重仓持基明细
查询指定年度的基金持仓:
季报日期: 2024-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013997 |
广发增强债券A |
10.24% |
3195.30 |
3663.74 |
0.00 (-2.59%) |
2 |
100050 |
富国全球债券(QDII)人民币A |
6.23% |
1777.53 |
2230.45 |
0.00 (-1.35%) |
3 |
004027 |
广发景源纯债A |
4.89% |
1581.62 |
1750.22 |
新增 |
4 |
004853 |
广发价值回报混合C |
4.72% |
1250.90 |
1690.21 |
0.00 (-1.19%) |
5 |
270049 |
广发纯债债券C |
3.62% |
1035.60 |
1296.47 |
0.00 (-0.86%) |
6 |
001441 |
易方达瑞信混合I |
3.38% |
752.68 |
1209.56 |
新增 |
7 |
001806 |
易方达瑞智混合I |
3.08% |
780.56 |
1102.93 |
新增 |
8 |
006998 |
广发景兴中短债A |
3.01% |
1001.83 |
1075.66 |
457.64 (0.31%) |
9 |
007360 |
易方达中短期美元债债券(QDII)A(人民币) |
2.84% |
874.65 |
1018.27 |
新增 |
10 |
003030 |
安信新目标混合A |
2.65% |
653.01 |
948.82 |
200.00 (-0.05%) |
季报日期: 2024-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013997 |
广发增强债券A |
10.24% |
3195.30 |
3663.74 |
|
0.00 (-2.59%) |
2 |
100050 |
富国全球债券(QDII)人民币A |
6.23% |
1777.53 |
2230.45 |
|
0.00 (-1.35%) |
3 |
004027 |
广发景源纯债A |
4.89% |
1581.62 |
1750.22 |
|
新增 |
4 |
004853 |
广发价值回报混合C |
4.72% |
1250.90 |
1690.21 |
|
0.00 (-1.19%) |
5 |
270049 |
广发纯债债券C |
3.62% |
1035.60 |
1296.47 |
|
0.00 (-0.86%) |
6 |
001441 |
易方达瑞信混合I |
3.38% |
752.68 |
1209.56 |
|
新增 |
7 |
001806 |
易方达瑞智混合I |
3.08% |
780.56 |
1102.93 |
|
新增 |
8 |
006998 |
广发景兴中短债A |
3.01% |
1001.83 |
1075.66 |
|
457.64 (0.31%) |
9 |
007360 |
易方达中短期美元债债券(QDII)A(人民币) |
2.84% |
874.65 |
1018.27 |
|
新增 |
10 |
003030 |
安信新目标混合A |
2.65% |
653.01 |
948.82 |
|
200.00 (-0.05%) |
显示全部持仓明细>>
季报日期: 2024-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
8.29% |
3390.15 |
3889.86 |
0.00 (-0.24%) |
2 |
013997 |
广发增强债券A |
7.65% |
3195.30 |
3591.52 |
-1909.90 (-4.67%) |
3 |
100050 |
富国全球债券(QDII)人民币A |
4.88% |
1777.53 |
2290.35 |
0.00 (-0.09%) |
4 |
004853 |
广发价值回报混合C |
3.53% |
1250.90 |
1658.44 |
500.00 (0.93%) |
5 |
006998 |
广发景兴中短债A |
3.32% |
1459.47 |
1559.59 |
400.00 (0.80%) |
6 |
009532 |
广发景明中短债E |
3.05% |
1383.94 |
1430.44 |
900.00 (1.86%) |
7 |
003031 |
安信新目标混合C |
2.81% |
949.51 |
1317.44 |
160.00 (0.33%) |
8 |
270049 |
广发纯债债券C |
2.76% |
1035.60 |
1292.95 |
1012.10 (2.52%) |
9 |
002026 |
广发聚盛混合C |
2.69% |
850.51 |
1261.30 |
700.00 (1.86%) |
10 |
003030 |
安信新目标混合A |
2.60% |
853.01 |
1219.29 |
0.00 (-0.12%) |
季报日期: 2024-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
8.29% |
3390.15 |
3889.86 |
|
0.00 (-0.24%) |
2 |
013997 |
广发增强债券A |
7.65% |
3195.30 |
3591.52 |
|
-1909.90 (-4.67%) |
3 |
100050 |
富国全球债券(QDII)人民币A |
4.88% |
1777.53 |
2290.35 |
|
0.00 (-0.09%) |
4 |
004853 |
广发价值回报混合C |
3.53% |
1250.90 |
1658.44 |
|
500.00 (0.93%) |
5 |
006998 |
广发景兴中短债A |
3.32% |
1459.47 |
1559.59 |
|
400.00 (0.80%) |
6 |
009532 |
广发景明中短债E |
3.05% |
1383.94 |
1430.44 |
|
900.00 (1.86%) |
