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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 | 000719 | 南方现金通货币E | 4,801,750,823.73 | 2.09 |
2 | 000495 | 南方现金通货币C | 4,801,750,823.73 | 2.09 |
3 | 000494 | 南方现金通货币B | 4,801,750,823.73 | 2.09 |
4 | 000493 | 南方现金通货币A | 4,801,750,823.73 | 2.09 |
5 | 000379 | 平安日增利货币A | 2,304,875,225.07 | 1.19 |
6 | 010208 | 平安日增利货币B | 2,304,875,225.07 | 1.19 |
7 | 003391 | 建信天添益货币A | 2,001,746,174.89 | 3.49 |
8 | 003393 | 建信天添益货币C | 2,001,746,174.89 | 3.49 |
9 | 003392 | 建信天添益货币B | 2,001,746,174.89 | 3.49 |
10 | 005065 | 中金现金管家货币C | 1,343,999,420.96 | 1.75 |
11 | 000882 | 中金现金管家货币A | 1,343,999,420.96 | 1.75 |
12 | 000883 | 中金现金管家货币B | 1,343,999,420.96 | 1.75 |
13 | 004718 | 万家天添宝货币B | 1,300,825,056.73 | 0.76 |
14 | 004717 | 万家天添宝货币A | 1,300,825,056.73 | 0.76 |
15 | 000759 | 平安财富宝货币 | 1,203,028,671.37 | 1.13 |
16 | 001820 | 兴全天添益货币A | 1,181,485,001.51 | 1.34 |
17 | 001821 | 兴全天添益货币B | 1,181,485,001.51 | 1.34 |
18 | 260108 | 景顺长城新兴成长混合 | 960,249,877.05 | 3.52 |
19 | 010727 | 建信现金增利货币B | 869,177,032.81 | 0.80 |
20 | 002758 | 建信现金增利货币A | 869,177,032.81 | 0.80 |
21 | 163402 | 兴全趋势投资混合(LOF) | 555,934,139.34 | 3.56 |
22 | 001529 | 天弘云商宝货币 | 505,191,658.88 | 1.01 |
23 | 005896 | 平安合慧定开债 | 475,070,991.80 | 14.20 |
24 | 000836 | 国投瑞银钱多宝货币A | 473,891,314.77 | 0.81 |
25 | 000837 | 国投瑞银钱多宝货币I | 473,891,314.77 | 0.81 |
26 | 007916 | 财通资管鸿福短债债券C | 454,855,204.92 | 3.32 |
27 | 007915 | 财通资管鸿福短债债券A | 454,855,204.92 | 3.32 |
28 | 003223 | 广发景丰纯债债券 | 343,668,377.05 | 4.13 |
29 | 270045 | 广发双债添利债券C | 343,668,377.05 | 2.15 |
30 | 270044 | 广发双债添利债券A | 343,668,377.05 | 2.15 |
31 | 009267 | 广发双债添利债券E | 343,668,377.05 | 2.15 |
32 | 008204 | 交银稳利中短债债券A | 333,560,483.61 | 1.58 |
33 | 008205 | 交银稳利中短债债券C | 333,560,483.61 | 1.58 |
34 | 000724 | 大成添利宝货币A | 303,240,691.95 | 1.23 |
35 | 000725 | 大成添利宝货币B | 303,240,691.95 | 1.23 |
36 | 000726 | 大成添利宝货币E | 303,240,691.95 | 1.23 |
37 | 001095 | 国投瑞银添利宝货币B | 302,556,432.98 | 0.55 |
38 | 001094 | 国投瑞银添利宝货币A | 302,556,432.98 | 0.55 |
39 | 004825 | 平安惠泽债券 | 302,226,013.93 | 18.36 |
40 | 003968 | 交银天益宝货币A | 282,996,068.20 | 1.12 |
41 | 003969 | 交银天益宝货币E | 282,996,068.20 | 1.12 |
42 | 003056 | 嘉实稳泽纯债债券 | 232,481,549.18 | 2.11 |
43 | 002890 | 交银天利宝货币E | 222,382,656.90 | 1.24 |
44 | 002889 | 交银天利宝货币A | 222,382,656.90 | 1.24 |
45 | 531028 | 建信短债债券A | 222,373,655.74 | 1.11 |
46 | 530028 | 建信短债债券C | 222,373,655.74 | 1.11 |
47 | 008022 | 建信短债债券F | 222,373,655.74 | 1.11 |
48 | 006337 | 华安安浦债券A | 212,265,762.30 | 3.29 |
49 | 006338 | 华安安浦债券C | 212,265,762.30 | 3.29 |
50 | 010027 | 景顺核心中景一年持有期混合 | 212,265,762.30 | 6.40 |
51 | 008620 | 嘉实致宁3个月定开纯债债券 | 212,265,762.30 | 10.59 |
52 | 161725 | 招商中证白酒指数分级 | 202,157,868.85 | 0.39 |
53 | 000037 | 广发景宁纯债债券 | 181,942,081.97 | 1.47 |
54 | 003228 | 浦银安盛日日鑫货币A | 171,598,492.98 | 1.21 |
55 | 003229 | 浦银安盛日日鑫货币B | 171,598,492.98 | 1.21 |
56 | 519736 | 交银新成长混合 | 151,618,401.64 | 1.91 |
57 | 010004 | 景顺长城电子信息产业股票C | 151,618,401.64 | 3.14 |
58 | 010003 | 景顺长城电子信息产业股票A | 151,618,401.64 | 3.14 |
59 | 450009 | 国富中小盘股票 | 151,618,401.64 | 4.49 |
60 | 340001 | 兴全可转债混合 | 151,618,401.64 | 5.05 |
