/*
$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 | 007447 | 平安惠泰纯债债券 | 867,213,561.64 | 7.52 |
| 2 | 007295 | 天弘安益债券A | 668,694,794.52 | 8.02 |
| 3 | 007296 | 天弘安益债券C | 668,694,794.52 | 8.02 |
| 4 | 005897 | 平安合颖定开债 | 470,176,027.40 | 22.74 |
| 5 | 006714 | 博时富源纯债债券 | 417,934,246.58 | 4.29 |
| 6 | 006475 | 国泰嘉睿纯债债券 | 407,485,890.41 | 4.25 |
| 7 | 004826 | 平安惠悦纯债债券 | 344,795,753.42 | 8.26 |
| 8 | 008761 | 南方骏元中短期利率债债券 | 323,899,041.10 | 9.96 |
| 9 | 005631 | 博时富乾3个月定开债发起式 | 313,450,684.93 | 3.89 |
| 10 | 004656 | 添富鑫汇定开债券C | 240,312,191.78 | 4.20 |
| 11 | 004655 | 添富鑫汇定开债券A | 240,312,191.78 | 4.20 |
| 12 | 380010 | 中银聚享债券A | 219,415,479.45 | 10.40 |
| 13 | 380011 | 中银聚享债券B | 219,415,479.45 | 10.40 |
| 14 | 002781 | 博时聚瑞6个月定开债发起式 | 208,967,123.29 | 7.96 |
| 15 | 007584 | 鹏华丰鑫债券 | 208,967,123.29 | 24.96 |
| 16 | 003607 | 博时富益纯债债券 | 177,622,054.79 | 8.61 |
| 17 | 005971 | 平安惠锦债券 | 156,725,342.47 | 7.79 |
| 18 | 005594 | 招商添润3个月定开债发起式A | 156,725,342.47 | 2.43 |
| 19 | 005595 | 招商添润3个月定开债发起式C | 156,725,342.47 | 2.43 |
| 20 | 002832 | 工银恒享纯债债券 | 156,725,342.47 | 10.70 |
| 21 | 002336 | 创金合信尊享纯债债券 | 156,725,342.47 | 7.30 |
| 22 | 003574 | 大成惠利纯债债券 | 135,828,630.14 | 6.72 |
| 23 | 008873 | 国寿安保尊诚纯债债券A | 125,380,273.97 | 5.57 |
| 24 | 008874 | 国寿安保尊诚纯债债券C | 125,380,273.97 | 5.57 |
| 25 | 008554 | 景顺长城景泰汇利定期开放债券C | 114,931,917.81 | 2.14 |
| 26 | 003605 | 景顺长城景泰汇利定期开放债券A | 114,931,917.81 | 2.14 |
| 27 | 003650 | 融通通润债券 | 104,483,561.64 | 12.12 |
| 28 | 003847 | 华安鼎丰债券 | 104,483,561.64 | 4.78 |
| 29 | 009510 | 天弘同利债券(LOF)E | 104,483,561.64 | 3.66 |
| 30 | 164210 | 天弘同利债券(LOF)C | 104,483,561.64 | 3.66 |
| 31 | 003014 | 中融恒泰纯债C | 94,035,205.48 | 4.47 |
| 32 | 003013 | 中融恒泰纯债A | 94,035,205.48 | 4.47 |
| 33 | 000876 | 建信稳定得利债券C | 94,035,205.48 | 3.77 |
| 34 | 000875 | 建信稳定得利债券A | 94,035,205.48 | 3.77 |
| 35 | 002109 | 博时裕丰3个月定开债 | 83,586,849.32 | 4.17 |
| 36 | 003266 | 招商招坤纯债债券C | 83,586,849.32 | 2.83 |
| 37 | 003265 | 招商招坤纯债债券A | 83,586,849.32 | 2.83 |
| 38 | 003239 | 博时安祺6个月定开债A | 73,138,493.15 | 10.21 |
| 39 | 003240 | 博时安祺6个月定开债C | 73,138,493.15 | 10.21 |
