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持有 23国开08(230208)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(%)
1009171永赢中债-1-5年国开债指数A4,584,357,238.3617.22
2009172永赢中债-1-5年国开债指数C4,584,357,238.3617.22
3007092鑫元中债3-5年国开行债券指数A2,597,101,463.0125.58
4007093鑫元中债3-5年国开行债券指数C2,597,101,463.0125.58
5007095建信中债3-5年国开行债券指数C1,377,410,087.6727.34
6007094建信中债3-5年国开行债券指数A1,377,410,087.6727.34
7002638兴业天融债券1,282,778,860.278.21
8530029建信荣元一年定期开放债券1,209,176,794.5213.47
9007279永赢众利债券977,856,016.448.14
10009625天弘中债3-5年政策性金融债指数925,283,112.3311.64
11007963博时中债3-5政金融债指数C904,253,950.687.61
12007962博时中债3-5政金融债指数A904,253,950.687.61
13008040鹏华0-5年利率发起式债券893,739,369.867.26
14005393南方卓利定开债券发起式A841,166,465.7514.02
15009924中银中债1-5年期国开行债券指数767,564,400.0035.36
16007079工银3-5年国开债指数C752,318,257.8127.29
17007078工银3-5年国开债指数A752,318,257.8127.29
18006465浦银安盛普益纯债债券C683,447,753.429.56
19006464浦银安盛普益纯债债券A683,447,753.429.56
20007507大成中债3-5年国开债指数A641,389,430.1421.43
21007508大成中债3-5年国开债指数C641,389,430.1421.43
22003788方正富邦惠利纯债C620,360,268.4911.75
23003787方正富邦惠利纯债A620,360,268.4911.75
24002991嘉实稳鑫纯债债券588,816,526.0318.21
25005838创金合信中债1-3年政金债A578,301,945.2117.34
26005839创金合信中债1-3年政金债C578,301,945.2117.34
27008016嘉实中债3-5年国开债指数C557,272,783.5613.64
28008015嘉实中债3-5年国开债指数A557,272,783.5613.64
29003408景顺长城景泰丰利纯债债券C525,729,041.106.08
30003407景顺长城景泰丰利纯债债券A525,729,041.106.08
31004729中欧瑾泰债券C494,185,298.6311.27
32004728中欧瑾泰债券A494,185,298.6311.27
33007260国投瑞银顺祺纯债债券494,185,298.637.31
34006955国泰惠富纯债债券494,185,298.6313.98
35006304中加颐鑫纯债债券483,670,717.8111.79
36008728同泰恒利纯债A472,931,136.9913.50
37008729同泰恒利纯债C472,931,136.9913.50
38005736中欧兴华债券462,641,556.1611.23
39005952民生加银恒益纯债债券C452,126,975.347.99
40005951民生加银恒益纯债债券A452,126,975.347.99
41007171易方达中债3-5年国开行债券指数A441,612,394.5216.35
42007172易方达中债3-5年国开行债券指数C441,612,394.5216.35
43007068浦银安盛普丰纯债债券A420,583,232.884.57
44007069浦银安盛普丰纯债债券C420,583,232.884.57
45000910鑫元合丰纯债C420,583,232.886.91
46000911鑫元合丰纯债A420,583,232.886.91
47006451华富中证5年恒定久期国开债指数A389,039,490.415.77
48006452华富中证5年恒定久期国开债指数C389,039,490.415.77
49007011国寿安保中债1-3年国开债指数C368,010,328.776.01
50007010国寿安保中债1-3年国开债指数A368,010,328.776.01
51008957鹏华中债3-5年国开行债券指数C357,495,747.9510.02
52008956鹏华中债3-5年国开行债券指数A357,495,747.9510.02
53519777交银裕盈纯债债券C336,466,586.3011.45
54519776交银裕盈纯债债券A336,466,586.3011.45
55690012民生加银丰鑫债券315,437,424.665.35
56006453中加瑞利纯债债券A315,437,424.6620.80
57006454中加瑞利纯债债券C315,437,424.6620.80
58004180南方宏元定期开放债券A315,437,424.669.72
59007720永赢元利债券C294,408,263.019.51
60007719永赢元利债券A294,408,263.019.51
61007088民生加银恒裕债券273,379,101.3722.77
62009772嘉实彭博国开债1-5年指数A262,864,520.559.24
63009773嘉实彭博国开债1-5年指数C262,864,520.559.24
64371020上投摩根纯债债券A262,864,520.557.89
65371120上投摩根纯债债券B262,864,520.557.89
66002169永赢稳益债券262,864,520.555.43
67006979泰康安欣纯债债券C241,835,358.905.36
68006978泰康安欣纯债债券A241,835,358.905.36
69006838鑫元荣利定期开放债券241,835,358.9011.58
70006421中银弘享债券231,320,778.087.33
71005705永赢恒益债券231,320,778.084.92
72003289创金合信尊泰纯债债券231,320,778.0820.60
73003195光大保德信永利债券A210,291,616.4426.65
74003196光大保德信永利债券C210,291,616.4426.65
75003486平安惠隆纯债债券A210,291,616.4419.33
76006213东方臻选纯债债券C210,291,616.4418.88
77006212东方臻选纯债债券A210,291,616.4418.88
