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$file: config.inc.php,v $
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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 | 003376 | 广发中债7-10年国开债指数A | 4,469,061,095.89 | 15.66 |
2 | 003377 | 广发中债7-10年国开债指数C | 4,469,061,095.89 | 15.66 |
3 | 003930 | 中银证券安进债券C | 2,907,581,917.81 | 8.63 |
4 | 003929 | 中银证券安进债券A | 2,907,581,917.81 | 8.63 |
5 | 005309 | 中银证券汇嘉定期开放债券 | 1,076,882,191.78 | 2.48 |
6 | 400030 | 东方添益债券 | 893,812,219.18 | 5.26 |
7 | 005321 | 中银证券汇宇债券 | 861,505,753.42 | 7.15 |
8 | 008054 | 汇添富中债7-10年国开债A | 678,435,780.82 | 11.75 |
9 | 008055 | 汇添富中债7-10年国开债C | 678,435,780.82 | 11.75 |
10 | 003832 | 中银丰润定期开放债券 | 592,285,205.48 | 3.45 |
11 | 007228 | 华安中债7-10年国开债A | 441,521,698.63 | 8.91 |
12 | 007229 | 华安中债7-10年国开债C | 441,521,698.63 | 8.91 |
13 | 002336 | 创金合信尊享纯债债券 | 430,752,876.71 | 7.77 |
14 | 166008 | 中欧增强回报债券(LOF)A | 398,446,410.96 | 6.56 |
15 | 007446 | 中欧增强回报债券(LOF)C | 398,446,410.96 | 6.56 |
16 | 001889 | 中欧增强回报债券(LOF)E | 398,446,410.96 | 6.56 |
17 | 006451 | 华富中证5年恒定久期国开债指数A | 301,527,013.70 | 6.27 |
18 | 006452 | 华富中证5年恒定久期国开债指数C | 301,527,013.70 | 6.27 |
19 | 006944 | 永赢悦利债券 | 301,527,013.70 | 7.13 |
20 | 007451 | 易方达恒兴3个月定开债券发起式 | 269,220,547.95 | 3.50 |
21 | 006993 | 鑫元承利定期开放债券 | 258,451,726.03 | 4.31 |
22 | 003442 | 招商招惠3个月定开债发起式A | 258,451,726.03 | 4.79 |
23 | 003443 | 招商招惠3个月定开债发起式C | 258,451,726.03 | 4.79 |
24 | 003648 | 融通通祺债券 | 215,376,438.36 | 19.49 |
25 | 006946 | 宝盈聚享定期开放债券 | 183,069,972.60 | 7.77 |
26 | 003280 | 鹏华丰恒债券 | 165,839,857.53 | 2.17 |
27 | 070037 | 嘉实纯债债券A | 161,532,328.77 | 2.91 |
28 | 070038 | 嘉实纯债债券C | 161,532,328.77 | 2.91 |
29 | 008296 | 广发汇利一年定期开放债券 | 161,532,328.77 | 3.61 |
30 | 004124 | 民生加银鑫升纯债债券 | 161,532,328.77 | 10.53 |
31 | 005864 | 国投瑞银顺达纯债债券 | 150,763,506.85 | 19.56 |
32 | 007374 | 永赢淳利债券 | 150,763,506.85 | 4.51 |
33 | 000221 | 汇添富年年利定期开放债券A | 150,763,506.85 | 7.69 |
34 | 000222 | 汇添富年年利定期开放债券C | 150,763,506.85 | 7.69 |
35 | 004831 | 添富鑫泽定开债券A | 139,994,684.93 | 13.22 |
36 | 004832 | 添富鑫泽定开债券C | 139,994,684.93 | 13.22 |
37 | 007441 | 南方旭元债券发起式C | 129,225,863.01 | 12.40 |
38 | 007440 | 南方旭元债券发起式A | 129,225,863.01 | 12.40 |
39 | 003927 | 中融恒信纯债C | 118,457,041.10 | 6.51 |
40 | 003926 | 中融恒信纯债A | 118,457,041.10 | 6.51 |
41 | 005610 | 中银泰享定期开放债券 | 118,457,041.10 | 4.59 |
42 | 006771 | 永赢合益债券 | 107,688,219.18 | 5.37 |
