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$file: config.inc.php,v $
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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 | 009809 | 易方达恒智63个月定开债券发起式 | 5,194,342,081.09 | 64.19 |
2 | 007428 | 长信富瑞两年定开债券C | 3,614,222,794.57 | 40.23 |
3 | 005718 | 长信富瑞两年定开债券A | 3,614,222,794.57 | 40.23 |
4 | 007496 | 农银丰泽定开债券 | 3,542,099,027.18 | 42.12 |
5 | 007600 | 泰康润颐63个月定开债券 | 3,015,831,108.90 | 35.69 |
6 | 007761 | 鑫元安睿三年定期开放债券 | 1,663,601,216.57 | 20.73 |
7 | 008017 | 国泰惠信三年定期开放债券 | 1,560,518,213.29 | 11.36 |
8 | 007736 | 民生加银聚鑫三年定开债券 | 1,436,904,148.44 | 17.17 |
9 | 008028 | 申万菱信安泰广利63个月定期开放债券 | 1,308,554,400.88 | 15.52 |
10 | 007619 | 中欧润逸债券 | 1,288,529,455.87 | 15.58 |
11 | 000660 | 银华活钱宝货币D | 1,153,565,025.70 | 2.13 |
12 | 000659 | 银华活钱宝货币C | 1,153,565,025.70 | 2.13 |
13 | 000661 | 银华活钱宝货币E | 1,153,565,025.70 | 2.13 |
14 | 000658 | 银华活钱宝货币B | 1,153,565,025.70 | 2.13 |
15 | 000662 | 银华活钱宝货币F | 1,153,565,025.70 | 2.13 |
16 | 000657 | 银华活钱宝货币A | 1,153,565,025.70 | 2.13 |
17 | 009587 | 国寿安保瑞和纯债66个月定期开放债券 | 1,093,386,792.05 | 13.50 |
18 | 008472 | 工银泰颐三年定开债券C | 1,066,698,185.58 | 13.33 |
19 | 008471 | 工银泰颐三年定开债券A | 1,066,698,185.58 | 13.33 |
20 | 007990 | 富国汇远纯债三年定期开放债券A | 871,158,581.16 | 8.57 |
21 | 007991 | 富国汇远纯债三年定期开放债券C | 871,158,581.16 | 8.57 |
22 | 007682 | 鹏华锦利两年定期开放债券 | 800,637,744.21 | 10.01 |
23 | 007988 | 融通通恒63个月定开债券A | 797,546,204.91 | 13.23 |
24 | 007989 | 融通通恒63个月定开债券C | 797,546,204.91 | 13.23 |
25 | 007432 | 华泰保兴久盈债券 | 792,079,069.90 | 17.53 |
26 | 003770 | 中银丰庆定期开放债券 | 669,565,356.16 | 11.32 |
27 | 009584 | 华富63个月定期开放债券 | 654,245,094.60 | 8.75 |
28 | 001529 | 天弘云商宝货币 | 566,383,046.79 | 1.47 |
29 | 009304 | 恒生前海恒颐五年定开债券C | 460,121,751.99 | 17.67 |
30 | 009303 | 恒生前海恒颐五年定开债券A | 460,121,751.99 | 17.67 |
31 | 002361 | 国富恒瑞债券A | 422,341,224.66 | 6.31 |
32 | 002362 | 国富恒瑞债券C | 422,341,224.66 | 6.31 |
33 | 004120 | 国富安享货币 | 330,079,150.63 | 2.08 |
34 | 162206 | 泰达宏利货币A | 216,233,679.07 | 1.24 |
35 | 000700 | 泰达宏利货币B | 216,233,679.07 | 1.24 |
36 | 007184 | 蜂巢添鑫纯债债券A | 206,020,109.59 | 5.66 |
37 | 007185 | 蜂巢添鑫纯债债券C | 206,020,109.59 | 5.66 |
38 | 007986 | 嘉实致禄3个月定期纯债债券 | 164,816,087.67 | 9.61 |
39 | 006663 | 易方达安悦超短债债券C | 164,816,087.67 | 2.81 |