7 |
003031 |
安信新目标混合C |
2.81% |
949.51 |
1317.44 |
|
160.00 (0.33%) |
8 |
270049 |
广发纯债债券C |
2.76% |
1035.60 |
1292.95 |
|
1012.10 (2.52%) |
9 |
002026 |
广发聚盛混合C |
2.69% |
850.51 |
1261.30 |
|
700.00 (1.86%) |
10 |
003030 |
安信新目标混合A |
2.60% |
853.01 |
1219.29 |
|
0.00 (-0.12%) |
显示全部持仓明细>>
季报日期: 2024-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
8.05% |
3390.15 |
3887.82 |
0.00 (-0.81%) |
2 |
270049 |
广发纯债债券C |
5.28% |
2047.71 |
2550.83 |
0.00 (-0.46%) |
3 |
009532 |
广发景明中短债E |
4.91% |
2283.94 |
2370.95 |
0.00 (-0.44%) |
4 |
100050 |
富国全球债券(QDII)人民币A |
4.79% |
1777.53 |
2314.88 |
0.00 (-0.43%) |
5 |
002026 |
广发聚盛混合C |
4.55% |
1550.51 |
2198.62 |
0.00 (-0.38%) |
6 |
004853 |
广发价值回报混合C |
4.46% |
1750.90 |
2154.65 |
200.00 (0.12%) |
7 |
006998 |
广发景兴中短债A |
4.12% |
1859.47 |
1992.24 |
0.00 (-0.36%) |
8 |
003031 |
安信新目标混合C |
3.14% |
1109.51 |
1515.70 |
0.00 (-0.29%) |
9 |
013997 |
广发增强债券A |
2.98% |
1285.41 |
1439.79 |
0.00 (-0.30%) |
10 |
003030 |
安信新目标混合A |
2.48% |
853.01 |
1199.84 |
0.00 (-0.23%) |
季报日期: 2024-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
8.05% |
3390.15 |
3887.82 |
|
0.00 (-0.81%) |
2 |
270049 |
广发纯债债券C |
5.28% |
2047.71 |
2550.83 |
|
0.00 (-0.46%) |
3 |
009532 |
广发景明中短债E |
4.91% |
2283.94 |
2370.95 |
|
0.00 (-0.44%) |
4 |
100050 |
富国全球债券(QDII)人民币A |
4.79% |
1777.53 |
2314.88 |
|
0.00 (-0.43%) |
5 |
002026 |
广发聚盛混合C |
4.55% |
1550.51 |
2198.62 |
|
0.00 (-0.38%) |
6 |
004853 |
广发价值回报混合C |
4.46% |
1750.90 |
2154.65 |
|
200.00 (0.12%) |
7 |
006998 |
广发景兴中短债A |
4.12% |
1859.47 |
1992.24 |
|
0.00 (-0.36%) |
8 |
003031 |
安信新目标混合C |
3.14% |
1109.51 |
1515.70 |
|
0.00 (-0.29%) |
9 |
013997 |
广发增强债券A |
2.98% |
1285.41 |
1439.79 |
|
0.00 (-0.30%) |
10 |
003030 |
安信新目标混合A |
2.48% |
853.01 |
1199.84 |
|
0.00 (-0.23%) |
显示全部持仓明细>>
季报日期: 2024-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
7.24% |
3390.15 |
3826.46 |
450.00 (0.03%) |
2 |
270049 |
广发纯债债券C |
4.82% |
2047.71 |
2549.81 |
-864.27 (-2.33%) |
3 |
004853 |
广发价值回报混合C |
4.58% |
1950.90 |
2421.45 |
0.00 (-0.46%) |
4 |
009532 |
广发景明中短债E |
4.47% |
2283.94 |
2362.96 |
800.00 (0.93%) |
5 |
100050 |
富国全球债券(QDII)人民币A |
4.36% |
1777.53 |
2302.79 |
0.00 (-0.43%) |
6 |
002026 |
广发聚盛混合C |
4.17% |
1550.51 |
2204.82 |
0.00 (-0.46%) |
7 |
006998 |
广发景兴中短债A |
3.76% |
1859.47 |
1990.01 |
1933.00 (3.12%) |
8 |
003031 |
安信新目标混合C |
2.85% |
1109.51 |
1504.38 |
0.00 (-0.32%) |
9 |
013997 |
广发增强债券A |
2.68% |
1285.41 |
1418.45 |
0.00 (-0.29%) |
10 |
003030 |
安信新目标混合A |
2.25% |
853.01 |
1190.20 |
0.00 (-0.25%) |
季报日期: 2024-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
7.24% |
3390.15 |
3826.46 |
|
450.00 (0.03%) |
2 |
270049 |
广发纯债债券C |
4.82% |
2047.71 |
2549.81 |
|
