行情中心升级到1.1版! 官方博客
持有 21进出16(210316)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(%)
1009610天弘永利债券C888,053,219.184.87
2420002天弘永利债券A888,053,219.184.87
3420102天弘永利债券B888,053,219.184.87
4002794天弘永利债券E888,053,219.184.87
5100018富国天利增长债券585,070,356.164.63
6001124融通增强收益债券C407,459,712.3317.22
7000142融通增强收益债券A407,459,712.3317.22
8100068富国纯债债券发起C219,401,383.562.55
9100066富国纯债债券发起A219,401,383.562.55
10100037富国优化增强债券C141,043,746.584.05
11100035富国优化增强债券A/B141,043,746.584.05
12675041西部利得合享债券A104,476,849.323.03
13675043西部利得合享债券C104,476,849.323.03
14092002大成债券C83,581,479.4514.95
15090002大成债券A/B83,581,479.4514.95
16090006大成2020生命周期混合73,133,794.526.85
17002344融通增益债券C52,238,424.667.20
18002342融通增益债券A52,238,424.667.20
19002504鹏华金鼎混合A41,790,739.7310.75
20002505鹏华金鼎混合C41,790,739.7310.75
21002972前海开源鼎安债券C36,566,897.2628.06
22002971前海开源鼎安债券A36,566,897.2628.06
23010014华夏鼎清债券A31,343,054.798.78
24010015华夏鼎清债券C31,343,054.798.78
25008847大成民稳增长混合C20,895,369.869.76
26008846大成民稳增长混合A20,895,369.869.76
27008629大成景瑞稳健配置混合A20,895,369.8641.81
28008630大成景瑞稳健配置混合C20,895,369.8641.81
29006145前海开源鼎欣债券A15,671,527.407.97
30006146前海开源鼎欣债券C15,671,527.407.97
31005139前海开源弘丰债券C10,447,684.9317.67
32005138前海开源弘丰债券A10,447,684.9317.67
33008870大成恒享混合C10,447,684.9321.40
34008869大成恒享混合A10,447,684.9321.40
35009448泰康申润一年持有期混合A10,447,684.9320.56
36009449泰康申润一年持有期混合C10,447,684.9320.56
37009493大成尊享18月定开混合A10,447,684.9331.77
38009494大成尊享18月定开混合C10,447,684.9331.77