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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 | 007967 | 大成惠嘉一年定开债券 | 3,638,267,995.58 | 45.40 |
2 | 003515 | 国泰利是宝货币 | 3,064,772,994.02 | 2.23 |
3 | 008105 | 中金鑫裕债券C | 2,755,737,090.85 | 84.94 |
4 | 008104 | 中金鑫裕债券A | 2,755,737,090.85 | 84.94 |
5 | 007161 | 南方恒庆一年定期开放债券A | 1,819,717,647.61 | 23.73 |
6 | 000686 | 建信嘉薪宝货币A | 1,728,321,483.51 | 0.86 |
7 | 002753 | 建信嘉薪宝货币B | 1,728,321,483.51 | 0.86 |
8 | 007489 | 万家民安增利12个月定开债券C | 1,437,881,448.53 | 17.87 |
9 | 007488 | 万家民安增利12个月定开债券A | 1,437,881,448.53 | 17.87 |
10 | 007867 | 华泰柏瑞锦泰一年定开债券 | 1,437,766,184.99 | 17.86 |
11 | 000380 | 景顺长城景益货币A | 995,479,799.92 | 0.83 |
12 | 000381 | 景顺长城景益货币B | 995,479,799.92 | 0.83 |
13 | 000677 | 工银现金货币 | 924,715,748.54 | 1.02 |
14 | 000693 | 建信现金添利货币A | 643,499,477.68 | 0.63 |
15 | 003164 | 建信现金添利货币B | 643,499,477.68 | 0.63 |
16 | 008485 | 格林泓裕一年定开债C | 593,144,621.95 | 22.12 |
17 | 008484 | 格林泓裕一年定开债A | 593,144,621.95 | 22.12 |
18 | 007759 | 平安乐享一年定开债券C | 583,185,904.60 | 8.22 |
19 | 007758 | 平安乐享一年定开债券A | 583,185,904.60 | 8.22 |
20 | 000836 | 国投瑞银钱多宝货币A | 543,146,577.08 | 0.85 |
21 | 000837 | 国投瑞银钱多宝货币I | 543,146,577.08 | 0.85 |
22 | 002001 | 华夏回报混合A | 522,978,389.04 | 4.39 |
23 | 960002 | 华夏回报混合H | 522,978,389.04 | 4.39 |
24 | 519783 | 交银裕隆纯债债券C | 502,863,835.62 | 4.11 |
25 | 519782 | 交银裕隆纯债债券A | 502,863,835.62 | 4.11 |
26 | 511660 | 建信现金添益货币H | 452,274,271.96 | 1.09 |
27 | 003022 | 建信现金添益货币A | 452,274,271.96 | 1.09 |
28 | 006598 | 国泰利享中短债债券C | 402,291,068.49 | 3.02 |
29 | 006597 | 国泰利享中短债债券A | 402,291,068.49 | 3.02 |
30 | 008409 | 景顺长城景泰裕利纯债债券 | 392,233,791.78 | 3.39 |
31 | 002021 | 华夏回报二号混合 | 382,176,515.07 | 7.85 |
32 | 511620 | 国泰瞬利货币ETF | 361,839,685.68 | 2.06 |
33 | 005951 | 民生加银恒益纯债债券A | 352,004,684.93 | 7.81 |
34 | 005952 | 民生加银恒益纯债债券C | 352,004,684.93 | 7.81 |
35 | 162605 | 景顺长城鼎益混合(LOF) | 281,603,747.95 | 1.65 |
36 | 010027 | 景顺核心中景一年持有期混合 | 251,431,917.81 | 5.74 |
37 | 002011 | 华夏红利混合 | 251,431,917.81 | 4.30 |
38 | 007902 | 汇添富中短债C | 201,145,534.25 | 5.93 |
39 | 007901 | 汇添富中短债A | 201,145,534.25 | 5.93 |
40 | 004449 | 上银慧增利货币 | 201,082,743.78 | 0.88 |
41 | 004770 | 海富通添益货币A | 201,028,506.39 | 0.48 |
42 | 004771 | 海富通添益货币B | 201,028,506.39 | 0.48 |
43 | 008204 | 交银稳利中短债债券A | 191,088,257.53 | 2.02 |
44 | 008205 | 交银稳利中短债债券C | 191,088,257.53 | 2.02 |
45 | 007412 | 景顺长城绩优成长混合 | 191,088,257.53 | 2.92 |
46 | 260108 | 景顺长城新兴成长混合 | 181,030,980.82 | 0.47 |
47 | 009053 | 平安合庆定开债券 | 170,973,704.11 | 10.80 |
48 | 005148 | 新华活期添利货币E | 170,867,828.85 | 1.43 |
49 | 003264 | 新华活期添利货币B | 170,867,828.85 | 1.43 |
50 | 000903 | 新华活期添利货币A | 170,867,828.85 | 1.43 |
