持仓前10的债券
序号 | 债券代码 | 债券名称 | 持有量(万张) | 市值(万元) | 占净值比 |
---|---|---|---|---|---|
1 | 113017 | 吉视转债 | 0.00 | 293.16 | 1.86% |
2 | 110048 | 福能转债 | 0.00 | 340.20 | 2.16% |
3 | 113011 | 光大转债 | 0.00 | 352.16 | 2.24% |
4 | 110050 | 佳都转债 | 0.00 | 383.44 | 2.44% |
5 | 113516 | 苏农转债 | 0.00 | 439.80 | 2.80% |
6 | 110046 | 圆通转债 | 7.53 | 970.71 | 6.17% |
7 | 136142 | 16中铁01 | 10.00 | 1004.20 | 6.39% |
8 | 155134 | 19金隅02 | 10.00 | 1006.20 | 6.40% |
9 | 1880025 | 18铁道05 | 10.00 | 1057.90 | 6.73% |
10 | 019611 | 19国债01 | 10.60 | 1060.64 | 6.74% |
1 | 113011 | 光大转债 | 0.00 | 320.69 | 2.00% |
2 | 110048 | 福能转债 | 0.00 | 326.48 | 2.03% |
3 | 110050 | 佳都转债 | 0.00 | 388.32 | 2.42% |
4 | 113516 | 苏农转债 | 0.00 | 416.87 | 2.60% |
5 | 110046 | 圆通转债 | 0.00 | 889.63 | 5.54% |
6 | 155134 | 19金隅02 | 10.00 | 996.90 | 6.21% |
7 | 136142 | 16中铁01 | 10.00 | 1002.60 | 6.24% |
8 | 101658064 | 16龙翔投资MTN001 | 10.00 | 1005.30 | 6.26% |
9 | 1880025 | 18铁道05 | 10.00 | 1055.10 | 6.57% |
10 | 019611 | 19国债01 | 10.60 | 1059.89 | 6.60% |
1 | 113011 | 光大转债 | 0.00 | 306.23 | 1.65% |
2 | 110048 | 福能转债 | 0.00 | 312.53 | 1.69% |
3 | 110050 | 佳都转债 | 0.00 | 379.77 | 2.05% |
4 | 113516 | 苏农转债 | 0.00 | 419.02 | 2.26% |
5 | 110046 | 圆通转债 | 0.00 | 871.33 | 4.70% |
6 | 136148 | 16宏桥01 | 10.00 | 1028.70 | 5.55% |
7 | 122210 | 12中油02 | 10.00 | 1036.00 | 5.59% |
8 | 1880025 | 18铁道05 | 10.00 | 1047.00 | 5.65% |
9 | 019611 | 19国债01 | 10.60 | 1059.15 | 5.71% |
10 | 143662 | 18国电02 | 17.00 | 1739.27 | 9.38% |
1 | 127004 | 模塑转债 | 0.00 | 147.33 | 0.60% |
2 | 113013 | 国君转债 | 0.00 | 296.02 | 1.21% |
3 | 113017 | 吉视转债 | 0.00 | 324.89 | 1.33% |
4 | 113516 | 苏农转债 | 0.00 | 494.96 | 2.02% |
5 | 113011 | 光大转债 | 0.00 | 611.68 | 2.50% |
6 | 122210 | 12中油02 | 10.00 | 1034.80 | 4.23% |
7 | 136148 | 16宏桥01 | 10.00 | 1038.10 | 4.25% |
8 | 1880025 | 18铁道05 | 10.00 | 1045.50 | 4.28% |
9 | 019611 | 19国债01 | 13.00 | 1299.48 | 5.31% |
10 | 143662 | 18国电02 | 17.00 | 1744.54 | 7.13% |
1 | 113013 | 国君转债 | 0.00 | 262.70 | 1.30% |
2 | 113017 | 吉视转债 | 0.00 | 269.04 | 1.34% |
3 | 127004 | 模塑转债 | 0.00 | 379.39 | 1.88% |
4 | 110032 | 三一转债 | 0.00 | 536.49 | 2.66% |
5 | 113011 | 光大转债 | 0.00 | 559.76 | 2.78% |
6 | 018005 | 国开1701 | 10.20 | 1024.49 | 5.09% |