-864.27 (-2.33%) |
3 |
004853 |
广发价值回报混合C |
4.58% |
1950.90 |
2421.45 |
|
0.00 (-0.46%) |
4 |
009532 |
广发景明中短债E |
4.47% |
2283.94 |
2362.96 |
|
800.00 (0.93%) |
5 |
100050 |
富国全球债券(QDII)人民币A |
4.36% |
1777.53 |
2302.79 |
|
0.00 (-0.43%) |
6 |
002026 |
广发聚盛混合C |
4.17% |
1550.51 |
2204.82 |
|
0.00 (-0.46%) |
7 |
006998 |
广发景兴中短债A |
3.76% |
1859.47 |
1990.01 |
|
1933.00 (3.12%) |
8 |
003031 |
安信新目标混合C |
2.85% |
1109.51 |
1504.38 |
|
0.00 (-0.32%) |
9 |
013997 |
广发增强债券A |
2.68% |
1285.41 |
1418.45 |
|
0.00 (-0.29%) |
10 |
003030 |
安信新目标混合A |
2.25% |
853.01 |
1190.20 |
|
0.00 (-0.25%) |
显示全部持仓明细>>
季报日期: 2023-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
7.27% |
3840.15 |
4281.00 |
0.00 (-0.28%) |
2 |
006998 |
广发景兴中短债A |
6.88% |
3792.47 |
4052.63 |
0.00 (-0.20%) |
3 |
009532 |
广发景明中短债E |
5.40% |
3083.94 |
3182.31 |
0.00 (-0.16%) |
4 |
004853 |
广发价值回报混合C |
4.12% |
1950.90 |
2428.28 |
0.00 (-0.04%) |
5 |
100050 |
富国全球债券(QDII)人民币A |
3.93% |
1777.53 |
2314.52 |
0.00 (-0.24%) |
6 |
002026 |
广发聚盛混合C |
3.71% |
1550.51 |
2184.66 |
0.00 (-0.09%) |
7 |
009955 |
广发鑫裕混合C |
2.65% |
1288.84 |
1559.36 |
0.00 (0.14%) |
8 |
003031 |
安信新目标混合C |
2.53% |
1109.51 |
1490.84 |
0.00 (-0.04%) |
9 |
270049 |
广发纯债债券C |
2.49% |
1183.44 |
1464.62 |
0.00 (-0.09%) |
10 |
013997 |
广发增强债券A |
2.39% |
1285.41 |
1408.16 |
-148.00 (-0.07%) |
季报日期: 2023-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
7.27% |
3840.15 |
4281.00 |
|
0.00 (-0.28%) |
2 |
006998 |
广发景兴中短债A |
6.88% |
3792.47 |
4052.63 |
|
0.00 (-0.20%) |
3 |
009532 |
广发景明中短债E |
5.40% |
3083.94 |
3182.31 |
|
0.00 (-0.16%) |
4 |
004853 |
广发价值回报混合C |
4.12% |
1950.90 |
2428.28 |
|
0.00 (-0.04%) |
5 |
100050 |
富国全球债券(QDII)人民币A |
3.93% |
1777.53 |
2314.52 |
|
0.00 (-0.24%) |
6 |
002026 |
广发聚盛混合C |
3.71% |
1550.51 |
2184.66 |
|
0.00 (-0.09%) |
7 |
009955 |
广发鑫裕混合C |
2.65% |
1288.84 |
1559.36 |
|
0.00 (0.14%) |
8 |
003031 |
安信新目标混合C |
2.53% |
1109.51 |
1490.84 |
|
0.00 (-0.04%) |
9 |
270049 |
广发纯债债券C |
2.49% |
1183.44 |
1464.62 |
|
0.00 (-0.09%) |
10 |
013997 |
广发增强债券A |
2.39% |
1285.41 |
1408.16 |
|
-148.00 (-0.07%) |
显示全部持仓明细>>
季报日期: 2023-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
6.99% |
3840.15 |
4235.69 |
-274.15 (-0.73%) |
2 |
006998 |
广发景兴中短债A |
6.68% |
3792.47 |
4046.19 |
0.00 (-0.18%) |
3 |
009532 |
广发景明中短债E |
5.24% |
3083.94 |
3177.38 |
1600.00 (2.51%) |
4 |
004853 |
广发价值回报混合C |
4.08% |
1950.90 |
2472.76 |
0.00 (-0.13%) |
5 |
100050 |
富国全球债券(QDII)人民币A |
3.69% |
1777.53 |
2233.29 |
-1305.63 (-2.71%) |
6 |
002026 |
广发聚盛混合C |
3.62% |
1550.51 |
2193.96 |
0.00 (-0.03%) |
7 |
009955 |
广发鑫裕混合C |
2.79% |
1288.84 |
1693.27 |
0.00 (-0.04%) |
8 |
003031 |
安信新目标混合C |
2.49% |
1109.51 |
1509.04 |
0.00 (-0.07%) |
9 |
