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持有 22农发11(220411)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(%)
1007967大成惠嘉一年定开债券3,638,267,995.5845.40
2003515国泰利是宝货币3,064,772,994.022.23
3008105中金鑫裕债券C2,755,737,090.8584.94
4008104中金鑫裕债券A2,755,737,090.8584.94
5007161南方恒庆一年定期开放债券A1,819,717,647.6123.73
6000686建信嘉薪宝货币A1,728,321,483.510.86
7002753建信嘉薪宝货币B1,728,321,483.510.86
8007489万家民安增利12个月定开债券C1,437,881,448.5317.87
9007488万家民安增利12个月定开债券A1,437,881,448.5317.87
10007867华泰柏瑞锦泰一年定开债券1,437,766,184.9917.86
11000380景顺长城景益货币A995,479,799.920.83
12000381景顺长城景益货币B995,479,799.920.83
13000677工银现金货币924,715,748.541.02
14000693建信现金添利货币A643,499,477.680.63
15003164建信现金添利货币B643,499,477.680.63
16008485格林泓裕一年定开债C593,144,621.9522.12
17008484格林泓裕一年定开债A593,144,621.9522.12
18007759平安乐享一年定开债券C583,185,904.608.22
19007758平安乐享一年定开债券A583,185,904.608.22
20000836国投瑞银钱多宝货币A543,146,577.080.85
21000837国投瑞银钱多宝货币I543,146,577.080.85
22002001华夏回报混合A522,978,389.044.39
23960002华夏回报混合H522,978,389.044.39
24519783交银裕隆纯债债券C502,863,835.624.11
25519782交银裕隆纯债债券A502,863,835.624.11
26511660建信现金添益货币H452,274,271.961.09
27003022建信现金添益货币A452,274,271.961.09
28006598国泰利享中短债债券C402,291,068.493.02
29006597国泰利享中短债债券A402,291,068.493.02
30008409景顺长城景泰裕利纯债债券392,233,791.783.39
31002021华夏回报二号混合382,176,515.077.85
32511620国泰瞬利货币ETF361,839,685.682.06
33005951民生加银恒益纯债债券A352,004,684.937.81
34005952民生加银恒益纯债债券C352,004,684.937.81
35162605景顺长城鼎益混合(LOF)281,603,747.951.65
36010027景顺核心中景一年持有期混合251,431,917.815.74
37002011华夏红利混合251,431,917.814.30
38007902汇添富中短债C201,145,534.255.93
39007901汇添富中短债A201,145,534.255.93
40004449上银慧增利货币201,082,743.780.88
41004770海富通添益货币A201,028,506.390.48
42004771海富通添益货币B201,028,506.390.48
43008204交银稳利中短债债券A191,088,257.532.02
44008205交银稳利中短债债券C191,088,257.532.02
45007412景顺长城绩优成长混合191,088,257.532.92
46260108景顺长城新兴成长混合181,030,980.820.47
47009053平安合庆定开债券170,973,704.1110.80
48005148新华活期添利货币E170,867,828.851.43
49003264新华活期添利货币B170,867,828.851.43
50000903新华活期添利货币A170,867,828.851.43
51519702交银趋势优先混合160,916,427.401.72
52511770金鹰增益货币E160,789,418.261.34
53004372金鹰增益货币A160,789,418.261.34
54004373金鹰增益货币B160,789,418.261.34
55007390上银中债1-3年农发行债券指数150,859,150.6821.44
56010143交银启欣混合140,801,873.976.07
57009402交银启明混合140,801,873.972.59
58008646天弘增利短债债券A140,801,873.972.73
59008647天弘增利短债债券C140,801,873.972.73
60519756交银国企改革灵活配置混合130,744,597.261.78
61006826华宝宝裕债券A130,744,597.265.39
62006922华宝宝裕债券C130,744,597.265.39
63006794交银稳鑫短债债券C120,687,320.551.46
64006793交银稳鑫短债债券A120,687,320.551.46
65006562中欧短债债券C120,687,320.551.83
66008127广发趋势优选灵活配置混合C120,687,320.553.70
67002920中欧短债债券A120,687,320.551.83
68000215广发趋势优选灵活配置混合A120,687,320.553.70
69007617富国投资级信用债债券C110,630,043.842.86
70007618富国投资级信用债债券D110,630,043.842.86
71007616富国投资级信用债债券A110,630,043.842.86
72006851平安中短债债券E110,630,043.843.41
73004827平安中短债债券A110,630,043.843.41
74004828平安中短债债券C110,630,043.843.41
75004028广发景源纯债C100,572,767.123.99
76004027广发景源纯债A100,572,767.123.99
