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$file: config.inc.php,v $
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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 | 008104 | 中金鑫裕债券A | 2,710,152,616.15 | 67.61 |
2 | 008105 | 中金鑫裕债券C | 2,710,152,616.15 | 67.61 |
3 | 001101 | 银华惠添益货币 | 789,948,608.39 | 1.59 |
4 | 007290 | 汇添富中债1-3年农发债指数C | 619,363,523.29 | 12.45 |
5 | 007289 | 汇添富中债1-3年农发债指数A | 619,363,523.29 | 12.45 |
6 | 270048 | 广发纯债债券A | 589,394,320.55 | 2.08 |
7 | 270049 | 广发纯债债券C | 589,394,320.55 | 2.08 |
8 | 002550 | 嘉实稳荣债券 | 369,620,167.12 | 3.57 |
9 | 161903 | 万家行业优选混合(LOF) | 349,640,698.63 | 4.21 |
10 | 006985 | 兴全恒裕债券 | 309,681,761.64 | 4.01 |
11 | 009777 | 中欧阿尔法混合C | 249,743,356.16 | 4.32 |
12 | 009776 | 中欧阿尔法混合A | 249,743,356.16 | 4.32 |
13 | 009294 | 嘉实致益纯债债券 | 219,774,153.42 | 5.36 |
14 | 003363 | 长江乐享货币A | 200,063,766.69 | 2.37 |
15 | 003364 | 长江乐享货币B | 200,063,766.69 | 2.37 |
16 | 003365 | 长江乐享货币C | 200,063,766.69 | 2.37 |
17 | 005670 | 嘉实致兴定期纯债债券 | 199,794,684.93 | 5.08 |
18 | 008902 | 国寿安保泰吉纯债一年定开债券发起式 | 199,794,684.93 | 7.02 |
19 | 009812 | 易方达悦兴一年持有期混合A | 134,861,412.33 | 4.26 |
20 | 009813 | 易方达悦兴一年持有期混合C | 134,861,412.33 | 4.26 |
21 | 003214 | 易方达富惠纯债债券 | 119,876,810.96 | 5.03 |
22 | 161226 | 国投瑞银白银期货(LOF) | 119,876,810.96 | 5.27 |
23 | 006319 | 易方达安瑞短债债券A | 109,887,076.71 | 2.56 |
24 | 006320 | 易方达安瑞短债债券C | 109,887,076.71 | 2.56 |
25 | 166105 | 信达澳银鑫安债券(LOF) | 99,897,342.47 | 2.75 |
26 | 008970 | 睿远均衡价值三年持有混合C | 99,897,342.47 | 0.83 |
27 | 008969 | 睿远均衡价值三年持有混合A | 99,897,342.47 | 0.83 |
28 | 202102 | 南方多利增强债券C | 99,897,342.47 | 5.05 |
29 | 202103 | 南方多利增强债券A | 99,897,342.47 | 5.05 |
30 | 519746 | 交银丰享收益债券A | 89,907,608.22 | 5.19 |
31 | 519748 | 交银丰享收益债券C | 89,907,608.22 | 5.19 |
32 | 002021 | 华夏回报二号混合 | 89,907,608.22 | 2.33 |
33 | 008556 | 易方达裕富债券A | 87,909,661.37 | 4.62 |
34 | 008557 | 易方达裕富债券C | 87,909,661.37 | 4.62 |
35 | 002086 | 大成景安短融债券E | 79,917,873.97 | 3.50 |
36 | 000128 | 大成景安短融债券A | 79,917,873.97 | 3.50 |
37 | 000129 | 大成景安短融债券B | 79,917,873.97 | 3.50 |
38 | 001216 | 易方达新收益混合A | 69,928,139.73 | 2.09 |
39 | 001217 | 易方达新收益混合C | 69,928,139.73 | 2.09 |
40 | 005562 | 创金合信中证红利低波动指数C | 69,928,139.73 | 1.76 |
41 | 005561 | 创金合信中证红利低波动指数A | 69,928,139.73 | 1.76 |
42 | 007598 | 广发民玉纯债债券 | 59,938,405.48 | 6.05 |
43 | 002711 | 广发集丰债券A | 59,938,405.48 | 12.17 |
44 | 002712 | 广发集丰债券C | 59,938,405.48 | 12.17 |
45 | 003378 | 泰康策略优选混合 | 59,938,405.48 | 5.06 |
46 | 009250 | 易方达磐泰一年持有混合C | 59,938,405.48 | 5.05 |
47 | 009249 | 易方达磐泰一年持有混合A | 59,938,405.48 | 5.05 |
48 | 006903 | 长盛安鑫中短债债券C | 59,938,405.48 | 4.00 |
49 | 006902 | 长盛安鑫中短债债券A | 59,938,405.48 | 4.00 |
50 | 675163 | 西部利得汇盈债券C | 59,938,405.48 | 1.88 |
51 | 675093 | 西部利得祥逸债券C | 59,938,405.48 | 3.16 |
52 | 675091 | 西部利得祥逸债券A | 59,938,405.48 | 3.16 |
53 | 675161 | 西部利得汇盈债券A | 59,938,405.48 | 1.88 |
54 | 009041 | 浦银安盛普天纯债债券A | 59,938,405.48 | 5.28 |
55 | 009042 | 浦银安盛普天纯债债券C | 59,938,405.48 | 5.28 |
56 | 007942 | 恒生前海恒扬纯债债券C | 59,938,405.48 | 5.84 |
57 | 007941 | 恒生前海恒扬纯债债券A | 59,938,405.48 | 5.84 |
58 | 008955 | 交银创新领航混合 | 49,948,671.23 | 2.20 |
59 | 005099 | 易方达掌柜季季盈理财债券B | 49,948,671.23 | 3.74 |
60 | 000833 | 易方达掌柜季季盈理财债券A | 49,948,671.23 | 3.74 |
61 | 519943 | 长信利率债债券A | 49,948,671.23 | 9.56 |
62 | 519942 | 长信利率债债券C | 49,948,671.23 | 9.56 |
63 | 004030 | 嘉实丰安6个月定期债券 | 49,948,671.23 | 4.80 |
64 | 960016 | 交银成长混合H | 39,958,936.99 | 2.47 |
65 | 519692 | 交银成长混合A | 39,958,936.99 | 2.47 |
66 | 010094 | 交银产业机遇混合 | 29,969,202.74 | 2.00 |
67 | 090019 | 大成景恒混合A | 29,969,202.74 | 4.20 |
68 | 006038 | 大成景恒混合C | 29,969,202.74 | 4.20 |
69 | 000172 | 华泰柏瑞量化增强混合A | 29,969,202.74 | 2.02 |
70 | 960041 | 华泰柏瑞量化增强混合H | 29,969,202.74 | 2.02 |
71 | 010234 | 华泰柏瑞量化增强混合C | 29,969,202.74 | 2.02 |
72 | 004401 | 金信民兴债券C | 29,969,202.74 | 7.29 |
73 | 004400 | 金信民兴债券A | 29,969,202.74 | 7.29 |
74 | 519694 | 交银蓝筹混合 | 19,979,468.49 | 1.79 |
75 | 519702 | 交银趋势优先混合 | 19,979,468.49 | 0.45 |
76 | 501092 | 交银瑞思混合 | 19,979,468.49 | 1.25 |
77 | 003880 | 嘉实定期宝6个月理财债券A | 19,979,468.49 | 12.28 |
78 | 000251 | 工银金融地产混合 | 19,979,468.49 | 1.12 |
79 | 000877 | 华泰柏瑞量化优选混合 | 9,989,734.25 | 1.58 |