51 | 519702 | 交银趋势优先混合 | 160,916,427.40 | 1.72 |
52 | 511770 | 金鹰增益货币E | 160,789,418.26 | 1.34 |
53 | 004372 | 金鹰增益货币A | 160,789,418.26 | 1.34 |
54 | 004373 | 金鹰增益货币B | 160,789,418.26 | 1.34 |
55 | 007390 | 上银中债1-3年农发行债券指数 | 150,859,150.68 | 21.44 |
56 | 010143 | 交银启欣混合 | 140,801,873.97 | 6.07 |
57 | 009402 | 交银启明混合 | 140,801,873.97 | 2.59 |
58 | 008646 | 天弘增利短债债券A | 140,801,873.97 | 2.73 |
59 | 008647 | 天弘增利短债债券C | 140,801,873.97 | 2.73 |
60 | 519756 | 交银国企改革灵活配置混合 | 130,744,597.26 | 1.78 |
61 | 006826 | 华宝宝裕债券A | 130,744,597.26 | 5.39 |
62 | 006922 | 华宝宝裕债券C | 130,744,597.26 | 5.39 |
63 | 006794 | 交银稳鑫短债债券C | 120,687,320.55 | 1.46 |
64 | 006793 | 交银稳鑫短债债券A | 120,687,320.55 | 1.46 |
65 | 006562 | 中欧短债债券C | 120,687,320.55 | 1.83 |
66 | 008127 | 广发趋势优选灵活配置混合C | 120,687,320.55 | 3.70 |
67 | 002920 | 中欧短债债券A | 120,687,320.55 | 1.83 |
68 | 000215 | 广发趋势优选灵活配置混合A | 120,687,320.55 | 3.70 |
69 | 007617 | 富国投资级信用债债券C | 110,630,043.84 | 2.86 |
70 | 007618 | 富国投资级信用债债券D | 110,630,043.84 | 2.86 |
71 | 007616 | 富国投资级信用债债券A | 110,630,043.84 | 2.86 |
72 | 006851 | 平安中短债债券E | 110,630,043.84 | 3.41 |
73 | 004827 | 平安中短债债券A | 110,630,043.84 | 3.41 |
74 | 004828 | 平安中短债债券C | 110,630,043.84 | 3.41 |
75 | 004028 | 广发景源纯债C | 100,572,767.12 | 3.99 |
76 | 004027 | 广发景源纯债A | 100,572,767.12 | 3.99 |
77 | 006036 | 中融恒惠纯债债券C | 100,572,767.12 | 9.86 |
78 | 006035 | 中融恒惠纯债债券A | 100,572,767.12 | 9.86 |
79 | 006211 | 东方臻宝纯债债券C | 100,572,767.12 | 8.39 |
80 | 006210 | 东方臻宝纯债债券A | 100,572,767.12 | 8.39 |
81 | 519748 | 交银丰享收益债券C | 100,572,767.12 | 5.48 |
82 | 519746 | 交银丰享收益债券A | 100,572,767.12 | 5.48 |
83 | 008970 | 睿远均衡价值三年持有混合C | 100,572,767.12 | 0.61 |
84 | 008969 | 睿远均衡价值三年持有混合A | 100,572,767.12 | 0.61 |
85 | 260109 | 景顺长城内需贰号混合 | 100,572,767.12 | 1.95 |
86 | 000542 | 上银慧财宝货币A | 100,547,709.94 | 0.57 |
87 | 000543 | 上银慧财宝货币B | 100,547,709.94 | 0.57 |
88 | 010094 | 交银产业机遇混合 | 90,515,490.41 | 5.19 |
89 | 003547 | 鹏华丰禄债券 | 90,515,490.41 | 2.01 |
90 | 004063 | 华夏恒融定开债券 | 80,458,213.70 | 10.27 |
91 | 000986 | 太平灵活配置混合 | 80,458,213.70 | 6.98 |
92 | 008145 | 兴全优选进取三个月持有混合(FOF) | 70,400,936.99 | 2.09 |
93 | 006994 | 国泰瑞安三个月定期开放债券 | 70,400,936.99 | 4.12 |
94 | 009014 | 泓德睿泽混合 | 70,400,936.99 | 0.97 |
95 | 519736 | 交银新成长混合 | 70,400,936.99 | 0.70 |
96 | 519704 | 交银先进制造混合 | 70,400,936.99 | 0.78 |
97 | 519722 | 交银裕惠纯债债券 | 60,343,660.27 | 10.94 |
98 | 009190 | 景顺长城核心优选一年持有期混合 | 60,343,660.27 | 5.63 |
99 | 010104 | 景顺长城消费精选混合A | 60,343,660.27 | 3.50 |
100 | 010105 | 景顺长城消费精选混合C | 60,343,660.27 | 3.50 |
101 | 340009 | 兴全磐稳增利债券A | 60,343,660.27 | 3.66 |
102 | 002140 | 博时裕诚纯债债券 | 60,343,660.27 | 5.48 |
103 | 002932 | 圆信永丰强化收益债券A | 60,343,660.27 | 5.29 |