270049 |
广发纯债债券C |
2.40% |
1183.44 |
1457.28 |
0.00 (-0.06%) |
10 |
013997 |
广发增强债券A |
2.32% |
1137.41 |
1405.61 |
-34.14 (-0.07%) |
季报日期: 2023-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
013449 |
广发景宁纯债C |
6.99% |
3840.15 |
4235.69 |
|
-274.15 (-0.73%) |
2 |
006998 |
广发景兴中短债A |
6.68% |
3792.47 |
4046.19 |
|
0.00 (-0.18%) |
3 |
009532 |
广发景明中短债E |
5.24% |
3083.94 |
3177.38 |
|
1600.00 (2.51%) |
4 |
004853 |
广发价值回报混合C |
4.08% |
1950.90 |
2472.76 |
|
0.00 (-0.13%) |
5 |
100050 |
富国全球债券(QDII)人民币A |
3.69% |
1777.53 |
2233.29 |
|
-1305.63 (-2.71%) |
6 |
002026 |
广发聚盛混合C |
3.62% |
1550.51 |
2193.96 |
|
0.00 (-0.03%) |
7 |
009955 |
广发鑫裕混合C |
2.79% |
1288.84 |
1693.27 |
|
0.00 (-0.04%) |
8 |
003031 |
安信新目标混合C |
2.49% |
1109.51 |
1509.04 |
|
0.00 (-0.07%) |
9 |
270049 |
广发纯债债券C |
2.40% |
1183.44 |
1457.28 |
|
0.00 (-0.06%) |
10 |
013997 |
广发增强债券A |
2.32% |
1137.41 |
1405.61 |
|
-34.14 (-0.07%) |
显示全部持仓明细>>
季报日期: 2023-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
009532 |
广发景明中短债E |
7.75% |
4683.94 |
4829.14 |
-774.63 (-1.36%) |
2 |
006998 |
广发景兴中短债A |
6.50% |
3792.47 |
4045.05 |
-397.40 (-0.75%) |
3 |
013449 |
广发景宁纯债C |
6.26% |
3566.00 |
3900.85 |
0.00 (-0.14%) |
4 |
004853 |
广发价值回报混合C |
3.95% |
1950.90 |
2461.25 |
-317.54 (-0.65%) |
5 |
002026 |
广发聚盛混合C |
3.59% |
1550.51 |
2232.73 |
0.00 (-0.13%) |
6 |
009955 |
广发鑫裕混合C |
2.75% |
1288.84 |
1710.54 |
200.00 (0.43%) |
7 |
010568 |
海富通惠睿精选混合A |
2.71% |
1538.83 |
1684.87 |
0.00 (-0.01%) |
8 |
003031 |
安信新目标混合C |
2.42% |
1109.51 |
1504.60 |
0.00 (0.00%) |
9 |
270049 |
广发纯债债券C |
2.34% |
1183.44 |
1456.81 |
新增 |
10 |
013997 |
广发增强债券A |
2.25% |
1103.27 |
1401.93 |
0.00 (-0.05%) |
季报日期: 2023-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
009532 |
广发景明中短债E |
7.75% |
4683.94 |
4829.14 |
|
-774.63 (-1.36%) |
2 |
006998 |
广发景兴中短债A |
6.50% |
3792.47 |
4045.05 |
|
-397.40 (-0.75%) |
3 |
013449 |
广发景宁纯债C |
6.26% |
3566.00 |
3900.85 |
|
0.00 (-0.14%) |
4 |
004853 |
广发价值回报混合C |
3.95% |
1950.90 |
2461.25 |
|
-317.54 (-0.65%) |
5 |
002026 |
广发聚盛混合C |
3.59% |
1550.51 |
2232.73 |
|
0.00 (-0.13%) |
6 |
009955 |
广发鑫裕混合C |
2.75% |
1288.84 |
1710.54 |
|
200.00 (0.43%) |
7 |
010568 |
海富通惠睿精选混合A |
2.71% |
1538.83 |
1684.87 |
|
0.00 (-0.01%) |
8 |
003031 |
安信新目标混合C |
2.42% |
1109.51 |
1504.60 |
|
0.00 (0.00%) |
9 |
270049 |
广发纯债债券C |
2.34% |
1183.44 |
1456.81 |
|
新增 |
10 |
013997 |
广发增强债券A |
2.25% |
1103.27 |
1401.93 |
|
0.00 (-0.05%) |
显示全部持仓明细>>
季报日期: 2023-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
009532 |
广发景明中短债E |
6.39% |
3909.30 |
4014.86 |
-3713.53 (-5.48%) |
2 |
013449 |
广发景宁纯债C |
6.12% |
3566.00 |
3843.08 |
-3320.50 (-4.94%) |
3 |
006998 |
广发景兴中短债A |
5.75% |
3395.07 |
3611.00 |
新增 |