78006142鑫元淳利定期开放债券210,291,616.447.39
79007348永赢昌利债券C210,291,616.443.17
80007347永赢昌利债券A210,291,616.443.17
81009405平安惠隆纯债债券C210,291,616.4419.33
82008414国泰惠泰一年定期开放债券189,262,454.7914.95
83005625南华瑞鑫定期开放债券189,262,454.799.28
84005610中银泰享定期开放债券189,262,454.797.31
85003664新沃通利纯债债券A168,233,293.1515.36
86003665新沃通利纯债债券C168,233,293.1515.36
87008965华泰紫金中债1-5年国开债指数C168,233,293.1514.22
88008964华泰紫金中债1-5年国开债指数A168,233,293.1514.22
89008780南方宁利一年债券157,718,712.3318.52
90009308天弘安康颐养混合C157,718,712.336.65
91006088永赢润益债券A157,718,712.332.77
92006089永赢润益债券C157,718,712.332.77
93420009天弘安康颐养混合A157,718,712.336.65
94519972长信纯债一年定开债券C147,204,131.519.39
95519973长信纯债一年定开债券A147,204,131.519.39
96008873国寿安保尊诚纯债债券A147,204,131.516.54
97008874国寿安保尊诚纯债债券C147,204,131.516.54
98004464万家玖盛债券A147,204,131.5111.28
99004465万家玖盛债券C147,204,131.5111.28
100007706南方聪元债券A136,689,550.684.35
101007707南方聪元债券C136,689,550.684.35
102005361中融聚商定期开放债券115,660,389.046.46
103005158长江乐盈定开债券105,145,808.225.02
104006163融通增辉定开债券发起式105,145,808.229.74
105004062华夏鼎隆债券C105,145,808.229.94
106004061华夏鼎隆债券A105,145,808.229.94
107005367上投摩根丰瑞债券C105,145,808.2216.46
108005366上投摩根丰瑞债券A105,145,808.2216.46
109164208天弘丰利债券(LOF)105,145,808.2215.43
110007286中邮纯债裕利三个月定期开放债券105,145,808.223.94
111006811大成景盈债券105,145,808.2210.34
112007025南方鑫利3个月定开债券发起105,145,808.228.77
113005989兴业纯债6个月定开债券C94,631,227.407.88
114005988兴业纯债6个月定开债券A94,631,227.407.88
115000183嘉实丰益策略定期债券84,116,646.585.44
116009278同泰恒兴纯债A84,076,646.586.05
117009279同泰恒兴纯债C84,076,646.586.05
118009325长城中债3-5年国开行债券C73,602,065.7514.91
119009324长城中债3-5年国开行债券A73,602,065.7514.91
120000840上投摩根纯债丰利债券C73,602,065.7514.24
121000839上投摩根纯债丰利债券A73,602,065.7514.24
122005641国投瑞银顺源债券73,602,065.755.15
123005289融通通昊三个月定期开放债券63,087,484.934.21
124006258华宸稳健添利债券C63,087,484.939.93
125000668国寿安保尊享债券A63,087,484.9311.00
126000669国寿安保尊享债券C63,087,484.9311.00
127000104华宸稳健添利债券A63,087,484.939.93
128007116华宝政金债债券63,087,484.936.31
129006667南华瑞元定期开放债券52,572,904.117.25
130008662中银澳享一年定期开放债券52,572,904.116.36
131002356博时安泰18个月定开债券A52,572,904.1111.51
132002357博时安泰18个月定开债券C52,572,904.1111.51
133005818金元顺安沣泰定开债发起式52,572,904.115.05
134002521永赢双利债券A42,058,323.2928.62
135002522永赢双利债券C42,058,323.2928.62
136001914中信建投聚利混合A42,058,323.2911.68
137006845中信建投聚利混合C42,058,323.2911.68
138161627融通通福债券(LOF)C42,058,323.297.60
139161626融通通福债券(LOF)A42,058,323.297.60
140002120广发安悦回报混合31,543,742.478.49
141006588中加聚利纯债定开债A31,543,742.4754.02
142006589中加聚利纯债定开债C31,543,742.4754.02
143009182浙商智多兴稳健回报一年持有期混合C31,543,742.474.89
144009181浙商智多兴稳健回报一年持有期混合A31,543,742.474.89
145007954平安惠涌纯债债券31,543,742.4715.34
146009233鹏华安惠混合C21,029,161.6414.90
147009232鹏华安惠混合A21,029,161.6414.90
148000058国联安安泰灵活配置混合21,029,161.645.43
149001157国联安睿祺灵活配置混合21,029,161.646.22
150003849中银广利混合C21,029,161.644.37
151003848中银广利混合A21,029,161.644.37
152009130鹏扬景恒六个月混合A17,769,641.597.92
153009131鹏扬景恒六个月混合C17,769,641.597.92
154007749民生加银鹏程混合C10,514,580.827.94
155009399华融雄安建设发展三年定开债券10,514,580.8212.43
156009422工银彭博国开债1-3年指数C10,514,580.829.81
157009421工银彭博国开债1-3年指数A10,514,580.829.81
158004710民生加银鹏程混合A10,514,580.827.94
159003432信诚至瑞混合A10,514,580.826.77
160003433信诚至瑞混合C10,514,580.826.77