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持有 海亮转债(128081)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C64,905,369.720.42
2110035易方达双债增强债券A64,905,369.720.42
3000297鹏华可转债债券44,956,137.810.65
4511380博时可转债ETF38,089,778.020.32
5003276国联安添利增长债券C35,987,045.443.35
6003275国联安添利增长债券A35,987,045.443.35
7340001兴全可转债混合34,826,792.541.16
8110028易方达安心回报债券B34,008,441.530.32
9110027易方达安心回报债券A34,008,441.530.32
10000171易方达裕丰回报债券27,884,914.700.14
11000338鹏华双债保利债券21,372,719.960.60
12008008易方达稳健收益债券C20,702,913.440.05
13110008易方达稳健收益债券B20,702,913.440.05
14110007易方达稳健收益债券A20,702,913.440.05
15001603易方达安盈回报混合18,496,230.260.93
16010629广发可转债债券E13,832,323.920.42
17006483广发可转债债券C13,832,323.920.42
18006482广发可转债债券A13,832,323.920.42
19002969易方达丰和债券11,758,777.410.19
20006972金鹰民安回报定开混合A11,393,112.740.89
21007735金鹰民安回报定开混合C11,393,112.740.89
22000436易方达裕惠定开混合发起式10,682,399.520.51
23128112国投瑞银优化增强债券C10,525,066.060.11
24121012国投瑞银优化增强债券A/B10,525,066.060.11
25001011华夏希望债券A9,765,525.210.19
26001013华夏希望债券C9,765,525.210.19
27257010国联安小盘精选混合9,646,602.811.08
28005876易方达鑫转增利混合A9,528,982.481.32
29005877易方达鑫转增利混合C9,528,982.481.32
30470078汇添富增强收益债券C9,275,078.830.16
31519078汇添富增强收益债券A9,275,078.830.16
32160718嘉实多利分级债券8,796,242.580.25
33002245泰康稳健增利债券A7,723,445.380.15
34002246泰康稳健增利债券C7,723,445.380.15
35003458嘉实稳宏债券A7,594,540.450.55
36003459嘉实稳宏债券C7,594,540.450.55
37161115易方达岁丰添利债券(LOF)6,356,271.850.05
38002351易方达裕祥回报债券6,121,899.250.02
39005461南方希元可转债债券5,453,503.300.18
40164206天弘添利债券(LOF)C5,360,188.280.37
41009512天弘添利债券(LOF)E5,360,188.280.37
42002933圆信永丰强化收益债券C5,354,762.990.41
43002932圆信永丰强化收益债券A5,354,762.990.41
44206018鹏华产业债债券4,960,886.800.34
45005452鹏扬双利债券C4,467,185.250.55
46005451鹏扬双利债券A4,467,185.250.55
47040023华安可转债债券B4,340,233.420.09
48040022华安可转债债券A4,340,233.420.09
49001802易方达瑞财混合I4,245,833.350.35
50001803易方达瑞财混合E4,245,833.350.35
51007884易方达恒盛3个月定开混合发起式4,136,242.450.22
52003134易方达裕鑫债券C3,961,548.060.37
53003133易方达裕鑫债券A3,961,548.060.37
54004428交银增利增强债券C3,933,336.540.29
55004427交银增利增强债券A3,933,336.540.29
56004265金鹰民丰回报混合3,797,704.251.77
57000189易方达丰华债券A3,691,694.050.10
58006867易方达丰华债券C3,691,694.050.10
59420102天弘永利债券B3,255,175.070.01
60002794天弘永利债券E3,255,175.070.01
61420002天弘永利债券A3,255,175.070.01
62009610天弘永利债券C3,255,175.070.01
63002600易方达裕景添利6个月定期开放债券3,123,883.010.17
64000046工银产业债债券B2,951,358.730.06
65000045工银产业债债券A2,951,358.730.06
66007762富国天盈债券(LOF)A2,712,645.890.06
67161015富国天盈债券(LOF)C2,712,645.890.06
68002739泓德裕康债券C2,712,645.890.66
69002738泓德裕康债券A2,712,645.890.66
70009758富国可转换债券C2,626,058.230.08
71100051富国可转换债券A2,626,058.230.08
72009519中欧鼎利债券E2,574,843.480.35
73009520中欧鼎利债券C2,574,843.480.35
74166010中欧鼎利债券A2,574,843.480.35
75008488华商恒益稳健混合2,301,408.770.31
76010268太平睿安混合A2,170,116.710.78
77010269太平睿安混合C2,170,116.710.78
78001136易方达裕如混合2,058,355.700.55
79166105信达澳银鑫安债券(LOF)1,940,084.340.03
80008572金信民达纯债C1,844,599.211.02
81008571金信民达纯债A1,844,599.211.02
82002405光大保德信中高等级债券A1,790,346.292.14
83002406光大保德信中高等级债券C1,790,346.292.14
84008897上银可转债精选债券1,749,114.071.27
85004503鹏华永泰定期开放债券1,736,093.370.45
86005523泰康颐年混合A1,724,157.730.20
87005524泰康颐年混合C1,724,157.730.20
88002005工银新得利混合1,716,562.322.94
89002767泰康宏泰回报混合1,659,054.230.22
