/*
$file: config.inc.php,v $
$vision: 1.0.0.0 $
$Date: 2007-1-6 9:34:54 Saturday $
*/
?>
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 | 001369 | 兴业稳固收益两年理财债券 | 2,967,541,123.42 | 37.33 |
2 | 007619 | 中欧润逸债券 | 2,047,957,249.24 | 24.77 |
3 | 009584 | 华富63个月定期开放债券 | 2,016,649,682.29 | 26.98 |
4 | 010251 | 长江安享纯债18个月定期开放债券A | 1,643,021,487.50 | 38.89 |
5 | 010252 | 长江安享纯债18个月定期开放债券C | 1,643,021,487.50 | 38.89 |
6 | 009816 | 大摩丰裕63个月开放债券 | 1,555,849,199.78 | 18.28 |
7 | 009585 | 中信建投稳丰63个月债券 | 1,535,612,899.95 | 19.13 |
8 | 002362 | 国富恒瑞债券C | 1,152,237,282.19 | 17.20 |
9 | 002361 | 国富恒瑞债券A | 1,152,237,282.19 | 17.20 |
10 | 009533 | 太平恒泽63个月定开债券 | 1,034,029,006.33 | 12.37 |
11 | 000602 | 富国安益货币 | 802,982,825.91 | 0.89 |
12 | 519511 | 万家日日薪货币A | 586,313,257.36 | 1.03 |
13 | 519512 | 万家日日薪货币B | 586,313,257.36 | 1.03 |
14 | 519513 | 万家日日薪货币R | 586,313,257.36 | 1.03 |
15 | 009587 | 国寿安保瑞和纯债66个月定期开放债券 | 522,088,699.75 | 6.44 |
16 | 007185 | 蜂巢添鑫纯债债券C | 411,513,315.07 | 11.31 |
17 | 007184 | 蜂巢添鑫纯债债券A | 411,513,315.07 | 11.31 |
18 | 008022 | 建信短债债券F | 401,225,482.19 | 3.00 |
19 | 530028 | 建信短债债券C | 401,225,482.19 | 3.00 |
20 | 531028 | 建信短债债券A | 401,225,482.19 | 3.00 |
21 | 003389 | 招商招益宝货币B | 370,300,524.68 | 2.06 |
22 | 003388 | 招商招益宝货币A | 370,300,524.68 | 2.06 |
23 | 000105 | 建信安心回报债券A | 360,074,150.68 | 17.90 |
24 | 000106 | 建信安心回报债券C | 360,074,150.68 | 17.90 |
25 | 000599 | 信诚薪金宝货币 | 329,157,870.91 | 1.27 |
26 | 001981 | 富国收益宝交易型货币A | 329,150,018.92 | 0.88 |
27 | 001982 | 富国收益宝交易型货币B | 329,150,018.92 | 0.88 |
28 | 511900 | 富国收益宝交易型货币H | 329,150,018.92 | 0.88 |
29 | 004199 | 华富天益货币B | 318,946,970.47 | 1.73 |
30 | 004198 | 华富天益货币A | 318,946,970.47 | 1.73 |
31 | 020020 | 国泰双利债券C | 318,922,819.18 | 5.25 |
32 | 020019 | 国泰双利债券A | 318,922,819.18 | 5.25 |
33 | 511830 | 华泰货币ETFA | 318,910,848.35 | 1.90 |
34 | 002469 | 华泰货币ETFB | 318,910,848.35 | 1.90 |
35 | 006599 | 国寿安保安丰纯债债券 | 277,771,487.67 | 5.31 |
36 | 100058 | 富国产业债A | 277,771,487.67 | 3.19 |
37 | 007075 | 富国产业债C | 277,771,487.67 | 3.19 |
38 | 002578 | 博时裕泉纯债债券 | 277,771,487.67 | 5.32 |
39 | 008207 | 国泰合融纯债债券 | 269,541,221.37 | 3.59 |
40 | 005162 | 中银如意宝货币B | 267,443,060.20 | 1.04 |
41 | 004502 | 中银如意宝货币A | 267,443,060.20 | 1.04 |
42 | 004156 | 中信保诚至泰中短债债券C | 236,620,156.16 | 3.81 |
43 | 004155 | 中信保诚至泰中短债债券A | 236,620,156.16 | 3.81 |
