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$file: config.inc.php,v $
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$Date: 2007-1-6 9:34:54 Saturday $
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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 | 009533 | 太平恒泽63个月定开债券 | 3,715,166,422.29 | 44.44 |
2 | 009674 | 嘉合慧康63个月定开债券C | 3,340,126,374.97 | 41.57 |
3 | 009673 | 嘉合慧康63个月定开债券A | 3,340,126,374.97 | 41.57 |
4 | 002750 | 工银泰享三年理财债券 | 2,587,199,993.88 | 16.56 |
5 | 009584 | 华富63个月定期开放债券 | 2,480,413,254.36 | 33.48 |
6 | 008130 | 广发汇优66个月定期开放债券 | 1,336,655,221.46 | 9.18 |
7 | 009732 | 兴业稳泰66个月定开债券 | 1,154,279,785.43 | 14.04 |
8 | 004972 | 长城收益宝货币A | 1,098,524,085.22 | 0.92 |
9 | 004973 | 长城收益宝货币B | 1,098,524,085.22 | 0.92 |
10 | 009585 | 中信建投稳丰63个月债券 | 1,012,884,606.88 | 12.60 |
11 | 007619 | 中欧润逸债券 | 1,012,464,393.23 | 12.26 |
12 | 009933 | 浦银安盛普华66个月定开债券A | 900,580,194.97 | 11.17 |
13 | 009934 | 浦银安盛普华66个月定开债券C | 900,580,194.97 | 11.17 |
14 | 007600 | 泰康润颐63个月定开债券 | 870,331,485.43 | 10.18 |
15 | 000381 | 景顺长城景益货币B | 752,625,231.67 | 0.63 |
16 | 000380 | 景顺长城景益货币A | 752,625,231.67 | 0.63 |
17 | 000861 | 长城货币E | 620,466,762.02 | 0.90 |
18 | 200103 | 长城货币B | 620,466,762.02 | 0.90 |
19 | 200003 | 长城货币A | 620,466,762.02 | 0.90 |
20 | 000905 | 鹏华安盈宝货币 | 579,683,572.74 | 2.83 |
21 | 004120 | 国富安享货币 | 427,412,785.03 | 1.55 |
22 | 004010 | 华泰柏瑞鼎利混合A | 336,321,986.30 | 2.56 |
23 | 004011 | 华泰柏瑞鼎利混合C | 336,321,986.30 | 2.56 |
24 | 003297 | 招商双债增强(LOF)E | 336,321,986.30 | 3.15 |
25 | 009580 | 招商双债增强(LOF)D | 336,321,986.30 | 3.15 |
26 | 161716 | 招商双债增强(LOF)C | 336,321,986.30 | 3.15 |
27 | 001621 | 国金金腾通货币C | 335,641,103.09 | 1.17 |
28 | 000540 | 国金金腾通货币A | 335,641,103.09 | 1.17 |
29 | 002794 | 天弘永利债券E | 305,747,260.27 | 1.67 |
30 | 009610 | 天弘永利债券C | 305,747,260.27 | 1.67 |
31 | 420102 | 天弘永利债券B | 305,747,260.27 | 1.67 |
32 | 420002 | 天弘永利债券A | 305,747,260.27 | 1.67 |
33 | 003389 | 招商招益宝货币B | 305,198,907.56 | 1.78 |
34 | 003388 | 招商招益宝货币A | 305,198,907.56 | 1.78 |
35 | 006683 | 富国国有企业债债券D | 295,555,684.93 | 2.30 |
36 | 000141 | 富国国有企业债债券C | 295,555,684.93 | 2.30 |
37 | 000139 | 富国国有企业债债券A | 295,555,684.93 | 2.30 |
38 | 004920 | 富国泓利纯债债券型发起式A | 244,597,808.22 | 3.85 |
39 | 007176 | 富国泓利纯债债券型发起式C | 244,597,808.22 | 3.85 |
40 | 003538 | 招商招利宝货币B | 223,890,663.90 | 1.41 |
41 | 003537 | 招商招利宝货币A | 223,890,663.90 | 1.41 |
42 | 003542 | 财通纯债债券C | 214,023,082.19 | 21.37 |
43 | 000497 | 财通纯债债券A | 214,023,082.19 | 21.37 |
44 | 400005 | 东方金账簿货币A | 213,701,408.60 | 1.29 |
45 | 400006 | 东方金账簿货币B | 213,701,408.60 | 1.29 |
46 | 002759 | 东兴安盈宝货币A | 213,612,333.22 | 1.25 |
47 | 002760 | 东兴安盈宝货币B | 213,612,333.22 | 1.25 |
48 | 009922 | 华夏鼎富债券A | 203,831,506.85 | 10.18 |
49 | 009923 | 华夏鼎富债券C | 203,831,506.85 | 10.18 |
50 | 004224 | 南方军工改革灵活配置混合 | 193,639,931.51 | 3.29 |
51 | 007926 | 万家家享中短债债券C | 183,448,356.16 | 2.25 |
52 | 519199 | 万家家享中短债债券A | 183,448,356.16 | 2.25 |
53 | 100058 | 富国产业债A | 163,065,205.48 | 2.42 |