90007812淳厚信泽混合C1,627,587.530.11
91007811淳厚信泽混合A1,627,587.530.11
92121009国投瑞银稳定增利债券1,626,936.500.35
93519030海富通稳固收益债券1,592,648.660.11
94006013易方达鑫转招利混合A1,586,355.320.74
95006014易方达鑫转招利混合C1,586,355.320.74
96009247易方达磐恒九个月持有混合A1,586,355.320.20
97009248易方达磐恒九个月持有混合C1,586,355.320.20
98009021鹏华丰诚债券A1,513,656.410.31
99009022鹏华丰诚债券C1,513,656.410.31
100009900易方达磐固六个月持有混合A1,455,388.770.17
101009901易方达磐固六个月持有混合C1,455,388.770.17
102003662鹏华永盛定期开放债券1,321,601.080.26
103110018易方达增强回报债券B1,200,074.540.01
104110017易方达增强回报债券A1,200,074.540.01
105004340泰康兴泰回报沪港深混合1,145,821.620.22
106000378上投摩根双债增利债券C1,134,971.041.01
107000377上投摩根双债增利债券A1,134,971.041.01
108006618长江可转债债券A1,085,058.360.51
109006619长江可转债债券C1,085,058.360.51
110164808工银四季收益债券(LOF)1,085,058.360.06
111092002大成债券C993,913.450.14
112090002大成债券A/B993,913.450.14
113004837中融鑫价值混合C929,786.511.70
114004836中融鑫价值混合A929,786.511.70
115009902易方达悦享一年持有混合A919,044.430.18
116009903易方达悦享一年持有混合C919,044.430.18
117003110光大保德信安和债券C868,046.680.15
118003109光大保德信安和债券A868,046.680.15
119010266兴全安泰稳健养老一年持有混合(FOF)723,733.920.08
120395001中海稳健收益债券694,437.350.29
121006717平安惠金定开债券C678,161.470.10
122003024平安惠金定开债券A678,161.470.10
123000182景顺长城四季金利债券C610,887.850.02
124000181景顺长城四季金利债券A610,887.850.02
125005955易方达鑫转添利混合A582,676.340.15
126005956易方达鑫转添利混合C582,676.340.15
127009700长江添利混合A542,529.180.73
128009701长江添利混合C542,529.180.73
129005580光大保德信晟利债券C542,529.181.07
130005579光大保德信晟利债券A542,529.181.07
131003198光大保德信安诚债券C542,529.181.65
132003197光大保德信安诚债券A542,529.181.65
133000804中信建投稳利混合A392,798.361.18
134006844中信建投稳利混合C392,798.361.18
135002102创金合信转债精选债券C359,154.320.70
136002101创金合信转债精选债券A359,154.320.70
137010368中融景瑞一年持有混合C347,218.670.45
138010367中融景瑞一年持有混合A347,218.670.45
139006855人保鑫泽纯债债券C325,523.510.50
140006854人保鑫泽纯债债券A325,523.510.50
141009285泰康招泰尊享一年持有期混合A314,666.920.24
142009286泰康招泰尊享一年持有期混合C314,666.920.24
143519060海富通纯债债券C309,241.630.86
144519061海富通纯债债券A309,241.630.86
145161908万家添利债券(LOF)271,264.590.07
146004732万家瑞尧灵活配置混合C253,903.662.49
147004731万家瑞尧灵活配置混合A253,903.662.49
148004132国联安鑫发混合C228,947.310.67
149004131国联安鑫发混合A228,947.310.67
150002483富国泰利定期开放债券发起式222,436.960.34
151010605创金合信鑫祥混合A221,351.900.43
152010606创金合信鑫祥混合C221,351.900.43
153233013大摩多元收益债券C217,011.670.10
154233012大摩多元收益债券A217,011.670.10
155519186万家稳健增利债券A217,011.670.07
156519187万家稳健增利债券C217,011.670.07
157003336长江收益增强债券217,011.670.11
158002147长安鑫益增强混合C217,011.670.01
159002146长安鑫益增强混合A217,011.670.01
160007551鑫元泽利债券208,331.200.02
161001868招商产业债券C171,439.220.00
162217022招商产业债券A171,439.220.00
163009054圆信永丰沣泰混合162,758.750.99
164006880交银安享稳健养老一年混合(FOF)146,482.880.00
165003813泰康金泰3月定开混合131,292.060.21
166001499国投瑞银新增长混合A130,207.000.26
167007326国投瑞银新增长混合C130,207.000.26
168000028华富安鑫债券108,505.840.29
169573003诺德增强收益债券108,505.841.00
170000578鑫元恒鑫收益增强债券A61,848.330.06
171000579鑫元恒鑫收益增强债券C61,848.330.06
172519007海富通强化回报混合54,252.920.02
173001530万家瑞富混合52,082.800.10
174005166嘉实润和量化定期混合36,891.980.08
175007562景顺长城景泰纯利债券36,891.980.00
176009349前海联合添泽债券A19,531.050.52
177009350前海联合添泽债券C19,531.050.52
178010057平安瑞兴一年定开混合C10,850.580.01
179010056平安瑞兴一年定开混合A10,850.580.01
180003472前海联合添鑫3个月定期开放债券C4,340.230.16
181003471前海联合添鑫3个月定期开放债券A4,340.230.16