217,579.62 | 0.02 |
61 | 161908 | 万家添利债券(LOF) | 3,133,710.14 | 0.80 |
62 | 070016 | 嘉实多元债券B | 3,085,849.84 | 0.09 |
63 | 070015 | 嘉实多元债券A | 3,085,849.84 | 0.09 |
64 | 270009 | 广发增强债券 | 2,848,827.40 | 0.09 |
65 | 002507 | 兴业定开债券C | 2,848,827.40 | 0.14 |
66 | 000546 | 兴业定开债券A | 2,848,827.40 | 0.14 |
67 | 340001 | 兴全可转债混合 | 2,734,076.63 | 0.07 |
68 | 005172 | 泰康安悦纯债3月定开债券 | 2,656,246.67 | 0.10 |
69 | 002767 | 泰康宏泰回报混合 | 2,332,847.78 | 0.18 |
70 | 001001 | 华夏债券A/B | 2,279,061.92 | 0.17 |
71 | 001003 | 华夏债券C | 2,279,061.92 | 0.17 |
72 | 001803 | 易方达瑞财混合E | 2,145,736.80 | 0.18 |
73 | 001802 | 易方达瑞财混合I | 2,145,736.80 | 0.18 |
74 | 001257 | 兴业收益增强债券A | 2,134,341.49 | 0.03 |
75 | 001258 | 兴业收益增强债券C | 2,134,341.49 | 0.03 |
76 | 005524 | 泰康颐年混合C | 1,982,783.87 | 0.17 |
77 | 005523 | 泰康颐年混合A | 1,982,783.87 | 0.17 |
78 | 007884 | 易方达恒盛3个月定开混合发起式 | 1,958,853.72 | 0.13 |
79 | 519030 | 海富通稳固收益债券 | 1,776,642.72 | 0.04 |
80 | 163816 | 中银转债增强债券A | 1,709,296.44 | 0.36 |
81 | 163817 | 中银转债增强债券B | 1,709,296.44 | 0.36 |
82 | 206018 | 鹏华产业债债券 | 1,629,529.27 | 0.11 |
83 | 002720 | 国寿安保尊利增强回报债券A | 1,431,250.88 | 0.34 |
84 | 002721 | 国寿安保尊利增强回报债券C | 1,431,250.88 | 0.34 |
85 | 004340 | 泰康兴泰回报沪港深混合 | 1,410,511.42 | 0.19 |
86 | 002483 | 富国泰利定期开放债券发起式 | 1,359,460.43 | 0.56 |
87 | 001019 | 兴业年年利定开债券 | 1,253,484.05 | 0.21 |
88 | 003878 | 富国久利稳健配置混合C | 991,391.93 | 1.99 |
89 | 003877 | 富国久利稳健配置混合A | 991,391.93 | 1.99 |
90 | 009019 | 西部利得聚泰18个月定开债C | 938,973.51 | 0.18 |
91 | 009018 | 西部利得聚泰18个月定开债A | 938,973.51 | 0.18 |
92 | 008398 | 汇添富鑫福债券 | 908,206.17 | 0.09 |
93 | 008464 | 招商添瑞1年定开债C | 823,880.88 | 0.01 |
94 | 008463 | 招商添瑞1年定开债A | 823,880.88 | 0.01 |
95 | 006208 | 泰康裕泰债券C | 786,276.36 | 0.36 |
96 | 006207 | 泰康裕泰债券A | 786,276.36 | 0.36 |
97 | 002280 | 华富安享债券 | 774,881.05 | 0.13 |
98 | 003310 | 兴业启元一年定开债券C | 772,032.22 | 0.18 |
99 | 003309 | 兴业启元一年定开债券A | 772,032.22 | 0.18 |
100 | 009349 | 前海联合添泽债券A | 765,764.80 | 0.16 |
101 | 009350 | 前海联合添泽债券C | 765,764.80 | 0.16 |
102 | 519187 | 万家稳健增利债券C | 683,718.58 | 1.35 |
103 | 519186 | 万家稳健增利债券A | 683,718.58 | 1.35 |
104 | 010170 | 中银证券鑫瑞6个月持有混合A | 683,718.58 | 0.84 |
105 | 010171 | 中银证券鑫瑞6个月持有混合C | 683,718.58 | 0.84 |
106 | 004836 | 中融鑫价值混合A | 658,648.89 | 1.21 |
107 | 004837 | 中融鑫价值混合C | 658,648.89 | 1.21 |
108 | 006619 | 长江可转债债券C | 569,765.48 | 2.53 |
109 | 006618 | 长江可转债债券A | 569,765.48 | 2.53 |
110 | 163003 | 长信利鑫债券(LOF)C | 569,765.48 | 0.35 |
111 | 163008 | 长信利鑫债券(LOF)A | 569,765.48 | 0.35 |
112 | 002660 | 兴业聚源灵活配置混合 | 569,765.48 | 0.24 |
113 | 008766 | 财通资管鸿盛12个月定开债券A | 569,755.48 | 0.17 |
114 | 008767 | 财通资管鸿盛12个月定开债券C | 569,755.48 | 0.17 |
115 | 002805 | 浙商汇金聚利一年定开债券A | 554,951.58 | 0.68 |
116 | 002806 | 浙商汇金聚利一年定开债券C | 554,951.58 | 0.68 |
117 | 009286 | 泰康招泰尊享一年持有期混合C | 456,951.91 | 0.18 |
118 | 009285 | 泰康招泰尊享一年持有期混合A | 456,951.91 | 0.18 |
119 | 001448 | 华商双翼平衡混合 | 382,882.40 | 0.71 |
120 | 006844 | 中信建投稳利混合C | 376,038.62 | 1.54 |
121 | 000804 | 中信建投稳利混合A | 376,038.62 | 1.54 |
122 | 000072 | 华安稳健回报混合 | 255,254.93 | 0.20 |
123 | 002735 | 泓德裕荣纯债债券C | 242,720.09 | 0.11 |
124 | 002734 | 泓德裕荣纯债债券A | 242,720.09 | 0.11 |
125 | 003198 | 光大保德信安诚债券C | 227,906.19 | 0.47 |
126 | 003197 | 光大保德信安诚债券A | 227,906.19 | 0.47 |
127 | 005580 | 光大保德信晟利债券C | 170,929.64 | 0.33 |
128 | 005579 | 光大保德信晟利债券A | 170,929.64 | 0.33 |
129 | 001770 | 前海开源嘉鑫混合C | 170,929.64 | 0.33 |
130 | 001765 | 前海开源嘉鑫混合A | 170,929.64 | 0.33 |
131 | 008757 | 九泰聚鑫混合A | 136,743.72 | 0.57 |
132 | 008758 | 九泰聚鑫混合C | 136,743.72 | 0.57 |
133 | 003813 | 泰康金泰3月定开混合 | 111,674.03 | 0.14 |
134 | 002102 | 创金合信转债精选债券C | 56,976.55 | 0.11 |
135 | 002101 | 创金合信转债精选债券A | 56,976.55 | 0.11 |
136 | 002331 | 泰康安泰回报混合 | 56,976.55 | 0.03 |
137 | 000181 | 景顺长城四季金利债券A | 53,557.96 | 0.00 |
138 | 000182 | 景顺长城四季金利债券C | 53,557.96 | 0.00 |