7 | 122210 | 12中油02 | 10.00 | 1032.30 | 5.13% |
8 | 1880025 | 18铁道05 | 10.00 | 1051.90 | 5.22% |
9 | 143662 | 18国电02 | 17.00 | 1733.32 | 8.61% |
10 | 170215 | 17国开15 | 20.00 | 2064.20 | 10.25% |
1 | 113013 | 国君转债 | 0.00 | 261.50 | 1.19% |
2 | 113017 | 吉视转债 | 0.00 | 264.74 | 1.21% |
3 | 127004 | 模塑转债 | 0.00 | 379.13 | 1.73% |
4 | 110032 | 三一转债 | 0.00 | 571.18 | 2.61% |
5 | 113011 | 光大转债 | 0.00 | 577.02 | 2.64% |
6 | 1880104 | 18铁道11 | 10.00 | 1012.50 | 4.62% |
7 | 122210 | 12中油02 | 10.00 | 1018.30 | 4.65% |
8 | 1880025 | 18铁道05 | 10.00 | 1033.60 | 4.72% |
9 | 143662 | 18国电02 | 20.00 | 2027.00 | 9.26% |
10 | 170215 | 17国开15 | 40.00 | 3965.20 | 18.11% |
1 | 123001 | 蓝标转债 | 0.00 | 112.93 | 0.46% |
2 | 113013 | 国君转债 | 0.00 | 253.28 | 1.03% |
3 | 127004 | 模塑转债 | 0.00 | 379.87 | 1.54% |
4 | 113011 | 光大转债 | 0.00 | 540.38 | 2.19% |
5 | 110032 | 三一转债 | 0.00 | 552.33 | 2.24% |
6 | 011800413 | 18国电集SCP002 | 10.00 | 1003.10 | 4.07% |
7 | 011800482 | 18中建材SCP007 | 10.00 | 1004.80 | 4.08% |
8 | 1880025 | 18铁道05 | 10.00 | 1029.10 | 4.18% |
9 | 122444 | 15冠城债 | 15.00 | 1496.15 | 6.07% |
10 | 170215 | 17国开15 | 40.00 | 3976.80 | 16.14% |
1 | 123001 | 蓝标转债 | 0.00 | 130.35 | 0.56% |
2 | 113013 | 国君转债 | 0.00 | 270.50 | 1.17% |
3 | 127004 | 模塑转债 | 0.00 | 412.75 | 1.78% |
4 | 110032 | 三一转债 | 0.00 | 518.31 | 2.24% |
5 | 113011 | 光大转债 | 0.00 | 577.66 | 2.50% |
6 | 112279 | 15渤租01 | 10.00 | 980.00 | 4.23% |
7 | 011771022 | 17京城建SCP002 | 10.00 | 1006.80 | 4.35% |
8 | 122444 | 15冠城债 | 15.00 | 1496.15 | 6.46% |
9 | 180205 | 18国开05 | 15.00 | 1527.15 | 6.60% |
10 | 170215 | 17国开15 | 40.00 | 3859.60 | 16.67% |
排名 | 基金名称 | 三月回报 |
---|---|---|
1 | 银华800B | 104.00% |
2 | 国寿安保中证养老B | 55.82% |
3 | 易基中小板B类份额 | 37.15% |
4 | 国金沪深300指数分级B | 27.71% |
5 | 西部利得中证500等权重B | 25.63% |
6 | 金鹰中证500指数分级B | 22.75% |
7 | 同辉100B | 21.54% |
207 | 互利A | 0.74% |
截止:2020-03-18
更多排名 | 基金名称 | 三月回报 |
---|---|---|
1 | 国泰聚信价值优势灵活配置混合A | 16.12% |
2 | 国泰聚信价值优势灵活配置混合C | 15.96% |
3 | 国泰大健康股票 | 11.51% |
4 | 国泰智能汽车股票 | 11.30% |
5 | 国泰金牛创新混合 | 9.93% |
6 | 国泰聚优价值灵活配置混合A | 9.66% |
7 | 国泰聚优价值灵活配置混合C | 9.53% |
56 | 互利A | 0.74% |
截止:2020-03-18
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