54 | 007075 | 富国产业债C | 163,065,205.48 | 2.42 |
55 | 006571 | 中金金元债券C | 163,065,205.48 | 1.98 |
56 | 006570 | 中金金元债券A | 163,065,205.48 | 1.98 |
57 | 006673 | 广发招财短债债券C | 152,873,630.14 | 1.75 |
58 | 006672 | 广发招财短债债券A | 152,873,630.14 | 1.75 |
59 | 010324 | 广发招财短债债券E | 152,873,630.14 | 1.75 |
60 | 001783 | 兴银合盈债券A | 152,873,630.14 | 3.01 |
61 | 001784 | 兴银合盈债券C | 152,873,630.14 | 3.01 |
62 | 009148 | 平安合聚定开债 | 142,682,054.79 | 13.95 |
63 | 519137 | 海富通瑞福债券 | 132,490,479.45 | 3.32 |
64 | 007213 | 华安安平定开债券 | 132,490,479.45 | 16.01 |
65 | 000295 | 鹏华丰实定期开放债券A | 132,490,479.45 | 6.68 |
66 | 000296 | 鹏华丰实定期开放债券B | 132,490,479.45 | 6.68 |
67 | 004117 | 大成惠祥纯债债券 | 112,107,328.77 | 11.34 |
68 | 006047 | 长信稳健纯债债券E | 81,532,602.74 | 5.28 |
69 | 002996 | 长信稳健纯债债券A | 81,532,602.74 | 5.28 |
70 | 005854 | 财通汇利债券 | 71,341,027.40 | 3.44 |
71 | 005439 | 易方达恒安定开债券发起式 | 61,153,150.68 | 5.39 |
72 | 006099 | 泰达宏利泽利债券 | 61,149,452.05 | 15.29 |
73 | 008970 | 睿远均衡价值三年持有混合C | 61,149,452.05 | 0.51 |
74 | 008969 | 睿远均衡价值三年持有混合A | 61,149,452.05 | 0.51 |
75 | 000266 | 易方达恒久1年定期债券C | 61,149,452.05 | 2.98 |
76 | 000265 | 易方达恒久1年定期债券A | 61,149,452.05 | 2.98 |
77 | 002797 | 景顺长城景盈双利债券C | 50,957,876.71 | 2.87 |
78 | 002796 | 景顺长城景盈双利债券A | 50,957,876.71 | 2.87 |
79 | 006496 | 银华安盈短债债券A | 50,957,876.71 | 2.73 |
80 | 006497 | 银华安盈短债债券C | 50,957,876.71 | 2.73 |
81 | 007645 | 平安季享裕定开债A | 50,957,876.71 | 9.96 |
82 | 007646 | 平安季享裕定开债C | 50,957,876.71 | 9.96 |
83 | 007647 | 平安季享裕定开债E | 50,957,876.71 | 9.96 |
84 | 008594 | 平安合润定开债券 | 50,957,876.71 | 7.86 |
85 | 002868 | 鹏华丰茂债券 | 45,862,089.04 | 4.17 |
86 | 003796 | 方正富邦睿利纯债C | 40,766,301.37 | 5.43 |
87 | 003795 | 方正富邦睿利纯债A | 40,766,301.37 | 5.43 |
88 | 008563 | 银河臻优稳健配置混合A | 30,574,726.03 | 9.45 |
89 | 008564 | 银河臻优稳健配置混合C | 30,574,726.03 | 9.45 |
90 | 009093 | 华泰柏瑞鸿利中短债A | 30,574,726.03 | 6.66 |
91 | 009094 | 华泰柏瑞鸿利中短债C | 30,574,726.03 | 6.66 |
92 | 009095 | 华泰柏瑞鸿利中短债E | 30,574,726.03 | 6.66 |
93 | 040001 | 华安创新混合 | 30,574,726.03 | 2.84 |
94 | 040005 | 华安宏利混合 | 30,574,726.03 | 1.94 |
95 | 010542 | 国寿安保稳和6个月混合C | 30,574,726.03 | 9.03 |
96 | 010541 | 国寿安保稳和6个月混合A | 30,574,726.03 | 9.03 |
97 | 009539 | 兴业睿进混合A | 30,574,726.03 | 6.83 |
98 | 009540 | 兴业睿进混合C | 30,574,726.03 | 6.83 |
99 | 009622 | 中欧心益稳健6个月混合C | 30,574,726.03 | 6.14 |
100 | 009621 | 中欧心益稳健6个月混合A | 30,574,726.03 | 6.14 |
101 | 010065 | 圆信永丰兴研混合C | 30,574,726.03 | 4.18 |
102 | 010064 | 圆信永丰兴研混合A | 30,574,726.03 | 4.18 |
103 | 010450 | 广发恒悦债券C | 20,383,150.68 | 5.51 |
104 | 010449 | 广发恒悦债券A | 20,383,150.68 | 5.51 |
105 | 010451 | 广发恒悦债券E | 20,383,150.68 | 5.51 |
106 | 002597 | 兴业成长动力混合 | 20,383,150.68 | 8.69 |
107 | 001507 | 景顺长城泰和回报混合C | 20,383,150.68 | 33.11 |
108 | 001506 | 景顺长城泰和回报混合A | 20,383,150.68 | 33.11 |
109 | 210010 | 金鹰灵活配置混合A | 10,191,575.34 | 5.33 |
110 | 210011 | 金鹰灵活配置混合C | 10,191,575.34 | 5.33 |
111 | 003525 | 兴银现金收益货币 | 10,172,131.21 | 10.74 |
112 | 471014 | 汇添富理财14天债券B | 5,095,787.67 | 9.93 |
113 | 470014 | 汇添富理财14天债券A | 5,095,787.67 | 9.93 |