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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 | 007194 | 长城短债债券A | 1,002,524,931.51 | 2.43 |
2 | 007195 | 长城短债债券C | 1,002,524,931.51 | 2.43 |
3 | 001101 | 银华惠添益货币 | 621,052,095.33 | 1.91 |
4 | 008902 | 国寿安保泰吉纯债一年定开债券发起式 | 601,514,958.90 | 20.46 |
5 | 001937 | 兴银现金增利货币 | 601,056,721.96 | 1.52 |
6 | 163417 | 兴全合宜混合(LOF)A | 501,262,465.75 | 3.85 |
7 | 005491 | 兴全合宜混合(LOF)C | 501,262,465.75 | 3.85 |
8 | 007987 | 鹏华丰庆债券 | 421,060,471.23 | 19.01 |
9 | 004498 | 鹏华丰源债券 | 350,883,726.03 | 17.28 |
10 | 005617 | 中信保诚嘉鑫3个月定期开放债券 | 310,782,728.77 | 4.84 |
11 | 630107 | 华商稳健双利债券B | 310,782,728.77 | 5.75 |
12 | 630007 | 华商稳健双利债券A | 310,782,728.77 | 5.75 |
13 | 001819 | 兴全稳益定期开放债券 | 230,580,734.25 | 2.30 |
14 | 008775 | 招商鑫福中短债C | 220,555,484.93 | 2.53 |
15 | 008774 | 招商鑫福中短债A | 220,555,484.93 | 2.53 |
16 | 003545 | 东兴兴利债券A | 200,504,986.30 | 2.59 |
17 | 004235 | 中欧价值智选混合C | 200,504,986.30 | 4.32 |
18 | 004815 | 中欧红利优享灵活配置混合C | 200,504,986.30 | 3.60 |
19 | 004814 | 中欧红利优享灵活配置混合A | 200,504,986.30 | 3.60 |
20 | 166019 | 中欧价值智选混合A | 200,504,986.30 | 4.32 |
21 | 009045 | 浦银安盛盛智一年定开债券 | 200,504,986.30 | 19.68 |
22 | 009617 | 东兴兴利债券C | 200,504,986.30 | 2.59 |
23 | 009776 | 中欧阿尔法混合A | 200,504,986.30 | 3.25 |
24 | 009777 | 中欧阿尔法混合C | 200,504,986.30 | 3.25 |
25 | 001887 | 中欧价值智选混合E | 200,504,986.30 | 4.32 |
26 | 000831 | 工银医疗保健股票 | 180,454,487.67 | 5.60 |
27 | 009951 | 广发稳健回报混合A | 150,378,739.73 | 3.32 |
28 | 009952 | 广发稳健回报混合C | 150,378,739.73 | 3.32 |
29 | 380011 | 中银聚享债券B | 150,378,739.73 | 5.89 |
30 | 380010 | 中银聚享债券A | 150,378,739.73 | 5.89 |
31 | 007637 | 兴银鑫日享短债债券C | 140,353,490.41 | 1.42 |
32 | 005079 | 兴银鑫日享短债债券A | 140,353,490.41 | 1.42 |
33 | 005765 | 中欧明睿新常态混合C | 140,353,490.41 | 4.01 |
34 | 001811 | 中欧明睿新常态混合A | 140,353,490.41 | 4.01 |
35 | 009406 | 平安高等级债C | 130,328,241.10 | 13.63 |
36 | 010035 | 平安高等级债E | 130,328,241.10 | 13.63 |
37 | 006097 | 平安高等级债A | 130,328,241.10 | 13.63 |
38 | 005426 | 光大尊丰纯债定期开放债券 | 120,302,991.78 | 5.62 |
39 | 161903 | 万家行业优选混合(LOF) | 120,302,991.78 | 2.07 |
40 | 009872 | 中欧责任投资混合A | 110,277,742.47 | 4.41 |
41 | 009873 | 中欧责任投资混合C | 110,277,742.47 | 4.41 |
42 | 166006 | 中欧行业成长混合(LOF)A | 110,277,742.47 | 4.08 |
43 | 001886 | 中欧行业成长混合(LOF)E | 110,277,742.47 | 4.08 |
44 | 004231 | 中欧行业成长混合(LOF)C | 110,277,742.47 | 4.08 |
45 | 519712 | 交银阿尔法核心混合 | 100,252,493.15 | 2.45 |
46 | 519697 | 交银优势行业灵活配置混合 | 100,252,493.15 | 2.48 |
47 | 519736 | 交银新成长混合 | 100,252,493.15 | 1.37 |
48 | 110001 | 易方达平稳增长混合 | 100,252,493.15 | 3.68 |
49 | 010213 | 中欧互联网混合A | 100,252,493.15 | 3.67 |
50 | 010214 | 中欧互联网混合C | 100,252,493.15 | 3.67 |
51 | 163411 | 兴全精选混合 | 100,252,493.15 | 3.87 |
52 | 001171 | 工银养老产业股票 | 100,252,493.15 | 5.44 |