44 | 002195 | 中银机构现金货币 | 226,531,281.09 | 1.71 |
45 | 380010 | 中银聚享债券A | 221,188,406.85 | 14.76 |
46 | 380011 | 中银聚享债券B | 221,188,406.85 | 14.76 |
47 | 007640 | 泰达宏利永利债券 | 216,044,490.41 | 5.34 |
48 | 004849 | 信诚货币E | 216,016,428.86 | 1.60 |
49 | 550011 | 信诚货币B | 216,016,428.86 | 1.60 |
50 | 550010 | 信诚货币A | 216,016,428.86 | 1.60 |
51 | 002228 | 长城新优选混合C | 205,756,657.53 | 49.32 |
52 | 002227 | 长城新优选混合A | 205,756,657.53 | 49.32 |
53 | 100066 | 富国纯债债券发起A | 205,756,657.53 | 2.39 |
54 | 100068 | 富国纯债债券发起C | 205,756,657.53 | 2.39 |
55 | 009951 | 广发稳健回报混合A | 205,756,657.53 | 4.98 |
56 | 009952 | 广发稳健回报混合C | 205,756,657.53 | 4.98 |
57 | 007432 | 华泰保兴久盈债券 | 204,689,652.20 | 4.53 |
58 | 007176 | 富国泓利纯债债券型发起式C | 185,180,991.78 | 3.04 |
59 | 004920 | 富国泓利纯债债券型发起式A | 185,180,991.78 | 3.04 |
60 | 007015 | 嘉合磐泰短债债券C | 174,893,158.90 | 4.53 |
61 | 007014 | 嘉合磐泰短债债券A | 174,893,158.90 | 4.53 |
62 | 450009 | 国富中小盘股票 | 154,317,493.15 | 4.78 |
63 | 004020 | 广发景祥纯债债券 | 154,317,493.15 | 6.89 |
64 | 003480 | 财通资管鑫管家货币B | 144,006,137.16 | 1.26 |
65 | 003479 | 财通资管鑫管家货币A | 144,006,137.16 | 1.26 |
66 | 002994 | 招商招裕纯债债券A | 138,885,743.84 | 3.98 |
67 | 002995 | 招商招裕纯债债券C | 138,885,743.84 | 3.98 |
68 | 003819 | 广发景华纯债债券 | 133,741,827.40 | 2.01 |
69 | 006850 | 永赢颐利债券 | 133,741,827.40 | 5.86 |
70 | 006995 | 南方惠利6个月定开债券A | 133,741,827.40 | 5.42 |
71 | 006996 | 南方惠利6个月定开债券C | 133,741,827.40 | 5.42 |
72 | 007953 | 平安惠文纯债 | 133,741,827.40 | 12.30 |
73 | 006151 | 南方交元债券 | 123,453,994.52 | 5.07 |
74 | 006626 | 山西证券超短债债券A | 123,453,994.52 | 1.86 |
75 | 006627 | 山西证券超短债债券C | 123,453,994.52 | 1.86 |
76 | 000286 | 银华信用季季红债券A | 123,453,994.52 | 4.59 |
77 | 002672 | 诺德货币A | 123,438,775.06 | 1.71 |
78 | 002673 | 诺德货币B | 123,438,775.06 | 1.71 |
79 | 000869 | 国投瑞银增利宝货币B | 102,896,740.50 | 1.40 |
80 | 000868 | 国投瑞银增利宝货币A | 102,896,740.50 | 1.40 |
81 | 161820 | 银华纯债信用债券(LOF) | 102,878,328.77 | 4.01 |
82 | 009496 | 大成景轩中高等级债券C | 102,878,328.77 | 3.43 |
83 | 009495 | 大成景轩中高等级债券A | 102,878,328.77 | 3.43 |
84 | 008568 | 蜂巢丰业一年定开债 | 102,878,328.77 | 8.32 |
85 | 003417 | 中加丰泽纯债债券 | 102,878,328.77 | 2.38 |
86 | 003056 | 嘉实稳泽纯债债券 | 102,878,328.77 | 2.32 |
87 | 519972 | 长信纯债一年定开债券C | 102,878,328.77 | 6.84 |
88 | 519973 | 长信纯债一年定开债券A | 102,878,328.77 | 6.84 |
89 | 000543 | 上银慧财宝货币B | 102,853,622.69 | 0.50 |
90 | 000542 | 上银慧财宝货币A | 102,853,622.69 | 0.50 |