104 | 002933 | 圆信永丰强化收益债券C | 60,343,660.27 | 5.29 |
105 | 003023 | 博时景发纯债债券 | 60,343,660.27 | 4.30 |
106 | 003179 | 山西证券裕利定期开放债券 | 60,343,660.27 | 4.48 |
107 | 007398 | 兴全磐稳增利债券C | 60,343,660.27 | 3.66 |
108 | 005171 | 富国景利纯债债券 | 60,343,660.27 | 4.59 |
109 | 007985 | 博时富悦纯债债券 | 60,343,660.27 | 2.88 |
110 | 005975 | 东方红配置精选混合C | 60,343,660.27 | 4.39 |
111 | 005974 | 东方红配置精选混合A | 60,343,660.27 | 4.39 |
112 | 003448 | 招商招华纯债A | 50,286,383.56 | 3.33 |
113 | 003449 | 招商招华纯债C | 50,286,383.56 | 3.33 |
114 | 260116 | 景顺长城核心竞争力混合A | 50,286,383.56 | 1.92 |
115 | 960008 | 景顺长城核心竞争力混合H | 50,286,383.56 | 1.92 |
116 | 001406 | 东方红策略精选混合C | 50,286,383.56 | 6.31 |
117 | 001405 | 东方红策略精选混合A | 50,286,383.56 | 6.31 |
118 | 007230 | 兴全沪深300指数(LOF)C | 40,229,106.85 | 0.78 |
119 | 008770 | 东方红安鑫甄选一年持有混合 | 40,229,106.85 | 7.68 |
120 | 163407 | 兴全沪深300指数(LOF)A | 40,229,106.85 | 0.78 |
121 | 010449 | 广发恒悦债券A | 40,229,106.85 | 4.06 |
122 | 010450 | 广发恒悦债券C | 40,229,106.85 | 4.06 |
123 | 010451 | 广发恒悦债券E | 40,229,106.85 | 4.06 |
124 | 519767 | 交银科技创新灵活配置混合 | 30,171,830.14 | 4.00 |
125 | 000760 | 工银财富货币A | 30,134,291.73 | 6.03 |
126 | 002722 | 工银财富货币B | 30,134,291.73 | 6.03 |
127 | 002134 | 广发鑫裕混合A | 25,143,191.78 | 3.28 |
128 | 009955 | 广发鑫裕混合C | 25,143,191.78 | 3.28 |
129 | 004405 | 国寿安保稳寿混合A | 25,143,191.78 | 8.13 |
130 | 004406 | 国寿安保稳寿混合C | 25,143,191.78 | 8.13 |
131 | 006422 | 嘉合磐稳纯债A | 21,623,144.93 | 10.02 |
132 | 006423 | 嘉合磐稳纯债C | 21,623,144.93 | 10.02 |
133 | 003669 | 东方红益鑫纯债债券C | 20,114,553.42 | 9.88 |
134 | 003668 | 东方红益鑫纯债债券A | 20,114,553.42 | 9.88 |
135 | 007555 | 中航瑞明纯债A | 20,114,553.42 | 9.98 |
136 | 007556 | 中航瑞明纯债C | 20,114,553.42 | 9.98 |
137 | 002030 | 信诚新选混合B | 20,114,553.42 | 14.23 |
138 | 002206 | 博时裕康纯债债券 | 20,114,553.42 | 3.99 |
139 | 001402 | 信诚新选混合A | 20,114,553.42 | 14.23 |
140 | 003235 | 信诚至利混合C | 20,114,553.42 | 9.70 |
141 | 003234 | 信诚至利混合A | 20,114,553.42 | 9.70 |
142 | 001115 | 广发聚安混合A | 15,085,915.07 | 7.34 |
143 | 001116 | 广发聚安混合C | 15,085,915.07 | 7.34 |
144 | 004259 | 国寿安保稳嘉混合C | 15,085,915.07 | 6.93 |
145 | 004258 | 国寿安保稳嘉混合A | 15,085,915.07 | 6.93 |
146 | 006580 | 兴全安泰平衡养老三年持有混合(FOF) | 10,057,276.71 | 0.67 |
147 | 006849 | 博时中债5-10农发行债指数C | 10,057,276.71 | 14.59 |
148 | 006848 | 博时中债5-10农发行债指数A | 10,057,276.71 | 14.59 |
149 | 531030 | 建信周盈安心理财债券B | 10,057,276.71 | 15.85 |
150 | 530030 | 建信周盈安心理财债券A | 10,057,276.71 | 15.85 |
151 | 002018 | 鹏华弘安混合A | 3,017,183.01 | 11.25 |
152 | 002019 | 鹏华弘安混合C | 3,017,183.01 | 11.25 |
153 | 008574 | 中加1-3年政金债指数 | 2,011,455.34 | 92.27 |
154 | 001199 | 创金合信聚利债券A | 1,609,164.27 | 15.15 |
155 | 001200 | 创金合信聚利债券C | 1,609,164.27 | 15.15 |