40 | 006664 | 易方达安悦超短债债券F | 164,816,087.67 | 2.81 |
41 | 006662 | 易方达安悦超短债债券A | 164,816,087.67 | 2.81 |
42 | 004117 | 大成惠祥纯债债券 | 154,515,082.19 | 15.65 |
43 | 003317 | 中银证券现金管家货币B | 154,514,557.79 | 1.75 |
44 | 003316 | 中银证券现金管家货币A | 154,514,557.79 | 1.75 |
45 | 007946 | 大成中债1-3年国开债指数A | 144,214,076.71 | 7.92 |
46 | 007947 | 大成中债1-3年国开债指数C | 144,214,076.71 | 7.92 |
47 | 003013 | 中融恒泰纯债A | 123,612,065.75 | 5.89 |
48 | 003014 | 中融恒泰纯债C | 123,612,065.75 | 5.89 |
49 | 002491 | 银华添益定期开放债券 | 123,612,065.75 | 5.69 |
50 | 005754 | 平安短债债券A | 113,311,060.27 | 2.28 |
51 | 005755 | 平安短债债券C | 113,311,060.27 | 2.28 |
52 | 005756 | 平安短债债券E | 113,311,060.27 | 2.28 |
53 | 010048 | 平安短债债券I | 113,311,060.27 | 2.28 |
54 | 005931 | 中融恒裕纯债债券A | 113,311,060.27 | 5.72 |
55 | 005932 | 中融恒裕纯债债券C | 113,311,060.27 | 5.72 |
56 | 006889 | 平安惠鸿纯债债券 | 113,311,060.27 | 11.24 |
57 | 000817 | 中银安心回报债券 | 103,010,054.79 | 3.15 |
58 | 000106 | 建信安心回报债券C | 103,010,054.79 | 5.12 |
59 | 000105 | 建信安心回报债券A | 103,010,054.79 | 5.12 |
60 | 008512 | 宝盈鸿盛债券C | 92,709,049.32 | 14.93 |
61 | 008511 | 宝盈鸿盛债券A | 92,709,049.32 | 14.93 |
62 | 009343 | 泰康长江经济带债券A | 82,408,043.84 | 4.34 |
63 | 009344 | 泰康长江经济带债券C | 82,408,043.84 | 4.34 |
64 | 007987 | 鹏华丰庆债券 | 82,408,043.84 | 5.22 |
65 | 004736 | 富国鼎利纯债三个月定期开放债券 | 82,408,043.84 | 5.97 |
66 | 960002 | 华夏回报混合H | 72,107,038.36 | 0.77 |
67 | 002001 | 华夏回报混合A | 72,107,038.36 | 0.77 |
68 | 005213 | 华夏鼎旺三个月定期开放债券A | 72,107,038.36 | 5.59 |
69 | 005214 | 华夏鼎旺三个月定期开放债券C | 72,107,038.36 | 5.59 |
70 | 008515 | 国富基本面优选混合 | 61,806,032.88 | 1.55 |
71 | 519003 | 海富通收益增长混合 | 41,204,021.92 | 2.90 |
72 | 009290 | 富国添享一年持有期债券A | 41,204,021.92 | 2.01 |
73 | 009291 | 富国添享一年持有期债券C | 41,204,021.92 | 2.01 |
74 | 450001 | 国富中国收益混合 | 30,903,016.44 | 3.48 |
75 | 550019 | 信诚优质纯债债券B | 20,602,010.96 | 8.96 |
76 | 550018 | 信诚优质纯债债券A | 20,602,010.96 | 8.96 |
77 | 009401 | 华安添瑞6个月混合C | 20,602,010.96 | 8.57 |
78 | 009400 | 华安添瑞6个月混合A | 20,602,010.96 | 8.57 |
79 | 006608 | 泓德研究优选混合 | 15,451,508.22 | 0.83 |
80 | 008545 | 泓德丰润三年持有期混合 | 15,451,508.22 | 0.79 |
81 | 000843 | 富国新回报灵活配置混合C | 10,301,005.48 | 17.93 |
82 | 000841 | 富国新回报灵活配置混合A | 10,301,005.48 | 17.93 |
83 | 007643 | 华安稳健养老一年混合(FOF) | 10,301,005.48 | 3.49 |