61 | 620011 | 金元顺安金元宝货币B | 151,521,558.06 | 1.29 |
62 | 620010 | 金元顺安金元宝货币A | 151,521,558.06 | 1.29 |
63 | 003422 | 国寿安保添利货币A | 151,464,173.02 | 2.30 |
64 | 003423 | 国寿安保添利货币B | 151,464,173.02 | 2.30 |
65 | 003465 | 平安金管家货币A | 146,582,117.69 | 2.20 |
66 | 007730 | 平安金管家货币C | 146,582,117.69 | 2.20 |
67 | 004828 | 平安中短债债券C | 141,510,508.20 | 2.48 |
68 | 004827 | 平安中短债债券A | 141,510,508.20 | 2.48 |
69 | 006851 | 平安中短债债券E | 141,510,508.20 | 2.48 |
70 | 003481 | 光大保德信耀钱包货币B | 141,390,018.38 | 1.50 |
71 | 001973 | 光大保德信耀钱包货币A | 141,390,018.38 | 1.50 |
72 | 001975 | 景顺长城环保优势股票 | 121,294,721.31 | 3.63 |
73 | 700005 | 平安添利债券A | 121,294,721.31 | 2.90 |
74 | 700006 | 平安添利债券C | 121,294,721.31 | 2.90 |
75 | 040008 | 华安策略优选混合 | 121,294,721.31 | 3.62 |
76 | 003479 | 财通资管鑫管家货币A | 121,111,311.72 | 0.83 |
77 | 003480 | 财通资管鑫管家货币B | 121,111,311.72 | 0.83 |
78 | 006435 | 景顺长城创新成长混合 | 111,186,827.87 | 3.80 |
79 | 006151 | 南方交元债券 | 111,186,827.87 | 4.47 |
80 | 008955 | 交银创新领航混合 | 111,186,827.87 | 5.20 |
81 | 675062 | 西部利得天添富货币B | 111,088,221.09 | 0.74 |
82 | 675061 | 西部利得天添富货币A | 111,088,221.09 | 0.74 |
83 | 005751 | 平安双债添益债券C | 90,971,040.98 | 4.86 |
84 | 005750 | 平安双债添益债券A | 90,971,040.98 | 4.86 |
85 | 007950 | 招商量化精选股票C | 80,863,147.54 | 2.19 |
86 | 006544 | 平安惠聚债券 | 80,863,147.54 | 3.75 |
87 | 161729 | 招商3年封闭瑞利混合 | 80,863,147.54 | 4.32 |
88 | 001917 | 招商量化精选股票A | 80,863,147.54 | 2.19 |
89 | 002929 | 博时聚盈纯债债券 | 60,647,360.66 | 4.57 |
90 | 000986 | 太平灵活配置混合 | 60,647,360.66 | 6.38 |
91 | 007196 | 平安惠合纯债债券 | 60,647,360.66 | 5.88 |
92 | 003733 | 金鹰添裕纯债债券 | 60,647,360.66 | 7.29 |
93 | 233005 | 大摩强收益债券 | 60,647,360.66 | 6.21 |
94 | 001894 | 泰达宏利活期友货币A | 50,544,901.00 | 1.49 |
95 | 001895 | 泰达宏利活期友货币B | 50,544,901.00 | 1.49 |
96 | 002574 | 招商瑞庆混合A | 50,539,467.21 | 4.80 |
97 | 630103 | 华商收益增强债券B | 50,539,467.21 | 12.80 |
98 | 630003 | 华商收益增强债券A | 50,539,467.21 | 12.80 |
99 | 009190 | 景顺长城核心优选一年持有期混合 | 50,539,467.21 | 5.80 |
100 | 163415 | 兴全商业模式优选混合(LOF) | 50,539,467.21 | 0.46 |
101 | 007085 | 招商瑞庆混合C | 50,539,467.21 | 4.80 |
102 | 519976 | 长信可转债C | 40,431,573.77 | 3.85 |
103 | 519977 | 长信可转债A | 40,431,573.77 | 3.85 |
104 | 009376 | 景顺长城成长领航混合 | 40,431,573.77 | 4.19 |
105 | 009807 | 东方红招盈甄选一年持有混合C | 40,431,573.77 | 5.75 |
106 | 009806 | 东方红招盈甄选一年持有混合A | 40,431,573.77 | 5.75 |
107 | 040004 | 华安宝利配置混合 | 30,323,680.33 | 2.18 |
108 | 720003 | 财通收益增强债券A | 20,215,786.89 | 6.11 |
109 | 003204 | 财通收益增强债券C | 20,215,786.89 | 6.11 |
110 | 009879 | 平安低碳经济混合C | 15,161,840.16 | 0.86 |
111 | 009878 | 平安低碳经济混合A | 15,161,840.16 | 0.86 |
112 | 008475 | 招商民安增益债券A | 15,161,840.16 | 7.41 |
113 | 008476 | 招商民安增益债券C | 15,161,840.16 | 7.41 |
114 | 008044 | 博远增强回报债券A | 10,107,893.44 | 31.73 |
115 | 008045 | 博远增强回报债券C | 10,107,893.44 | 31.73 |
116 | 007575 | 宝盈祥泰混合C | 10,107,893.44 | 96.97 |
117 | 004792 | 富荣富乾债券A | 10,107,893.44 | 7.90 |
118 | 004793 | 富荣富乾债券C | 10,107,893.44 | 7.90 |
119 | 001358 | 宝盈祥泰混合A | 10,107,893.44 | 96.97 |
120 | 160919 | 大成产业升级股票(LOF) | 10,107,893.44 | 1.38 |
121 | 006214 | 平安500ETF联接A | 5,053,946.72 | 0.74 |
122 | 006215 | 平安500ETF联接C | 5,053,946.72 | 0.74 |