- 旗下基金:18只139/166
- 份额数量:2.18亿份159/166
- 份额相对上期变化:-0.04%
- 基金经理:3人155/166
- 资产净值:2.28亿元159/166
- 资产相对上期变化:-6.76%
| 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 |
21国开05 |
5 |
50.00 |
5533.65 |
91.20 |
| 2 |
23国开05 |
2 |
20.00 |
2192.36 |
51.01 |
| 3 |
21国开10 |
2 |
20.00 |
2179.68 |
50.72 |
| 4 |
国债2506 |
5 |
11.00 |
1108.80 |
18.27 |
| 5 |
25国债13 |
6 |
10.80 |
1093.63 |
34.20 |
| 6 |
26国债06 |
2 |
8.00 |
803.86 |
18.70 |
| 7 |
24国债19 |
3 |
6.00 |
606.60 |
34.27 |
| 8 |
25国债14 |
5 |
3.80 |
388.54 |
13.83 |
| 9 |
26国债09 |
3 |
3.00 |
300.48 |
27.69 |
| 10 |
国开2003 |
3 |
2.10 |
215.25 |
19.83 |
| 11 |
25注特01 |
3 |
2.10 |
211.17 |
19.46 |
| 12 |
国开2102 |
3 |
1.50 |
156.90 |
14.46 |
| 13 |
25国债03 |
3 |
1.50 |
151.38 |
8.55 |
| 14 |
26国债01 |
3 |
1.50 |
150.96 |
18.34 |
| 15 |
24特国01 |
2 |
0.60 |
64.10 |
6.17 |
| 16 |
25光大银行CD137 |
1 |
0.50 |
49.96 |
4.65 |
| 17 |
26中信银行CD110 |
1 |
0.50 |
49.96 |
4.65 |
| 18 |
25工商银行CD237 |
1 |
0.50 |
49.92 |
4.65 |
| 19 |
26农业银行CD111 |
1 |
0.50 |
49.90 |
4.64 |
| 20 |
23国债17 |
3 |
0.30 |
30.63 |
3.72 |
| 21 |
26国债02 |
2 |
0.20 |
20.70 |
1.99 |
| 22 |
国债2605 |
2 |
0.20 |
20.16 |
1.94 |
| 23 |
华峰转债 |
3 |
0.00 |
0.30 |
0.04 |