4 |
002026 |
广发聚盛混合C |
3.46% |
1550.51 |
2176.91 |
新增 |
5 |
004853 |
广发价值回报混合C |
3.30% |
1633.36 |
2071.76 |
-1106.43 (-0.30%) |
6 |
009955 |
广发鑫裕混合C |
3.18% |
1488.84 |
1997.57 |
新增 |
7 |
010568 |
海富通惠睿精选混合A |
2.70% |
1538.83 |
1696.71 |
新增 |
8 |
003031 |
安信新目标混合C |
2.42% |
1109.51 |
1518.14 |
-664.51 (0.30%) |
9 |
013997 |
广发增强债券A |
2.20% |
1103.27 |
1384.83 |
-479.62 (1.32%) |
10 |
003030 |
安信新目标混合A |
1.91% |
853.01 |
1198.73 |
新增 |
季报日期: 2023-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
009532 |
广发景明中短债E |
6.39% |
3909.30 |
4014.86 |
|
-3713.53 (-5.48%) |
2 |
013449 |
广发景宁纯债C |
6.12% |
3566.00 |
3843.08 |
|
-3320.50 (-4.94%) |
3 |
006998 |
广发景兴中短债A |
5.75% |
3395.07 |
3611.00 |
|
新增 |
4 |
002026 |
广发聚盛混合C |
3.46% |
1550.51 |
2176.91 |
|
新增 |
5 |
004853 |
广发价值回报混合C |
3.30% |
1633.36 |
2071.76 |
|
-1106.43 (-0.30%) |
6 |
009955 |
广发鑫裕混合C |
3.18% |
1488.84 |
1997.57 |
|
新增 |
7 |
010568 |
海富通惠睿精选混合A |
2.70% |
1538.83 |
1696.71 |
|
新增 |
8 |
003031 |
安信新目标混合C |
2.42% |
1109.51 |
1518.14 |
|
-664.51 (0.30%) |
9 |
013997 |
广发增强债券A |
2.20% |
1103.27 |
1384.83 |
|
-479.62 (1.32%) |
10 |
003030 |
安信新目标混合A |
1.91% |
853.01 |
1198.73 |
|
新增 |
显示全部持仓明细>>
季报日期: 2022-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
100058 |
富国产业债债券A |
5.18% |
959.61 |
1134.45 |
0.00 (-0.40%) |
2 |
008383 |
招商安心收益债券A |
4.92% |
609.99 |
1076.70 |
0.00 (-0.36%) |
3 |
005624 |
广发中债1-3年农发债指数C |
4.38% |
896.57 |
959.51 |
新增 |
4 |
100018 |
富国天利增长债券A |
3.80% |
639.87 |
832.54 |
-25.53 (-0.27%) |
5 |
013997 |
广发增强债券A |
3.52% |
623.66 |
771.65 |
200.00 (0.79%) |
6 |
006592 |
广发景明中短债C |
3.47% |
745.12 |
760.17 |
44.61 (-0.06%) |
7 |
006870 |
广发景和中短债A |
3.29% |
708.38 |
720.35 |
新增 |
8 |
004853 |
广发价值回报混合C |
3.00% |
526.93 |
656.51 |
新增 |
9 |
004127 |
鹏华丰康债券A |
2.79% |
548.17 |
612.03 |
500.00 (2.20%) |
10 |
003031 |
安信新目标混合C |
2.72% |
445.00 |
595.81 |
365.15 (2.05%) |
季报日期: 2022-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
100058 |
富国产业债债券A |
5.18% |
959.61 |
1134.45 |
|
0.00 (-0.40%) |
2 |
008383 |
招商安心收益债券A |
4.92% |
609.99 |
1076.70 |
|
0.00 (-0.36%) |
3 |
005624 |
广发中债1-3年农发债指数C |
4.38% |
896.57 |
959.51 |
|
新增 |
4 |
100018 |
富国天利增长债券A |
3.80% |
639.87 |
832.54 |
|
-25.53 (-0.27%) |
5 |
013997 |
广发增强债券A |
3.52% |
623.66 |
771.65 |
|
200.00 (0.79%) |
6 |
006592 |
广发景明中短债C |
3.47% |
745.12 |
760.17 |
|
44.61 (-0.06%) |
7 |
006870 |
广发景和中短债A |
3.29% |
708.38 |
720.35 |
|
新增 |
8 |
004853 |
广发价值回报混合C |
3.00% |
526.93 |
656.51 |
|
新增 |
9 |
004127 |
鹏华丰康债券A |
2.79% |
548.17 |
612.03 |
|
500.00 (2.20%) |
10 |
003031 |
安信新目标混合C |
2.72% |
445.00 |
595.81 |
|
365.15 (2.05%) |
显示全部持仓明细>>
季报日期: 2022-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
4.99% |
1048.17 |