77006036中融恒惠纯债债券C100,572,767.129.86
78006035中融恒惠纯债债券A100,572,767.129.86
79006211东方臻宝纯债债券C100,572,767.128.39
80006210东方臻宝纯债债券A100,572,767.128.39
81519748交银丰享收益债券C100,572,767.125.48
82519746交银丰享收益债券A100,572,767.125.48
83008970睿远均衡价值三年持有混合C100,572,767.120.61
84008969睿远均衡价值三年持有混合A100,572,767.120.61
85260109景顺长城内需贰号混合100,572,767.121.95
86000542上银慧财宝货币A100,547,709.940.57
87000543上银慧财宝货币B100,547,709.940.57
88010094交银产业机遇混合90,515,490.415.19
89003547鹏华丰禄债券90,515,490.412.01
90004063华夏恒融定开债券80,458,213.7010.27
91000986太平灵活配置混合80,458,213.706.98
92008145兴全优选进取三个月持有混合(FOF)70,400,936.992.09
93006994国泰瑞安三个月定期开放债券70,400,936.994.12
94009014泓德睿泽混合70,400,936.990.97
95519736交银新成长混合70,400,936.990.70
96519704交银先进制造混合70,400,936.990.78
97519722交银裕惠纯债债券60,343,660.2710.94
98009190景顺长城核心优选一年持有期混合60,343,660.275.63
99010104景顺长城消费精选混合A60,343,660.273.50
100010105景顺长城消费精选混合C60,343,660.273.50
101340009兴全磐稳增利债券A60,343,660.273.66
102002140博时裕诚纯债债券60,343,660.275.48
103002932圆信永丰强化收益债券A60,343,660.275.29
104002933圆信永丰强化收益债券C60,343,660.275.29
105003023博时景发纯债债券60,343,660.274.30
106003179山西证券裕利定期开放债券60,343,660.274.48
107007398兴全磐稳增利债券C60,343,660.273.66
108005171富国景利纯债债券60,343,660.274.59
109007985博时富悦纯债债券60,343,660.272.88
110005975东方红配置精选混合C60,343,660.274.39
111005974东方红配置精选混合A60,343,660.274.39
112003448招商招华纯债A50,286,383.563.33
113003449招商招华纯债C50,286,383.563.33
114260116景顺长城核心竞争力混合A50,286,383.561.92
115960008景顺长城核心竞争力混合H50,286,383.561.92
116001406东方红策略精选混合C50,286,383.566.31
117001405东方红策略精选混合A50,286,383.566.31
118007230兴全沪深300指数(LOF)C40,229,106.850.78
119008770东方红安鑫甄选一年持有混合40,229,106.857.68
120163407兴全沪深300指数(LOF)A40,229,106.850.78
121010449广发恒悦债券A40,229,106.854.06
122010450广发恒悦债券C40,229,106.854.06
123010451广发恒悦债券E40,229,106.854.06
124519767交银科技创新灵活配置混合30,171,830.144.00
125000760工银财富货币A30,134,291.736.03
126002722工银财富货币B30,134,291.736.03
127002134广发鑫裕混合A25,143,191.783.28
128009955广发鑫裕混合C25,143,191.783.28
129004405国寿安保稳寿混合A25,143,191.788.13
130004406国寿安保稳寿混合C25,143,191.788.13
131006422嘉合磐稳纯债A21,623,144.9310.02
132006423嘉合磐稳纯债C21,623,144.9310.02
133003669东方红益鑫纯债债券C20,114,553.429.88
134003668东方红益鑫纯债债券A20,114,553.429.88
135007555中航瑞明纯债A20,114,553.429.98
136007556中航瑞明纯债C20,114,553.429.98
137002030信诚新选混合B20,114,553.4214.23
138002206博时裕康纯债债券20,114,553.423.99
139001402信诚新选混合A20,114,553.4214.23
140003235信诚至利混合C20,114,553.429.70
141003234信诚至利混合A20,114,553.429.70
142001115广发聚安混合A15,085,915.077.34
143001116广发聚安混合C15,085,915.077.34
144004259国寿安保稳嘉混合C15,085,915.076.93
145004258国寿安保稳嘉混合A15,085,915.076.93
146006580兴全安泰平衡养老三年持有混合(FOF)10,057,276.710.67
147006849博时中债5-10农发行债指数C10,057,276.7114.59
148006848博时中债5-10农发行债指数A10,057,276.7114.59
149531030建信周盈安心理财债券B10,057,276.7115.85
150530030建信周盈安心理财债券A10,057,276.7115.85
151002018鹏华弘安混合A3,017,183.0111.25
152002019鹏华弘安混合C3,017,183.0111.25
153008574中加1-3年政金债指数2,011,455.3492.27
154001199创金合信聚利债券A1,609,164.2715.15
155001200创金合信聚利债券C1,609,164.2715.15