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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 | 000171 | 易方达裕丰回报债券 | 2,341,761,875.00 | 12.68 |
2 | 110027 | 易方达安心回报债券A | 1,079,246,777.17 | 10.61 |
3 | 110028 | 易方达安心回报债券B | 1,079,246,777.17 | 10.61 |
4 | 100018 | 富国天利增长债券 | 951,977,110.05 | 8.84 |
5 | 002969 | 易方达丰和债券 | 814,525,869.57 | 14.38 |
6 | 005705 | 永赢恒益债券 | 804,344,296.20 | 13.08 |
7 | 006288 | 永赢盛益债券C | 753,436,429.35 | 10.60 |
8 | 006287 | 永赢盛益债券A | 753,436,429.35 | 10.60 |
9 | 000016 | 华夏纯债债券C | 753,436,429.35 | 8.55 |
10 | 000015 | 华夏纯债债券A | 753,436,429.35 | 8.55 |
11 | 009813 | 易方达悦兴一年持有期混合C | 661,802,269.02 | 15.62 |
12 | 009812 | 易方达悦兴一年持有期混合A | 661,802,269.02 | 15.62 |
13 | 531021 | 建信纯债债券C | 570,168,108.70 | 6.49 |
14 | 530021 | 建信纯债债券A | 570,168,108.70 | 6.49 |
15 | 006684 | 富国信用债债券D | 519,260,241.85 | 3.09 |
16 | 000192 | 富国信用债债券C | 519,260,241.85 | 3.09 |
17 | 000191 | 富国信用债债券A | 519,260,241.85 | 3.09 |
18 | 007418 | 泰康信用精选债券C | 437,807,654.89 | 8.19 |
19 | 007417 | 泰康信用精选债券A | 437,807,654.89 | 8.19 |
20 | 006635 | 永赢伟益债券 | 407,262,934.78 | 9.02 |
21 | 004463 | 鹏华丰玉债券 | 366,536,641.30 | 9.64 |
22 | 007852 | 工银瑞安3个月定开纯债债券发起式 | 335,991,921.20 | 3.08 |
23 | 006867 | 易方达丰华债券C | 315,628,774.46 | 10.77 |
24 | 000189 | 易方达丰华债券A | 315,628,774.46 | 10.77 |
25 | 002550 | 嘉实稳荣债券 | 305,447,201.09 | 3.55 |
26 | 001182 | 易方达安心回馈混合 | 290,174,841.03 | 14.36 |
27 | 004736 | 富国鼎利纯债三个月定期开放债券 | 285,084,054.35 | 13.06 |
28 | 006088 | 永赢润益债券A | 254,539,334.24 | 5.87 |
29 | 006089 | 永赢润益债券C | 254,539,334.24 | 5.87 |
30 | 007725 | 招商瑞文混合A | 251,484,862.23 | 3.78 |
31 | 007726 | 招商瑞文混合C | 251,484,862.23 | 3.78 |
32 | 007145 | 泰康安和纯债6个月定开债券 | 234,176,187.50 | 7.17 |
33 | 004821 | 国寿安保安吉纯债半年定开债券发起式 | 234,176,187.50 | 2.58 |
34 | 202110 | 南方润元C | 234,176,187.50 | 4.34 |
35 | 202108 | 南方润元A | 234,176,187.50 | 4.34 |
36 | 002528 | 泰康安益纯债债券A | 234,176,187.50 | 5.93 |
37 | 002529 | 泰康安益纯债债券C | 234,176,187.50 | 5.93 |
38 | 003403 | 华商瑞丰短债债券A | 203,631,467.39 | 3.28 |
39 | 007210 | 华商瑞丰短债债券C | 203,631,467.39 | 3.28 |
40 | 007576 | 华夏鼎琪三个月定开债券 | 203,631,467.39 | 9.96 |
41 | 005704 | 永赢增益债券C | 203,631,467.39 | 5.05 |
42 | 005703 | 永赢增益债券A | 203,631,467.39 | 5.05 |
43 | 371120 | 上投摩根纯债债券B | 203,631,467.39 | 7.42 |
44 | 371020 | 上投摩根纯债债券A | 203,631,467.39 | 7.42 |
45 | 004630 | 平安合信定开债 | 183,268,320.65 | 6.03 |
46 | 000876 | 建信稳定得利债券C | 173,086,747.28 | 4.20 |
47 | 000875 | 建信稳定得利债券A | 173,086,747.28 | 4.20 |
48 | 009250 | 易方达磐泰一年持有混合C | 173,086,747.28 | 12.88 |
49 | 009249 | 易方达磐泰一年持有混合A | 173,086,747.28 | 12.88 |
50 | 006120 | 中融聚明定期开放债券 | 162,905,173.91 | 7.47 |
51 | 000561 | 南方启元债券A | 162,905,173.91 | 15.13 |
52 | 000562 | 南方启元债券C | 162,905,173.91 | 15.13 |