1191.55 |
0.00 (-0.81%) |
2 |
100058 |
富国产业债债券A |
4.78% |
959.61 |
1141.64 |
0.00 (-0.82%) |
3 |
003031 |
安信新目标混合C |
4.77% |
810.15 |
1139.23 |
0.00 (-0.69%) |
4 |
002120 |
广发安悦回报混合A |
4.73% |
1010.88 |
1129.26 |
0.00 (-0.77%) |
5 |
008383 |
招商安心收益债券A |
4.56% |
609.99 |
1088.04 |
0.00 (-0.80%) |
6 |
519782 |
交银裕隆纯债债券A |
4.44% |
816.58 |
1061.07 |
0.00 (-0.76%) |
7 |
013997 |
广发增强债券A |
4.31% |
823.66 |
1029.32 |
0.00 (-0.72%) |
8 |
100018 |
富国天利增长债券A |
3.53% |
614.35 |
843.01 |
150.00 (0.11%) |
9 |
006592 |
广发景明中短债C |
3.41% |
789.73 |
813.90 |
-5.28 (-0.58%) |
10 |
001803 |
易方达瑞财混合E |
2.85% |
648.02 |
680.43 |
240.00 (0.46%) |
季报日期: 2022-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
4.99% |
1048.17 |
1191.55 |
|
0.00 (-0.81%) |
2 |
100058 |
富国产业债债券A |
4.78% |
959.61 |
1141.64 |
|
0.00 (-0.82%) |
3 |
003031 |
安信新目标混合C |
4.77% |
810.15 |
1139.23 |
|
0.00 (-0.69%) |
4 |
002120 |
广发安悦回报混合A |
4.73% |
1010.88 |
1129.26 |
|
0.00 (-0.77%) |
5 |
008383 |
招商安心收益债券A |
4.56% |
609.99 |
1088.04 |
|
0.00 (-0.80%) |
6 |
519782 |
交银裕隆纯债债券A |
4.44% |
816.58 |
1061.07 |
|
0.00 (-0.76%) |
7 |
013997 |
广发增强债券A |
4.31% |
823.66 |
1029.32 |
|
0.00 (-0.72%) |
8 |
100018 |
富国天利增长债券A |
3.53% |
614.35 |
843.01 |
|
150.00 (0.11%) |
9 |
006592 |
广发景明中短债C |
3.41% |
789.73 |
813.90 |
|
-5.28 (-0.58%) |
10 |
001803 |
易方达瑞财混合E |
2.85% |
648.02 |
680.43 |
|
240.00 (0.46%) |
显示全部持仓明细>>
季报日期: 2022-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
4.18% |
1048.17 |
1191.76 |
0.00 (-0.18%) |
2 |
003031 |
安信新目标混合C |
4.08% |
810.15 |
1164.50 |
0.00 (-0.24%) |
3 |
002120 |
广发安悦回报混合A |
3.96% |
1010.88 |
1129.56 |
0.00 (-0.19%) |
4 |
100058 |
富国产业债债券A |
3.96% |
959.61 |
1130.99 |
-16.03 (-0.21%) |
5 |
008383 |
招商安心收益债券A |
3.76% |
609.99 |
1072.92 |
0.00 (-0.20%) |
6 |
519782 |
交银裕隆纯债债券A |
3.68% |
816.58 |
1048.90 |
0.00 (-0.21%) |
7 |
100018 |
富国天利增长债券A |
3.64% |
764.35 |
1039.36 |
0.00 (-0.19%) |
8 |
013997 |
广发增强债券A |
3.59% |
823.66 |
1023.80 |
0.00 (-0.20%) |
9 |
002118 |
广发安盈混合A |
3.51% |
653.59 |
1001.96 |
新增 |
10 |
001803 |
易方达瑞财混合E |
3.31% |
888.02 |
943.97 |
新增 |
季报日期: 2022-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
4.18% |
1048.17 |
1191.76 |
|
0.00 (-0.18%) |
2 |
003031 |
安信新目标混合C |
4.08% |
810.15 |
1164.50 |
|
0.00 (-0.24%) |
3 |
002120 |
广发安悦回报混合A |
3.96% |
1010.88 |
1129.56 |
|
0.00 (-0.19%) |
4 |
100058 |
富国产业债债券A |
3.96% |
959.61 |
1130.99 |
|
-16.03 (-0.21%) |
5 |
008383 |
招商安心收益债券A |
3.76% |
609.99 |
1072.92 |
|
0.00 (-0.20%) |
6 |
519782 |
交银裕隆纯债债券A |
3.68% |
816.58 |
1048.90 |
|
0.00 (-0.21%) |
7 |
100018 |
富国天利增长债券A |
3.64% |
764.35 |
1039.36 |
|
0.00 (-0.19%) |
8 |
013997 |
广发增强债券A |
3.59% |
823.66 |
1023.80 |
|
0.00 (-0.20%) |
9 |
002118 |
