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持有 20国开12(200212)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(%)
1007619中欧润逸债券2,002,665,548.8924.68
2009584华富63个月定期开放债券1,963,905,372.3828.29
3009585中信建投稳丰63个月债券1,496,625,848.2318.64
4009298英大安惠纯债A1,045,928,000.0014.56
5009299英大安惠纯债C1,045,928,000.0014.56
6009533太平恒泽63个月定开债券818,032,597.3710.10
7002377建信睿怡纯债债券623,534,000.0019.00
8005952民生加银恒益纯债债券C563,192,000.0013.28
9005951民生加银恒益纯债债券A563,192,000.0013.28
10008015嘉实中债3-5年国开债指数A271,539,000.0019.65
11008016嘉实中债3-5年国开债指数C271,539,000.0019.65
12007078工银3-5年国开债指数A231,311,000.009.93
13007079工银3-5年国开债指数C231,311,000.009.93
14005548诺安鑫享定开发起式债券211,197,000.004.03
15000016华夏纯债债券C211,197,000.005.09
16000015华夏纯债债券A211,197,000.005.09
17002227长城新优选混合A201,140,000.005.42
18002228长城新优选混合C201,140,000.005.42
19007432华泰保兴久盈债券198,696,681.624.38
20007187华夏中债3-5年政金债指数C181,026,000.0014.00
21007186华夏中债3-5年政金债指数A181,026,000.0014.00
22006934平安3-5年期政策性金融债债券A181,026,000.0017.83
23006935平安3-5年期政策性金融债债券C181,026,000.0017.83
24006304中加颐鑫纯债债券181,026,000.006.08
25003487平安惠融纯债债券170,969,000.008.98
26008539工银开元利率债债券A170,969,000.0035.33
27008540工银开元利率债债券C170,969,000.0035.33
28008243英大通盈纯债债券C170,969,000.007.24
29008242英大通盈纯债债券A170,969,000.007.24
30008756民生加银瑞夏一年定开债券发起式150,855,000.0015.10
31004238永赢瑞益债券150,855,000.005.30
32003297招商双债增强(LOF)E150,855,000.002.83
33009580招商双债增强(LOF)D150,855,000.002.83
34161716招商双债增强(LOF)C150,855,000.002.83
35008957鹏华中债3-5年国开行债券指数C140,798,000.0013.37
36008956鹏华中债3-5年国开行债券指数A140,798,000.0013.37
37000186华泰柏瑞季季红债券140,798,000.005.16
38163005长信利众债券(LOF)C130,741,000.0013.11
39163007长信利众债券(LOF)A130,741,000.0013.11
40485005工银增强收益债券B110,627,000.0015.40
41485105工银增强收益债券A110,627,000.0015.40
42206004鹏华信用增利B102,581,400.004.94
43206003鹏华信用增利A102,581,400.004.94
44009532广发景明中短债E100,570,000.003.95
45001405东方红策略精选混合A100,570,000.005.75
46001406东方红策略精选混合C100,570,000.005.75
47002269银华大数据灵活配置定期开放混合发起式100,570,000.003.30
48005736中欧兴华债券100,570,000.003.35
49007986嘉实致禄3个月定期纯债债券100,570,000.007.68
50006591广发景明中短债A100,570,000.003.95
51006592广发景明中短债C100,570,000.003.95
52008785中加博裕纯债债券90,513,000.008.97
53009187天弘聚新三个月定开混合C90,513,000.0017.30
54009186天弘聚新三个月定开混合A90,513,000.0017.30
55009604国金惠盈纯债债券E80,456,000.009.52
56008739中欧同益债券80,456,000.007.84
57006549国金惠盈纯债债券A80,456,000.009.52
58006760国金惠盈纯债债券C80,456,000.009.52
59004225国寿安保稳诚混合A80,456,000.0011.87
60004226国寿安保稳诚混合C80,456,000.0011.87
61004960平安合泰定开债80,456,000.008.07
62000490光大保德信岁末红利债券C70,399,000.006.97
63000489光大保德信岁末红利债券A70,399,000.006.97
64070038嘉实纯债债券C60,342,000.002.10
65070037嘉实纯债债券A60,342,000.002.10
66070015嘉实多元债券A60,342,000.003.72
67070016嘉实多元债券B60,342,000.003.72
68519206万家年年恒荣债券A50,285,000.008.45
69519207万家年年恒荣债券C50,285,000.008.45
70009121广发招享混合50,285,000.003.56
71040019华安稳固收益债券C50,285,000.004.69
72001547兴业聚惠灵活配置混合A50,285,000.006.19
73001498建信鑫荣回报灵活配置混合50,285,000.006.49
74002923兴业聚惠灵活配置混合C50,285,000.006.19
75002534华安稳固收益债券A50,285,000.004.69
76006842南方国利定开债券50,285,000.002.16
77006453中加瑞利纯债债券A50,285,000.009.98
78006454中加瑞利纯债债券C50,285,000.009.98
79006026东吴鼎泰纯债债券50,285,000.008.24
80006870广发景和中短债债券A40,228,000.0012.21
81006871广发景和中短债债券C40,228,000.0012.21