53 | 007545 | 太平恒安三个月定开债券 | 161,908,606.25 | 4.70 |
54 | 005462 | 博时富业3个月定开债发起式 | 152,723,600.54 | 7.47 |
55 | 005172 | 泰康安悦纯债3月定开债券 | 152,723,600.54 | 5.46 |
56 | 007392 | 申万菱信安泰丰利债券C | 142,542,027.17 | 9.51 |
57 | 007391 | 申万菱信安泰丰利债券A | 142,542,027.17 | 9.51 |
58 | 006151 | 南方交元债券 | 142,542,027.17 | 5.41 |
59 | 001286 | 易方达新鑫混合E | 142,542,027.17 | 7.76 |
60 | 001285 | 易方达新鑫混合I | 142,542,027.17 | 7.76 |
61 | 160718 | 嘉实多利分级债券 | 122,178,880.43 | 11.42 |
62 | 005428 | 渤海汇金汇添益3个月定开债券 | 122,178,880.43 | 6.16 |
63 | 003527 | 鹏华丰腾债券 | 111,997,307.07 | 5.51 |
64 | 009424 | 招商瑞信稳健配置混合C | 111,997,307.07 | 5.30 |
65 | 009423 | 招商瑞信稳健配置混合A | 111,997,307.07 | 5.30 |
66 | 700005 | 平安添利债券A | 101,815,733.70 | 1.86 |
67 | 700006 | 平安添利债券C | 101,815,733.70 | 1.86 |
68 | 001835 | 易方达瑞祥混合I | 101,815,733.70 | 22.17 |
69 | 001836 | 易方达瑞祥混合E | 101,815,733.70 | 22.17 |
70 | 002245 | 泰康稳健增利债券A | 101,815,733.70 | 2.43 |
71 | 002246 | 泰康稳健增利债券C | 101,815,733.70 | 2.43 |
72 | 006636 | 华富恒欣纯债债券A | 101,815,733.70 | 2.27 |
73 | 006637 | 华富恒欣纯债债券C | 101,815,733.70 | 2.27 |
74 | 007772 | 浦银安盛盛煊定开债券 | 101,815,733.70 | 3.15 |
75 | 008745 | 南方尊利一年定开债券发起 | 81,452,586.96 | 4.01 |
76 | 006264 | 平安惠轩债券 | 81,452,586.96 | 7.04 |
77 | 009344 | 泰康长江经济带债券C | 81,452,586.96 | 3.04 |
78 | 009343 | 泰康长江经济带债券A | 81,452,586.96 | 3.04 |
79 | 009690 | 易方达瑞锦混合发起式C | 71,271,013.59 | 6.40 |
80 | 009689 | 易方达瑞锦混合发起式A | 71,271,013.59 | 6.40 |
81 | 008700 | 泰康瑞丰3月定开债券 | 71,271,013.59 | 7.04 |
82 | 007085 | 招商瑞庆混合C | 71,271,013.59 | 8.05 |
83 | 000319 | 泰达宏利淘利债券A | 71,271,013.59 | 3.40 |
84 | 000320 | 泰达宏利淘利债券C | 71,271,013.59 | 3.40 |
85 | 001807 | 易方达瑞智混合E | 71,271,013.59 | 9.26 |
86 | 001806 | 易方达瑞智混合I | 71,271,013.59 | 9.26 |
87 | 001746 | 易方达瑞富混合E | 71,271,013.59 | 20.24 |
88 | 001745 | 易方达瑞富混合I | 71,271,013.59 | 20.24 |
89 | 000737 | 诺安聚利债券C | 71,271,013.59 | 4.21 |
90 | 000736 | 诺安聚利债券A | 71,271,013.59 | 4.21 |
91 | 002574 | 招商瑞庆混合A | 71,271,013.59 | 8.05 |
92 | 009204 | 鹏扬稳利债券C | 61,089,440.22 | 4.52 |
93 | 009203 | 鹏扬稳利债券A | 61,089,440.22 | 4.52 |
94 | 161693 | 融通债券C | 61,089,440.22 | 3.22 |
95 | 161603 | 融通债券A/B | 61,089,440.22 | 3.22 |
96 | 202305 | 南方理财60天债券A | 61,089,440.22 | 7.26 |
97 | 006468 | 嘉实稳联纯债债券 | 61,089,440.22 | 2.72 |
98 | 005547 | 诺安圆鼎定期开放债券 | 61,089,440.22 | 6.09 |
99 | 009902 | 易方达悦享一年持有混合A | 55,998,653.53 | 11.88 |
100 | 009903 | 易方达悦享一年持有混合C | 55,998,653.53 | 11.88 |
101 | 050116 | 博时宏观回报债券C | 50,907,866.85 | 3.32 |
102 | 050016 | 博时宏观回报债券A/B | 50,907,866.85 | 3.32 |
103 | 009637 | 招商信用添利债券(LOF)C | 50,907,866.85 | 4.42 |
104 | 160513 | 博时稳健回报债券(LOF)A | 50,907,866.85 | 2.01 |
105 | 160514 | 博时稳健回报债券(LOF)C | 50,907,866.85 | 2.01 |
106 | 161019 | 富国新天锋债券(LOF) | 50,907,866.85 | 4.49 |