91 | 007105 | 国泰丰鑫纯债债券 | 92,590,495.89 | 2.55 |
92 | 005827 | 易方达蓝筹精选混合 | 92,590,495.89 | 0.24 |
93 | 007554 | 财通恒利债券 | 92,590,495.89 | 5.42 |
94 | 162712 | 广发聚利债券(LOF)A | 92,590,495.89 | 2.62 |
95 | 007235 | 广发聚利债券(LOF)C | 92,590,495.89 | 2.62 |
96 | 008449 | 德邦短债债券C | 82,302,663.01 | 2.94 |
97 | 008448 | 德邦短债债券A | 82,302,663.01 | 2.94 |
98 | 007520 | 富安达富利纯债债券 | 82,302,663.01 | 5.32 |
99 | 004908 | 长安泓沣中短债债券C | 82,302,663.01 | 4.94 |
100 | 004907 | 长安泓沣中短债债券A | 82,302,663.01 | 4.94 |
101 | 003286 | 平安惠享纯债债券A | 82,302,663.01 | 8.81 |
102 | 009404 | 平安惠享纯债债券C | 82,302,663.01 | 8.81 |
103 | 006811 | 大成景盈债券 | 82,302,663.01 | 8.14 |
104 | 006853 | 中银汇享债券 | 72,014,830.14 | 2.84 |
105 | 008466 | 蜂巢添益纯债C | 72,014,830.14 | 4.77 |
106 | 008465 | 蜂巢添益纯债A | 72,014,830.14 | 4.77 |
107 | 009291 | 富国添享一年持有期债券C | 72,014,830.14 | 3.52 |
108 | 009290 | 富国添享一年持有期债券A | 72,014,830.14 | 3.52 |
109 | 005751 | 平安双债添益债券C | 72,014,830.14 | 5.03 |
110 | 005750 | 平安双债添益债券A | 72,014,830.14 | 5.03 |
111 | 161019 | 富国新天锋债券(LOF) | 72,014,830.14 | 4.33 |
112 | 100020 | 富国天益价值混合 | 72,014,830.14 | 2.06 |
113 | 006596 | 国泰聚禾纯债债券 | 64,813,347.12 | 2.83 |
114 | 000785 | 华融现金增利货币A | 61,797,634.32 | 2.29 |
115 | 000786 | 华融现金增利货币B | 61,797,634.32 | 2.29 |
116 | 000787 | 华融现金增利货币C | 61,797,634.32 | 2.29 |
117 | 007196 | 平安惠合纯债债券 | 61,726,997.26 | 5.99 |
118 | 008211 | 银华永盛债券 | 61,726,997.26 | 5.80 |
119 | 008515 | 国富基本面优选混合 | 61,726,997.26 | 1.55 |
120 | 001755 | 嘉实新思路混合 | 61,726,997.26 | 6.94 |
121 | 450001 | 国富中国收益混合 | 61,726,997.26 | 6.95 |
122 | 006149 | 南方赢元债券 | 61,726,997.26 | 5.83 |
123 | 002206 | 博时裕康纯债债券 | 51,439,164.38 | 5.32 |
124 | 003328 | 万家鑫璟纯债债券C | 51,439,164.38 | 4.89 |
125 | 003327 | 万家鑫璟纯债债券A | 51,439,164.38 | 4.89 |
126 | 000815 | 鑫元合享纯债A | 51,439,164.38 | 13.23 |
127 | 000814 | 鑫元合享纯债C | 51,439,164.38 | 13.23 |
128 | 006506 | 永赢祥益债券C | 51,439,164.38 | 4.77 |
129 | 006505 | 永赢祥益债券A | 51,439,164.38 | 4.77 |
130 | 007427 | 永赢凯利债券 | 51,439,164.38 | 4.83 |
131 | 002438 | 创金合信尊盛纯债债券 | 51,439,164.38 | 5.13 |
132 | 003192 | 创金合信尊丰纯债债券 | 51,439,164.38 | 4.90 |
133 | 009830 | 长城优选增强六个月混合C | 51,439,164.38 | 53.13 |
134 | 009829 | 长城优选增强六个月混合A | 51,439,164.38 | 53.13 |
135 | 004285 | 华富天盈货币A | 51,430,100.57 | 1.86 |
136 | 004286 | 华富天盈货币B | 51,430,100.57 | 1.86 |
137 | 003494 | 富国天惠成长混合(LOF)C | 41,151,331.51 | 0.16 |
