/*
$file: config.inc.php,v $
$vision: 1.0.0.0 $
$Date: 2007-1-6 9:34:54 Saturday $
*/
?>
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 | 007201 | 民生加银聚益纯债债券 | 790,965,124.31 | 9.13 |
2 | 004042 | 华夏鼎茂债券A | 738,234,116.02 | 2.46 |
3 | 004043 | 华夏鼎茂债券C | 738,234,116.02 | 2.46 |
4 | 003824 | 天弘信利债券A | 548,402,486.19 | 11.88 |
5 | 003825 | 天弘信利债券C | 548,402,486.19 | 11.88 |
6 | 007681 | 鹏华丰登债券 | 442,940,469.61 | 10.70 |
7 | 005654 | 天弘悦享定开债发起式 | 400,755,662.98 | 6.06 |
8 | 004705 | 南方祥元债券A | 316,386,049.72 | 4.86 |
9 | 004706 | 南方祥元债券C | 316,386,049.72 | 4.86 |
10 | 550013 | 中信保诚景华债券C | 316,386,049.72 | 6.47 |
11 | 550012 | 中信保诚景华债券A | 316,386,049.72 | 6.47 |
12 | 000395 | 汇添富安心中国债券A | 305,839,848.07 | 3.03 |
13 | 000396 | 汇添富安心中国债券C | 305,839,848.07 | 3.03 |
14 | 531021 | 建信纯债债券C | 284,747,444.75 | 4.66 |
15 | 530021 | 建信纯债债券A | 284,747,444.75 | 4.66 |
16 | 511260 | 上证10年期国债ETF | 274,201,243.09 | 10.45 |
17 | 003607 | 博时富益纯债债券 | 274,201,243.09 | 13.30 |
18 | 004821 | 国寿安保安吉纯债半年定开债券发起式 | 266,818,901.93 | 2.89 |
19 | 007446 | 中欧增强回报债券(LOF)C | 253,108,839.78 | 7.18 |
20 | 166008 | 中欧增强回报债券(LOF)A | 253,108,839.78 | 7.18 |
21 | 001889 | 中欧增强回报债券(LOF)E | 253,108,839.78 | 7.18 |
22 | 511020 | 平安中证5-10年期国债活跃券ETF | 242,562,638.12 | 14.04 |
23 | 371120 | 上投摩根纯债债券B | 242,562,638.12 | 7.28 |
24 | 371020 | 上投摩根纯债债券A | 242,562,638.12 | 7.28 |
25 | 007986 | 嘉实致禄3个月定期纯债债券 | 210,924,033.15 | 13.84 |
26 | 003819 | 广发景华纯债债券 | 200,377,831.49 | 3.42 |
27 | 005019 | 国投瑞银和泰6个月债券 | 179,285,428.18 | 5.72 |
28 | 006635 | 永赢伟益债券 | 168,739,226.52 | 4.44 |
29 | 003452 | 招商招盛纯债债券A | 163,466,125.69 | 2.30 |
30 | 003453 | 招商招盛纯债债券C | 163,466,125.69 | 2.30 |
31 | 009249 | 易方达磐泰一年持有混合A | 158,193,024.86 | 12.73 |
32 | 009250 | 易方达磐泰一年持有混合C | 158,193,024.86 | 12.73 |
33 | 007391 | 申万菱信安泰丰利债券A | 147,646,823.20 | 12.65 |
34 | 007392 | 申万菱信安泰丰利债券C | 147,646,823.20 | 12.65 |
35 | 002705 | 德邦锐兴债券C | 126,554,419.89 | 3.10 |
36 | 002704 | 德邦锐兴债券A | 126,554,419.89 | 3.10 |
37 | 005595 | 招商添润3个月定开债发起式C | 110,735,117.40 | 1.72 |
38 | 005594 | 招商添润3个月定开债发起式A | 110,735,117.40 | 1.72 |