107 | 161713 | 招商信用添利债券(LOF)A | 50,907,866.85 | 4.42 |
108 | 002625 | 博时安怡6个月定开债券 | 50,907,866.85 | 17.21 |
109 | 002600 | 易方达裕景添利6个月定期开放债券 | 50,907,866.85 | 2.73 |
110 | 002019 | 鹏华弘安混合C | 50,907,866.85 | 2.41 |
111 | 002018 | 鹏华弘安混合A | 50,907,866.85 | 2.41 |
112 | 002935 | 泰康恒泰回报混合C | 50,907,866.85 | 29.59 |
113 | 002934 | 泰康恒泰回报混合A | 50,907,866.85 | 29.59 |
114 | 001249 | 易方达新利混合 | 50,907,866.85 | 6.85 |
115 | 000244 | 天弘稳利定期开放债券A | 50,907,866.85 | 4.65 |
116 | 000245 | 天弘稳利定期开放债券B | 50,907,866.85 | 4.65 |
117 | 001442 | 易方达瑞信混合E | 50,907,866.85 | 6.88 |
118 | 001441 | 易方达瑞信混合I | 50,907,866.85 | 6.88 |
119 | 001818 | 易方达瑞兴混合E | 50,907,866.85 | 8.24 |
120 | 001817 | 易方达瑞兴混合I | 50,907,866.85 | 8.24 |
121 | 001343 | 易方达新享混合C | 50,907,866.85 | 8.26 |
122 | 001342 | 易方达新享混合A | 50,907,866.85 | 8.26 |
123 | 006505 | 永赢祥益债券A | 50,907,866.85 | 4.67 |
124 | 006506 | 永赢祥益债券C | 50,907,866.85 | 4.67 |
125 | 000235 | 诺安稳固收益一年定期开放债券 | 40,726,293.48 | 6.06 |
126 | 003591 | 华泰柏瑞享利混合A | 40,717,657.62 | 6.86 |
127 | 003592 | 华泰柏瑞享利混合C | 40,717,657.62 | 6.86 |
128 | 003438 | 招商招怡纯债债券A | 30,544,720.11 | 5.82 |
129 | 003439 | 招商招怡纯债债券C | 30,544,720.11 | 5.82 |
130 | 003708 | 博时民丰纯债债券A | 30,544,720.11 | 2.96 |
131 | 003709 | 博时民丰纯债债券C | 30,544,720.11 | 2.96 |
132 | 008665 | 嘉实鑫和一年持有期混合C | 30,544,720.11 | 8.39 |
133 | 008664 | 嘉实鑫和一年持有期混合A | 30,544,720.11 | 8.39 |
134 | 010030 | 富国稳进回报12个月持有期混合C | 30,544,720.11 | 9.79 |
135 | 010029 | 富国稳进回报12个月持有期混合A | 30,544,720.11 | 9.79 |
136 | 009266 | 鹏扬景合六个月混合 | 30,544,720.11 | 9.76 |
137 | 000668 | 国寿安保尊享债券A | 30,544,720.11 | 10.01 |
138 | 000669 | 国寿安保尊享债券C | 30,544,720.11 | 10.01 |
139 | 001433 | 易方达瑞景混合 | 30,544,720.11 | 3.85 |
140 | 002602 | 易方达丰惠混合 | 20,363,146.74 | 6.42 |
141 | 002736 | 泓德裕和纯债债券A | 20,363,146.74 | 3.02 |
142 | 002737 | 泓德裕和纯债债券C | 20,363,146.74 | 3.02 |
143 | 007426 | 浙商汇金聚盈中短债债券A | 20,363,146.74 | 6.04 |
144 | 007443 | 浙商汇金聚盈中短债债券C | 20,363,146.74 | 6.04 |
145 | 519653 | 银河鑫利混合C | 20,363,146.74 | 8.52 |
146 | 519652 | 银河鑫利混合A | 20,363,146.74 | 8.52 |
147 | 519646 | 银河鑫利混合I | 20,363,146.74 | 8.52 |
148 | 164810 | 工银纯债定期开放债券 | 10,181,573.37 | 4.39 |
149 | 008499 | 鹏扬景科混合A | 10,181,573.37 | 19.99 |
150 | 008500 | 鹏扬景科混合C | 10,181,573.37 | 19.99 |
151 | 002103 | 招商康泰混合 | 8,145,258.70 | 8.35 |
152 | 000240 | 华安年年盈定期开放债券C | 5,599,865.35 | 9.88 |
153 | 000239 | 华安年年盈定期开放债券A | 5,599,865.35 | 9.88 |
154 | 009388 | 嘉实稳福混合C | 5,090,786.68 | 10.57 |
155 | 009387 | 嘉实稳福混合A | 5,090,786.68 | 10.57 |
156 | 003183 | 华富弘鑫灵活配置混合C | 3,054,472.01 | 8.38 |
157 | 003182 | 华富弘鑫灵活配置混合A | 3,054,472.01 | 8.38 |
158 | 001086 | 华富恒利债券A | 1,018,157.34 | 9.09 |
159 | 001087 | 华富恒利债券C | 1,018,157.34 | 9.09 |