138 | 161005 | 富国天惠成长混合(LOF)A | 41,151,331.51 | 0.16 |
139 | 006987 | 平安季添盈定开债券C | 41,151,331.51 | 7.09 |
140 | 006988 | 平安季添盈定开债券E | 41,151,331.51 | 7.09 |
141 | 006986 | 平安季添盈定开债券A | 41,151,331.51 | 7.09 |
142 | 008145 | 兴全优选进取三个月持有混合(FOF) | 41,151,331.51 | 1.87 |
143 | 002147 | 长安鑫益增强混合C | 41,151,331.51 | 3.29 |
144 | 002146 | 长安鑫益增强混合A | 41,151,331.51 | 3.29 |
145 | 003176 | 德邦景颐债券A | 41,151,331.51 | 7.83 |
146 | 003177 | 德邦景颐债券C | 41,151,331.51 | 7.83 |
147 | 009932 | 永赢稳健增长一年持有混合 | 30,863,498.63 | 6.95 |
148 | 008470 | 朱雀安鑫回报债券C | 30,863,498.63 | 11.74 |
149 | 008469 | 朱雀安鑫回报债券A | 30,863,498.63 | 11.74 |
150 | 000298 | 中海纯债债券A | 30,863,498.63 | 6.12 |
151 | 000299 | 中海纯债债券C | 30,863,498.63 | 6.12 |
152 | 040004 | 华安宝利配置混合 | 30,863,498.63 | 2.64 |
153 | 008994 | 汇添富多策略纯债债券C | 20,575,665.75 | 6.47 |
154 | 008993 | 汇添富多策略纯债债券A | 20,575,665.75 | 6.47 |
155 | 006519 | 汇安短债债券A | 20,575,665.75 | 32.45 |
156 | 006520 | 汇安短债债券C | 20,575,665.75 | 32.45 |
157 | 006521 | 汇安短债债券E | 20,575,665.75 | 32.45 |
158 | 000567 | 广发聚祥灵活混合 | 20,575,665.75 | 21.12 |
159 | 004093 | 金元顺安桉盛债券A | 20,575,665.75 | 66.70 |
160 | 007115 | 金元顺安桉盛债券C | 20,575,665.75 | 66.70 |
161 | 010450 | 广发恒悦债券C | 20,575,665.75 | 3.85 |
162 | 010451 | 广发恒悦债券E | 20,575,665.75 | 3.85 |
163 | 010449 | 广发恒悦债券A | 20,575,665.75 | 3.85 |
164 | 372010 | 上投摩根强化回报债券A | 20,575,665.75 | 17.00 |
165 | 372110 | 上投摩根强化回报债券B | 20,575,665.75 | 17.00 |
166 | 008476 | 招商民安增益债券C | 10,287,832.88 | 5.95 |
167 | 008475 | 招商民安增益债券A | 10,287,832.88 | 5.95 |
168 | 540004 | 汇丰晋信2026周期混合 | 10,287,832.88 | 10.48 |
169 | 004130 | 国联安鑫汇混合C | 10,287,832.88 | 3.73 |
170 | 004129 | 国联安鑫汇混合A | 10,287,832.88 | 3.73 |
171 | 004738 | 上投摩根安隆回报混合A | 10,287,832.88 | 4.48 |
172 | 004739 | 上投摩根安隆回报混合C | 10,287,832.88 | 4.48 |
173 | 004824 | 上投安裕回报混合C | 10,287,832.88 | 4.67 |
174 | 004823 | 上投安裕回报混合A | 10,287,832.88 | 4.67 |
175 | 006432 | 汇安鼎利纯债债券C | 10,287,832.88 | 3.14 |
176 | 006431 | 汇安鼎利纯债债券A | 10,287,832.88 | 3.14 |
177 | 008726 | 平安添裕债券A | 7,201,483.01 | 14.76 |
178 | 008727 | 平安添裕债券C | 7,201,483.01 | 14.76 |
179 | 008378 | 兴全社会价值三年持有混合 | 5,143,916.44 | 0.36 |
180 | 008582 | 兴银聚丰债券 | 5,143,916.44 | 37.87 |
181 | 000214 | 广发成长优选混合 | 4,115,133.15 | 1.54 |
182 | 519325 | 浦银安盛盛鑫定开债券C | 3,086,349.86 | 6.06 |
183 | 519324 | 浦银安盛盛鑫定开债券A | 3,086,349.86 | 6.06 |