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持有 19进出01(190301)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(%)
1003515国泰利是宝货币759,971,692.080.62
2000861长城货币E609,964,165.931.07
3200003长城货币A609,964,165.931.07
4200103长城货币B609,964,165.931.07
5004101国泰民安增益纯债债券A570,228,000.0040.47
6006340国泰民安增益纯债债券C570,228,000.0040.47
7202301南方现金增利货币A409,974,131.061.32
8202302南方现金增利货币B409,974,131.061.32
9002828南方现金增利货币E409,974,131.061.32
10002829南方现金增利货币F409,974,131.061.32
11002847天弘现金管家货币E369,993,743.682.82
12000832天弘现金管家货币C369,993,743.682.82
13001251天弘现金管家货币D369,993,743.682.82
14420106天弘现金管家货币B369,993,743.682.82
15420006天弘现金管家货币A369,993,743.682.82
16001960兴银瑞益纯债债券320,128,000.007.59
17006889平安惠鸿纯债债券300,120,000.0029.77
18519716交银理财21天债券A269,993,640.941.87
1951971L交银理财21天债券B269,993,640.941.87
20003315景顺长城政策性金融债债券250,100,000.009.86
21002852招商财富宝货币ETFA239,989,163.192.99
22511850招商财富宝货币ETFE239,989,163.192.99
23003246华泰柏瑞天添宝货币A219,994,813.750.92
24003871华泰柏瑞天添宝货币B219,994,813.750.92
25003290长城久稳债券200,080,000.005.08
26620010金元顺安金元宝货币A199,970,771.841.78
27620011金元顺安金元宝货币B199,970,771.841.78
28003711泰达宏利京元宝货币A179,993,176.571.03
29003712泰达宏利京元宝货币B179,993,176.571.03
30003102长盛盛裕纯债债券A170,068,000.0011.41
31003103长盛盛裕纯债债券C170,068,000.0011.41
32675062西部利得天添富货币B139,989,250.300.60
33675061西部利得天添富货币A139,989,250.300.60
34070032嘉实优化红利混合130,052,000.005.44
35000425长盛添利宝货币B129,998,256.312.52
36000424长盛添利宝货币A129,998,256.312.52
37000011华夏大盘精选混合120,048,000.002.20
38000921中邮现金驿站货币A76,997,938.898.13
39000922中邮现金驿站货币B76,997,938.898.13
40000923中邮现金驿站货币C76,997,938.898.13
41003888汇安嘉源纯债债券70,028,000.009.65
42960012中银收益混合H70,028,000.005.14
43163804中银收益混合A70,028,000.005.14
44070003嘉实稳健混合60,024,000.001.97
45001256泓德优选成长混合60,024,000.002.12
46005304嘉实医药健康股票C60,024,000.004.74
47005303嘉实医药健康股票A60,024,000.004.74
48005811南方瑞祥一年混合C50,020,000.006.85
49005810南方瑞祥一年混合A50,020,000.006.85
50070002嘉实增长混合50,020,000.002.03
51150017兴全合润分级混合B50,020,000.000.89
52150016兴全合润分级混合A50,020,000.000.89
53001127中银宏观策略混合50,020,000.004.62
54002714鹏华金城灵活配置混合50,020,000.007.90
55003135金元顺安沣楹债券49,019,600.003.31
56003346安信新成长混合C40,016,000.006.52
57003345安信新成长混合A40,016,000.006.52
58001759嘉实成长增强混合40,016,000.007.64
59000573天弘通利混合40,016,000.006.38
60420009天弘安康颐养混合A40,016,000.005.32
61162206泰达宏利货币A39,998,263.962.64
62000700泰达宏利货币B39,998,263.962.64
63001895泰达宏利活期友货币B39,997,654.564.74
64001894泰达宏利活期友货币A39,997,654.564.74
65005206南方优选成长混合C30,012,000.002.45
66007530嘉实汇鑫中短债债券C30,012,000.0024.87
67007529嘉实汇鑫中短债债券A30,012,000.0024.87
68202023南方优选成长混合A30,012,000.002.45
69000324华润元大现金收益货币A29,999,132.503.92
70000325华润元大现金收益货币B29,999,132.503.92
71000963兴业多策略混合29,011,600.005.61
72006747东海祥利纯债债券20,008,000.0019.14
73006581建信优享稳健养老目标一年持有期混合(FOF)20,008,000.002.27
74004760国寿安保稳瑞混合A20,008,000.006.94
75004761国寿安保稳瑞混合C20,008,000.006.94
76002883华润元大现金通货币A19,999,347.962.15
77002884华润元大现金通货币B19,999,347.962.15
78000580中邮货币B12,999,676.636.27
79000576中邮货币A12,999,676.636.27
80001272兴业聚利灵活配置混合11,004,400.005.57
81163810中银价值混合10,004,000.003.69
82540004汇丰晋信2026周期混合10,004,000.006.34
83007920诺德短债债券C10,004,000.0013.03
84003763国开开泰混合C10,004,000.006.23
85003762国开开泰混合A10,004,000.006.23
86003657民生加银鑫元纯债债券C10,004,000.008.89
87003656民生加银鑫元纯债债券A10,004,000.008.89
88006306泰达宏利泰和养老混合(FOF)10,004,000.003.53
89006893汇添富丰利短债债券10,004,000.0044.41
90005350诺德短债债券A10,004,000.0013.03
91005480诺安联创顺鑫债券C10,004,000.007.45
92005448诺安联创顺鑫债券A10,004,000.007.45
93004787渤海汇金汇添金货币B9,999,939.838.14
94004786渤海汇金汇添金货币A9,999,939.838.14
95675031西部利得天添鑫货币A9,999,502.471.65
96675032西部利得天添鑫货币B9,999,502.471.65
97006366兴业安保优选混合7,803,120.0010.23
98000439国金鑫盈货币6,999,637.152.42
99005133兴业量化混合A3,501,400.003.62
100008218兴业量化混合C3,501,400.003.62
101008220兴业中证国有企业改革指数增强C3,301,320.003.04
102005339兴业中证国有企业改革指数增强A3,301,320.003.04
103002597兴业成长动力混合2,801,120.004.76
104002330兴业聚宝灵活配置混合2,601,040.002.57
105000327南方新蓝筹混合2,000,800.001.04