53 | 002109 | 博时裕丰3个月定开债 | 100,252,493.15 | 5.12 |
54 | 002021 | 华夏回报二号混合 | 90,227,243.84 | 2.41 |
55 | 008557 | 易方达裕富债券C | 90,227,243.84 | 3.80 |
56 | 008556 | 易方达裕富债券A | 90,227,243.84 | 3.80 |
57 | 519702 | 交银趋势优先混合 | 90,227,243.84 | 1.55 |
58 | 008121 | 万家自主创新混合C | 80,201,994.52 | 4.71 |
59 | 008120 | 万家自主创新混合A | 80,201,994.52 | 4.71 |
60 | 004616 | 中欧电子信息产业沪港深股票A | 70,176,745.21 | 3.31 |
61 | 005763 | 中欧电子信息产业沪港深股票C | 70,176,745.21 | 3.31 |
62 | 005752 | 金鹰添盛定期开放债券 | 70,176,745.21 | 8.42 |
63 | 519688 | 交银精选混合 | 70,176,745.21 | 1.35 |
64 | 519778 | 交银经济新动力混合 | 70,176,745.21 | 2.46 |
65 | 009323 | 博时富通一年定开债发起式 | 60,151,495.89 | 5.86 |
66 | 003134 | 易方达裕鑫债券C | 60,151,495.89 | 5.66 |
67 | 003133 | 易方达裕鑫债券A | 60,151,495.89 | 5.66 |
68 | 003121 | 中信保诚稳利债券A | 60,151,495.89 | 3.74 |
69 | 003130 | 中信保诚稳利债券C | 60,151,495.89 | 3.74 |
70 | 008187 | 淳厚信睿混合C | 60,151,495.89 | 1.59 |
71 | 008186 | 淳厚信睿混合A | 60,151,495.89 | 1.59 |
72 | 008900 | 国联安增泰一年定开债发起式 | 60,151,495.89 | 11.98 |
73 | 003952 | 兴业嘉瑞6个月定开债券A | 50,126,246.58 | 5.47 |
74 | 003953 | 兴业嘉瑞6个月定开债券C | 50,126,246.58 | 5.47 |
75 | 007595 | 招商添泽纯债债券A | 50,126,246.58 | 2.51 |
76 | 007596 | 招商添泽纯债债券C | 50,126,246.58 | 2.51 |
77 | 007536 | 博时富乐纯债债券 | 50,126,246.58 | 2.90 |
78 | 007558 | 中加优选中高等级债券C | 50,126,246.58 | 9.99 |
79 | 007557 | 中加优选中高等级债券A | 50,126,246.58 | 9.99 |
80 | 007190 | 南华价值启航纯债债券C | 50,126,246.58 | 6.65 |
81 | 007189 | 南华价值启航纯债债券A | 50,126,246.58 | 6.65 |
82 | 519756 | 交银国企改革灵活配置混合 | 50,126,246.58 | 1.84 |
83 | 001217 | 易方达新收益混合C | 50,126,246.58 | 1.24 |
84 | 001216 | 易方达新收益混合A | 50,126,246.58 | 1.24 |
85 | 007811 | 淳厚信泽混合A | 40,100,997.26 | 2.63 |
86 | 007812 | 淳厚信泽混合C | 40,100,997.26 | 2.63 |
87 | 008810 | 安信民稳增长混合C | 40,100,997.26 | 1.87 |
88 | 008809 | 安信民稳增长混合A | 40,100,997.26 | 1.87 |
89 | 003565 | 博时安诚3个月定开债券C | 30,075,747.95 | 58.92 |
90 | 003564 | 博时安诚3个月定开债券A | 30,075,747.95 | 58.92 |
91 | 519690 | 交银稳健配置混合A | 30,075,747.95 | 2.64 |
92 | 519700 | 交银主题优选混合 | 30,075,747.95 | 3.12 |
93 | 519773 | 交银数据产业灵活配置混合 | 20,050,498.63 | 1.26 |
94 | 005001 | 交银持续成长主题混合 | 20,050,498.63 | 1.77 |
95 | 004763 | 中科沃土沃嘉混合A | 20,050,498.63 | 10.53 |
96 | 004764 | 中科沃土沃嘉混合C | 20,050,498.63 | 10.53 |
97 | 005918 | 天弘沪深300ETF联接C | 10,025,249.32 | 0.13 |
98 | 005145 | 东吴优益债券C | 10,025,249.32 | 12.34 |
99 | 005144 | 东吴优益债券A | 10,025,249.32 | 12.34 |
100 | 000961 | 天弘沪深300ETF联接A | 10,025,249.32 | 0.13 |
101 | 000532 | 景顺长城优势企业混合 | 10,025,249.32 | 4.74 |
102 | 519669 | 银河领先债券 | 10,025,249.32 | 17.55 |
103 | 519675 | 银河泰利债券A | 10,025,249.32 | 32.51 |
104 | 519648 | 银河泰利债券I | 10,025,249.32 | 32.51 |
105 | 009233 | 鹏华安惠混合C | 10,025,249.32 | 19.46 |
106 | 009232 | 鹏华安惠混合A | 10,025,249.32 | 19.46 |