43 | 006661 | 永赢昌益债券C | 107,688,219.18 | 7.21 |
44 | 006660 | 永赢昌益债券A | 107,688,219.18 | 7.21 |
45 | 006956 | 鹏华永润一年定期开放债券 | 96,919,397.26 | 7.76 |
46 | 007828 | 创金合信信用红利债券A | 86,150,575.34 | 2.97 |
47 | 007829 | 创金合信信用红利债券C | 86,150,575.34 | 2.97 |
48 | 003193 | 创金合信尊智纯债债券 | 77,535,517.81 | 4.31 |
49 | 008465 | 蜂巢添益纯债A | 75,381,753.42 | 4.99 |
50 | 008466 | 蜂巢添益纯债C | 75,381,753.42 | 4.99 |
51 | 006725 | 国泰丰盈纯债债券 | 75,381,753.42 | 6.03 |
52 | 164703 | 汇添富纯债债券(LOF) | 75,381,753.42 | 8.14 |
53 | 007987 | 鹏华丰庆债券 | 64,612,931.51 | 4.09 |
54 | 002342 | 融通增益债券A | 64,612,931.51 | 8.90 |
55 | 002344 | 融通增益债券C | 64,612,931.51 | 8.90 |
56 | 008628 | 大成惠享一年定开债券 | 53,844,109.59 | 7.64 |
57 | 008662 | 中银澳享一年定期开放债券 | 53,844,109.59 | 6.51 |
58 | 005099 | 易方达掌柜季季盈理财债券B | 53,844,109.59 | 4.04 |
59 | 000833 | 易方达掌柜季季盈理财债券A | 53,844,109.59 | 4.04 |
60 | 006112 | 易方达恒惠定开债券发起式 | 53,844,109.59 | 5.16 |
61 | 008125 | 创金合信中债1-3年国开债A | 53,844,109.59 | 17.67 |
62 | 008126 | 创金合信中债1-3年国开债C | 53,844,109.59 | 17.67 |
63 | 001950 | 鹏华丰泰定期开放债券B | 53,844,109.59 | 10.01 |
64 | 000289 | 鹏华丰泰定期开放债券A | 53,844,109.59 | 10.01 |
65 | 008780 | 南方宁利一年债券 | 53,844,109.59 | 5.18 |
66 | 007220 | 天弘华享三个月定开债券 | 53,844,109.59 | 5.32 |
67 | 000053 | 鹏华永诚一年定期开放债券 | 53,844,109.59 | 5.47 |
68 | 002548 | 嘉实稳瑞纯债债券 | 43,075,287.67 | 4.59 |
69 | 005645 | 华泰保兴尊信定开债券 | 43,075,287.67 | 8.58 |
70 | 004089 | 汇添富鑫瑞债券A | 37,690,876.71 | 6.43 |
71 | 004090 | 汇添富鑫瑞债券C | 37,690,876.71 | 6.43 |
72 | 010554 | 华安新兴消费混合A | 32,306,465.75 | 1.73 |
73 | 010555 | 华安新兴消费混合C | 32,306,465.75 | 1.73 |
74 | 008994 | 汇添富多策略纯债债券C | 26,922,054.79 | 8.46 |
75 | 008993 | 汇添富多策略纯债债券A | 26,922,054.79 | 8.46 |
76 | 009006 | 创金合信鑫祺混合C | 21,537,643.84 | 3.43 |
77 | 009005 | 创金合信鑫祺混合A | 21,537,643.84 | 3.43 |
78 | 005783 | 创金合信汇益纯债一年定开债券C | 21,537,643.84 | 4.13 |
79 | 005782 | 创金合信汇益纯债一年定开债券A | 21,537,643.84 | 4.13 |
80 | 008665 | 嘉实鑫和一年持有期混合C | 21,537,643.84 | 8.10 |
81 | 008664 | 嘉实鑫和一年持有期混合A | 21,537,643.84 | 8.10 |
82 | 010171 | 中银证券鑫瑞6个月持有混合C | 11,845,704.11 | 24.90 |
83 | 010170 | 中银证券鑫瑞6个月持有混合A | 11,845,704.11 | 24.90 |
84 | 003619 | 招商招旺纯债债券C | 10,768,821.92 | 8.66 |
85 | 003618 | 招商招旺纯债债券A | 10,768,821.92 | 8.66 |
86 | 001339 | 兴银鼎新灵活配置混合 | 10,768,821.92 | 7.87 |
87 | 006650 | 招商安庆债券 | 10,768,821.92 | 6.96 |
88 | 519061 | 海富通纯债债券A | 5,384,410.96 | 8.85 |
89 | 519060 | 海富通纯债债券C | 5,384,410.96 | 8.85 |