| 40 | 008745 | 南方尊利一年定开债券发起 | 73,138,493.15 | 3.52 |
| 41 | 002198 | 博时裕达纯债债券 | 73,138,493.15 | 5.43 |
| 42 | 000319 | 泰达宏利淘利债券A | 73,138,493.15 | 7.15 |
| 43 | 000320 | 泰达宏利淘利债券C | 73,138,493.15 | 7.15 |
| 44 | 008456 | 招商瑞阳混合A | 62,690,136.99 | 2.07 |
| 45 | 008457 | 招商瑞阳混合C | 62,690,136.99 | 2.07 |
| 46 | 008540 | 工银开元利率债债券C | 52,241,780.82 | 21.38 |
| 47 | 008539 | 工银开元利率债债券A | 52,241,780.82 | 21.38 |
| 48 | 008756 | 民生加银瑞夏一年定开债券发起式 | 52,241,780.82 | 4.62 |
| 49 | 007711 | 格林泓泰三个月定开债C | 52,241,780.82 | 10.43 |
| 50 | 007710 | 格林泓泰三个月定开债A | 52,241,780.82 | 10.43 |
| 51 | 005547 | 诺安圆鼎定期开放债券 | 52,241,780.82 | 5.03 |
| 52 | 007037 | 海富通聚合纯债 | 52,241,780.82 | 5.88 |
| 53 | 000669 | 国寿安保尊享债券C | 52,241,780.82 | 9.11 |
| 54 | 000668 | 国寿安保尊享债券A | 52,241,780.82 | 9.11 |
| 55 | 000244 | 天弘稳利定期开放债券A | 52,241,780.82 | 4.73 |
| 56 | 000245 | 天弘稳利定期开放债券B | 52,241,780.82 | 4.73 |
| 57 | 002178 | 嘉实新起点混合C | 47,017,602.74 | 4.06 |
| 58 | 001688 | 嘉实新起点混合A | 47,017,602.74 | 4.06 |
| 59 | 090001 | 大成价值增长混合 | 41,793,424.66 | 4.41 |
| 60 | 164703 | 汇添富纯债债券(LOF) | 41,793,424.66 | 3.94 |
| 61 | 002088 | 国富新机遇混合C | 34,479,575.34 | 8.87 |
| 62 | 002087 | 国富新机遇混合A | 34,479,575.34 | 8.87 |
| 63 | 002625 | 博时安怡6个月定开债券 | 31,345,068.49 | 10.38 |
| 64 | 004322 | 创金合信尊隆纯债债券 | 20,896,712.33 | 3.98 |
| 65 | 000005 | 嘉实增强信用定期债券 | 15,672,534.25 | 5.90 |
| 66 | 003143 | 鹏华弘达混合C | 13,582,863.01 | 29.60 |
| 67 | 003142 | 鹏华弘达混合A | 13,582,863.01 | 29.60 |
| 68 | 004389 | 大成惠明纯债债券 | 10,448,356.16 | 9.45 |
| 69 | 004632 | 平安合意定开债券 | 10,448,356.16 | 19.63 |
| 70 | 002664 | 万家瑞和混合A | 10,448,356.16 | 9.39 |
| 71 | 002665 | 万家瑞和混合C | 10,448,356.16 | 9.39 |
| 72 | 002714 | 鹏华金城灵活配置混合 | 8,358,684.93 | 10.90 |
| 73 | 002792 | 景顺长城顺益回报混合A | 5,224,178.08 | 12.61 |
| 74 | 002793 | 景顺长城顺益回报混合C | 5,224,178.08 | 12.61 |
| 75 | 002222 | 嘉实新趋势混合 | 5,224,178.08 | 7.29 |
| 76 | 001191 | 鹏华弘润灵活配置混合C | 2,089,671.23 | 3.45 |
| 77 | 001190 | 鹏华弘润灵活配置混合A | 2,089,671.23 | 3.45 |
| 78 | 005653 | 国富天颐混合C | 1,044,835.62 | 11.21 |
| 79 | 005652 | 国富天颐混合A | 1,044,835.62 | 11.21 |