广发安盈混合A |
3.51% |
653.59 |
1001.96 |
|
新增 |
10 |
001803 |
易方达瑞财混合E |
3.31% |
888.02 |
943.97 |
|
新增 |
显示全部持仓明细>>
季报日期: 2022-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
217011 |
招商安心收益债券C |
4.21% |
726.11 |
1253.26 |
400.00 (0.23%) |
2 |
004127 |
鹏华丰康债券A |
4.00% |
1048.17 |
1191.14 |
800.00 (0.80%) |
3 |
003031 |
安信新目标混合C |
3.84% |
810.15 |
1141.33 |
0.00 (-1.21%) |
4 |
002120 |
广发安悦回报混合A |
3.77% |
1010.88 |
1120.36 |
0.00 (-1.17%) |
5 |
100058 |
富国产业债债券A |
3.75% |
943.58 |
1117.01 |
0.00 (-1.20%) |
6 |
008383 |
招商安心收益债券A |
3.56% |
609.99 |
1060.29 |
0.00 (-1.14%) |
7 |
004406 |
国寿安保稳寿混合C |
3.48% |
862.96 |
1034.95 |
0.00 (-1.03%) |
8 |
519782 |
交银裕隆纯债债券A |
3.47% |
816.58 |
1033.63 |
0.00 (-1.11%) |
9 |
100018 |
富国天利增长债券A |
3.45% |
764.35 |
1025.76 |
-22.09 (-1.10%) |
10 |
013997 |
广发增强债券A |
3.39% |
823.66 |
1008.90 |
0.00 (-1.07%) |
季报日期: 2022-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
217011 |
招商安心收益债券C |
4.21% |
726.11 |
1253.26 |
|
400.00 (0.23%) |
2 |
004127 |
鹏华丰康债券A |
4.00% |
1048.17 |
1191.14 |
|
800.00 (0.80%) |
3 |
003031 |
安信新目标混合C |
3.84% |
810.15 |
1141.33 |
|
0.00 (-1.21%) |
4 |
002120 |
广发安悦回报混合A |
3.77% |
1010.88 |
1120.36 |
|
0.00 (-1.17%) |
5 |
100058 |
富国产业债债券A |
3.75% |
943.58 |
1117.01 |
|
0.00 (-1.20%) |
6 |
008383 |
招商安心收益债券A |
3.56% |
609.99 |
1060.29 |
|
0.00 (-1.14%) |
7 |
004406 |
国寿安保稳寿混合C |
3.48% |
862.96 |
1034.95 |
|
0.00 (-1.03%) |
8 |
519782 |
交银裕隆纯债债券A |
3.47% |
816.58 |
1033.63 |
|
0.00 (-1.11%) |
9 |
100018 |
富国天利增长债券A |
3.45% |
764.35 |
1025.76 |
|
-22.09 (-1.10%) |
10 |
013997 |
广发增强债券A |
3.39% |
823.66 |
1008.90 |
|
0.00 (-1.07%) |
显示全部持仓明细>>
季报日期: 2021-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
4.80% |
1848.17 |
2087.32 |
0.00 (-0.02%) |
2 |
519752 |
交银新回报灵活配置混合A |
4.75% |
1333.20 |
2065.13 |
新增 |
3 |
000762 |
汇添富绝对收益定开混合A |
4.67% |
1449.27 |
2031.88 |
0.00 (0.03%) |
4 |
217011 |
招商安心收益债券C |
4.44% |
1126.11 |
1931.38 |
0.00 (-0.07%) |
5 |
270048 |
广发纯债债券A |
4.21% |
1499.04 |
1830.33 |
-14.85 (-0.07%) |
6 |
001115 |
广发聚安混合A |
3.29% |
1029.30 |
1429.70 |
0.00 (-0.07%) |
7 |
004280 |
国寿安保稳荣混合C |
2.80% |
1019.99 |
1219.50 |
0.00 (0.07%) |
8 |
003031 |
安信新目标混合C |
2.63% |
810.15 |
1145.30 |
新增 |
9 |
002120 |
广发安悦回报混合A |
2.60% |
1010.88 |
1131.28 |
0.00 (0.07%) |
10 |
100058 |
富国产业债债券A |
2.55% |
943.58 |
1110.59 |
0.00 (-0.03%) |
季报日期: 2021-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
4.80% |
1848.17 |
2087.32 |
|
0.00 (-0.02%) |
2 |
519752 |
交银新回报灵活配置混合A |
4.75% |
1333.20 |
2065.13 |
|
新增 |
3 |
000762 |
汇添富绝对收益定开混合A |
4.67% |
1449.27 |
2031.88 |
|
0.00 (0.03%) |
4 |
217011 |
招商安心收益债券C |
4.44% |
1126.11 |
1931.38 |
|
0.00 (-0.07%) |
5 |
270048 |
广发纯债债券A |
4.21% |
