- 旗下基金:1只190/203
- 份额数量:17.01亿份171/203
- 份额相对上期变化:-12.68%
- 基金经理:1人182/203
- 资产净值:17.01亿元172/203
- 资产相对上期变化:-12.68%
序号 |
债券简称 |
持有基金数 |
持仓总量(万张) |
持仓总市值(万元) |
资产净值比(%) |
1 |
19中航集MTN003 |
1 |
50.00 |
5190.93 |
3.05 |
2 |
19中石油MTN006 |
1 |
50.00 |
5174.61 |
3.04 |
3 |
24万华化学SCP001(科创票据) |
1 |
50.00 |
5062.82 |
2.98 |
4 |
24万华化学SCP008(科创票据) |
1 |
50.00 |
5038.36 |
2.96 |
5 |
24电网SCP023 |
1 |
50.00 |
5031.41 |
2.96 |
6 |
24中国保利SCP001 |
1 |
50.00 |
5030.34 |
2.96 |
7 |
24长电SCP002 |
1 |
50.00 |
5019.75 |
2.95 |
8 |
24上海机场SCP007 |
1 |
50.00 |
5019.22 |
2.95 |
9 |
24华能集SCP006 |
1 |
50.00 |
5017.14 |
2.95 |
10 |
24中金公司CP005 |
1 |
50.00 |
5006.75 |
2.94 |