82004618建信鑫稳回报灵活配置混合C40,228,000.005.28
83004617建信鑫稳回报灵活配置混合A40,228,000.005.28
84004761国寿安保稳瑞混合C40,228,000.005.88
85004760国寿安保稳瑞混合A40,228,000.005.88
86007962博时中债3-5政金融债指数A40,228,000.0020.43
87007963博时中债3-5政金融债指数C40,228,000.0020.43
88007584鹏华丰鑫债券40,228,000.004.81
89007781天弘弘新混合40,228,000.007.59
90519209万家3-5年政策性金融债债券C40,228,000.0015.27
91519208万家3-5年政策性金融债债券A40,228,000.0015.27
92519972长信纯债一年定开债券C40,228,000.0013.09
93519973长信纯债一年定开债券A40,228,000.0013.09
94002010中欧瑾通灵活配置混合C40,228,000.002.75
95002009中欧瑾通灵活配置混合A40,228,000.002.75
96000931国寿安保尊益信用纯债债券30,171,000.0013.88
97000037广发景宁纯债债券30,171,000.0028.84
98001755嘉实新思路混合30,171,000.004.29
99003336长江收益增强债券30,171,000.0024.74
100003332南方荣发定期开放混合发起30,171,000.004.70
101007756财通久利三月定开债券发起30,171,000.005.85
102008473招商招阳纯债A30,171,000.0038.47
103008470朱雀安鑫回报债券C30,171,000.004.88
104008474招商招阳纯债C30,171,000.0038.47
105008469朱雀安鑫回报债券A30,171,000.004.88
106004258国寿安保稳嘉混合A30,171,000.004.18
107004259国寿安保稳嘉混合C30,171,000.004.18
108004333金鹰元盛债券(LOF)E30,171,000.0061.74
109519623银河君耀混合A30,171,000.005.09
110519624银河君耀混合C30,171,000.005.09
111162108金鹰元盛债券(LOF)C30,171,000.0061.74
112483003工银精选平衡混合30,171,000.001.73
113009701长江添利混合C30,171,000.008.69
114009700长江添利混合A30,171,000.008.69
115009072德邦安鑫混合C20,114,000.005.32
116009071德邦安鑫混合A20,114,000.005.32
117009176浙商中债1-5年政金债C20,114,000.0034.24
118009175浙商中债1-5年政金债A20,114,000.0034.24
119009338万家民瑞祥和6个月持有期债券A20,114,000.0015.87
120009339万家民瑞祥和6个月持有期债券C20,114,000.0015.87
121151002银河收益混合20,114,000.003.06
122519136海富通瑞丰债券20,114,000.009.23
123485107工银添利债券A20,114,000.004.92
124485007工银添利债券B20,114,000.004.92
125003309兴业启元一年定开债券A20,114,000.004.77
126003310兴业启元一年定开债券C20,114,000.004.77
127002720国寿安保尊利增强回报债券A20,114,000.006.35
128002721国寿安保尊利增强回报债券C20,114,000.006.35
129000567广发聚祥灵活混合20,114,000.008.69
130007717工银尊享短债债券F20,114,000.007.52
131007716嘉实致华纯债债券20,114,000.0036.31
132007953平安惠文纯债20,114,000.009.88
133007328招商添盈纯债债券E20,114,000.007.02
134006835工银尊享短债债券C20,114,000.007.52
135006834工银尊享短债债券A20,114,000.007.52
136007051招商中债3-5年国开行指数A20,114,000.009.77
137007052招商中债3-5年国开行指数C20,114,000.009.77
138006383招商添盈纯债债券A20,114,000.007.02
139006384招商添盈纯债债券C20,114,000.007.02
140006189国金量化添利债券10,057,000.009.88
141005528中信建投山西国企债券C10,057,000.0011.29
142005527中信建投山西国企债券A10,057,000.0011.29
143005508永赢丰利债券C10,057,000.0019.99
144005507永赢丰利债券A10,057,000.0019.99
145008006景顺长城中债3-5年政策性金融债指数C10,057,000.0019.78
146008005景顺长城中债3-5年政策性金融债指数A10,057,000.0019.78
147008379海富通中债3-5年国开债C10,057,000.0021.73
148008380海富通中债3-5年国开债A10,057,000.0021.73
149008804招商添华纯债A10,057,000.0017.92
150008805招商添华纯债C10,057,000.0017.92
151003486平安惠隆纯债债券A10,057,000.009.88
152009282宝盈盈辉纯债A10,057,000.005.51
153009283宝盈盈辉纯债C10,057,000.005.51
154009405平安惠隆纯债债券C10,057,000.009.88
155166016中欧纯债债券(LOF)C10,057,000.0011.42
156091023大成安汇金融债债券A10,057,000.0010.08
157090023大成安汇金融债债券C10,057,000.0010.08
158160131南方聚利1年定期开放债券(LOF)A10,057,000.0015.28
159160134南方聚利1年定期开放债券(LOF)C10,057,000.0015.28
160001918圆信永丰兴利债券A10,057,000.0020.21
161001919圆信永丰兴利债券C10,057,000.0020.21
162002592中欧纯债债券(LOF)E10,057,000.0011.42
163001516大成安汇金融债债券E10,057,000.0010.08
164000005嘉实增强信用定期债券10,057,000.0021.77