39 | 005548 | 诺安鑫享定开发起式债券 | 105,462,016.57 | 2.84 |
40 | 519762 | 交银裕通纯债债券A | 105,462,016.57 | 2.62 |
41 | 519763 | 交银裕通纯债债券C | 105,462,016.57 | 2.62 |
42 | 070005 | 嘉实债券 | 105,462,016.57 | 3.80 |
43 | 002929 | 博时聚盈纯债债券 | 105,462,016.57 | 7.88 |
44 | 002569 | 博时裕弘纯债债券 | 94,915,814.92 | 4.67 |
45 | 000319 | 泰达宏利淘利债券A | 84,369,613.26 | 8.25 |
46 | 000320 | 泰达宏利淘利债券C | 84,369,613.26 | 8.25 |
47 | 004898 | 长安泓源纯债债券C | 84,369,613.26 | 7.04 |
48 | 004897 | 长安泓源纯债债券A | 84,369,613.26 | 7.04 |
49 | 004238 | 永赢瑞益债券 | 84,369,613.26 | 2.60 |
50 | 160718 | 嘉实多利分级债券 | 84,369,613.26 | 12.40 |
51 | 008921 | 国泰聚鑫纯债债券 | 84,369,613.26 | 7.67 |
52 | 686868 | 浙商聚盈纯债债券A | 73,823,411.60 | 4.21 |
53 | 686869 | 浙商聚盈纯债债券C | 73,823,411.60 | 4.21 |
54 | 000736 | 诺安聚利债券A | 73,823,411.60 | 4.46 |
55 | 000737 | 诺安聚利债券C | 73,823,411.60 | 4.46 |
56 | 008466 | 蜂巢添益纯债C | 73,823,411.60 | 4.81 |
57 | 008465 | 蜂巢添益纯债A | 73,823,411.60 | 4.81 |
58 | 004499 | 鹏华丰瑞债券 | 63,277,209.94 | 9.71 |
59 | 530014 | 建信双周理财A | 63,277,209.94 | 33.19 |
60 | 004280 | 国寿安保稳荣混合C | 60,113,349.45 | 5.37 |
61 | 004279 | 国寿安保稳荣混合A | 60,113,349.45 | 5.37 |
62 | 003999 | 富荣富祥纯债 | 52,731,008.29 | 5.00 |
63 | 005014 | 泰康景泰回报混合A | 52,731,008.29 | 5.48 |
64 | 005015 | 泰康景泰回报混合C | 52,731,008.29 | 5.48 |
65 | 006177 | 中信保诚稳达债券A | 52,731,008.29 | 9.70 |
66 | 006178 | 中信保诚稳达债券C | 52,731,008.29 | 9.70 |
67 | 161232 | 国投瑞银瑞盛混合(LOF) | 52,731,008.29 | 3.13 |
68 | 161713 | 招商信用添利债券(LOF)A | 52,731,008.29 | 5.35 |
69 | 009637 | 招商信用添利债券(LOF)C | 52,731,008.29 | 5.35 |
70 | 320021 | 诺安双利债券发起式 | 52,731,008.29 | 7.94 |
71 | 001165 | 中欧琪和灵活配置混合C | 52,731,008.29 | 3.13 |
72 | 001164 | 中欧琪和灵活配置混合A | 52,731,008.29 | 3.13 |
73 | 002600 | 易方达裕景添利6个月定期开放债券 | 52,731,008.29 | 2.31 |
74 | 000244 | 天弘稳利定期开放债券A | 52,731,008.29 | 4.78 |
75 | 000245 | 天弘稳利定期开放债券B | 52,731,008.29 | 4.78 |
76 | 002965 | 中海合嘉增强收益债券A | 52,731,008.29 | 9.91 |
77 | 002966 | 中海合嘉增强收益债券C | 52,731,008.29 | 9.91 |
78 | 000235 | 诺安稳固收益一年定期开放债券 | 42,184,806.63 | 6.14 |
79 | 000212 | 泰信鑫益定期开放债券A | 42,184,806.63 | 7.56 |
80 | 000213 | 泰信鑫益定期开放债券C | 42,184,806.63 | 7.56 |
81 | 002757 | 招商招兴3个月定开债发起式C | 42,184,806.63 | 3.25 |
82 | 002720 | 国寿安保尊利增强回报债券A | 42,184,806.63 | 4.59 |
83 | 002721 | 国寿安保尊利增强回报债券C | 42,184,806.63 | 4.59 |
84 | 002756 | 招商招兴3个月定开债发起式A | 42,184,806.63 | 3.25 |
85 | 002735 | 泓德裕荣纯债债券C | 42,184,806.63 | 5.74 |
86 | 002734 | 泓德裕荣纯债债券A | 42,184,806.63 | 5.74 |
87 | 001835 | 易方达瑞祥混合I | 42,184,806.63 | 9.39 |
88 | 001836 | 易方达瑞祥混合E | 42,184,806.63 | 9.39 |
89 | 001746 | 易方达瑞富混合E | 42,184,806.63 | 12.50 |
90 | 001745 | 易方达瑞富混合I | 42,184,806.63 | 12.50 |
91 | 004045 | 金鹰添润定期开放债券 | 42,184,806.63 | 8.14 |
92 | 160514 | 博时稳健回报债券(LOF)C | 42,184,806.63 | 1.77 |
93 | 160513 | 博时稳健回报债券(LOF)A | 42,184,806.63 | 1.77 |
94 | 050016 | 博时宏观回报债券A/B | 42,184,806.63 | 2.69 |
95 | 050116 | 博时宏观回报债券C | 42,184,806.63 | 2.69 |
96 | 519138 | 海富通瑞祥一年定开债券 | 42,184,806.63 | 4.11 |
97 | 470088 | 汇添富6月红添利定期开放债券A | 31,638,604.97 | 2.81 |
98 | 470089 | 汇添富6月红添利定期开放债券C | 31,638,604.97 | 2.81 |
99 | 008868 | 民生加银嘉益债券 | 31,638,604.97 | 6.07 |
100 | 004763 | 中科沃土沃嘉混合A | 31,638,604.97 | 18.12 |
101 | 004764 | 中科沃土沃嘉混合C | 31,638,604.97 | 18.12 |
102 | 003841 | 大成惠裕定开纯债债券 | 28,474,744.48 | 5.53 |
103 | 009266 | 鹏扬景合六个月混合 | 28,474,744.48 | 9.22 |
104 | 008739 | 中欧同益债券 | 21,092,403.31 | 3.73 |
105 | 009245 | 国寿安保稳丰6个月持有混合C | 10,546,201.66 | 17.28 |
106 | 009244 | 国寿安保稳丰6个月持有混合A | 10,546,201.66 | 17.28 |
107 | 164810 | 工银纯债定期开放债券 | 10,546,201.66 | 4.47 |
108 | 501100 | 博时安康定开债(LOF) | 10,546,201.66 | 7.57 |
109 | 003179 | 山西证券裕利定期开放债券 | 10,546,201.66 | 14.30 |
110 | 006460 | 人保鑫裕增强债券C | 10,546,201.66 | 4.72 |
111 | 006459 | 人保鑫裕增强债券A | 10,546,201.66 | 4.72 |
112 | 005824 | 泰康颐享混合C | 10,546,201.66 | 5.98 |
113 | 005823 | 泰康颐享混合A | 10,546,201.66 | 5.98 |
114 | 004734 | 中欧瑾灵灵活配置混合A | 10,546,201.66 | 8.50 |
115 | 004735 | 中欧瑾灵灵活配置混合C | 10,546,201.66 | 8.50 |
116 | 004772 | 国寿安保稳泰一年定开混合A | 10,546,201.66 | 8.34 |
117 | 004773 | 国寿安保稳泰一年定开混合C | 10,546,201.66 | 8.34 |
118 | 000240 | 华安年年盈定期开放债券C | 5,800,410.91 | 10.27 |
119 | 000239 | 华安年年盈定期开放债券A | 5,800,410.91 | 10.27 |
120 | 005678 | 安信尊享添益债券A | 5,273,100.83 | 5.31 |
121 | 007099 | 安信尊享添益债券C | 5,273,100.83 | 5.31 |