1499.04 |
1830.33 |
|
-14.85 (-0.07%) |
6 |
001115 |
广发聚安混合A |
3.29% |
1029.30 |
1429.70 |
|
0.00 (-0.07%) |
7 |
004280 |
国寿安保稳荣混合C |
2.80% |
1019.99 |
1219.50 |
|
0.00 (0.07%) |
8 |
003031 |
安信新目标混合C |
2.63% |
810.15 |
1145.30 |
|
新增 |
9 |
002120 |
广发安悦回报混合A |
2.60% |
1010.88 |
1131.28 |
|
0.00 (0.07%) |
10 |
100058 |
富国产业债债券A |
2.55% |
943.58 |
1110.59 |
|
0.00 (-0.03%) |
显示全部持仓明细>>
季报日期: 2021-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
4.78% |
1848.17 |
2081.96 |
0.00 (0.63%) |
2 |
000762 |
汇添富绝对收益定开混合A |
4.70% |
1449.27 |
2046.38 |
0.00 (0.83%) |
3 |
001338 |
安信稳健增值混合C |
4.67% |
1362.40 |
2033.11 |
-670.60 (-2.02%) |
4 |
217003 |
招商安泰债券A |
4.59% |
1602.00 |
1998.82 |
新增 |
5 |
217011 |
招商安心收益债券C |
4.37% |
1126.11 |
1904.81 |
0.00 (0.59%) |
6 |
270048 |
广发纯债债券A |
4.14% |
1484.18 |
1801.80 |
-901.36 (-2.29%) |
7 |
001115 |
广发聚安混合A |
3.22% |
1029.30 |
1402.93 |
0.00 (0.49%) |
8 |
004280 |
国寿安保稳荣混合C |
2.87% |
1019.99 |
1248.06 |
0.00 (0.39%) |
9 |
002120 |
广发安悦回报混合A |
2.67% |
1010.88 |
1161.91 |
新增 |
10 |
100058 |
富国产业债债券A |
2.52% |
943.58 |
1097.10 |
0.00 (0.34%) |
季报日期: 2021-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
4.78% |
1848.17 |
2081.96 |
|
0.00 (0.63%) |
2 |
000762 |
汇添富绝对收益定开混合A |
4.70% |
1449.27 |
2046.38 |
|
0.00 (0.83%) |
3 |
001338 |
安信稳健增值混合C |
4.67% |
1362.40 |
2033.11 |
|
-670.60 (-2.02%) |
4 |
217003 |
招商安泰债券A |
4.59% |
1602.00 |
1998.82 |
|
新增 |
5 |
217011 |
招商安心收益债券C |
4.37% |
1126.11 |
1904.81 |
|
0.00 (0.59%) |
6 |
270048 |
广发纯债债券A |
4.14% |
1484.18 |
1801.80 |
|
-901.36 (-2.29%) |
7 |
001115 |
广发聚安混合A |
3.22% |
1029.30 |
1402.93 |
|
0.00 (0.49%) |
8 |
004280 |
国寿安保稳荣混合C |
2.87% |
1019.99 |
1248.06 |
|
0.00 (0.39%) |
9 |
002120 |
广发安悦回报混合A |
2.67% |
1010.88 |
1161.91 |
|
新增 |
10 |
100058 |
富国产业债债券A |
2.52% |
943.58 |
1097.10 |
|
0.00 (0.34%) |
显示全部持仓明细>>
季报日期: 2021-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
000762 |
汇添富绝对收益定开混合A |
5.53% |
1449.27 |
2092.75 |
0.00 (0.34%) |
2 |
004127 |
鹏华丰康债券A |
5.41% |
1848.17 |
2047.03 |
0.00 (0.49%) |
3 |
217011 |
招商安心收益债券C |
4.96% |
1126.11 |
1876.99 |
0.00 (0.44%) |
4 |
008795 |
海富通阿尔法对冲混合C |
4.78% |
1553.19 |
1811.02 |
0.00 (0.52%) |
5 |
968000 |
摩根亚洲总收益人民币 |
4.01% |
111.02 |
1516.49 |
0.00 (0.38%) |
6 |
000065 |
国富焦点驱动混合A |
3.94% |
736.02 |
1489.70 |
新增 |
7 |
006591 |
广发景明中短债A |
3.81% |
1396.10 |
1440.21 |
新增 |
8 |
001115 |
广发聚安混合A |
3.71% |
1029.30 |
1406.02 |
0.00 (0.35%) |
9 |
001763 |
广发多策略混合 |
3.41% |
736.90 |
1289.57 |
0.00 (0.11%) |
10 |
004280 |
国寿安保稳荣混合C |
3.26% |
1019.99 |
1233.07 |
0.00 (0.27%) |
季报日期: 2021-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
000762 |
汇添富绝对收益定开混合A |
5.53% |
1449.27 |
2092.75 |
|
0.00 (0.34%) |
2 |
004127 |
鹏华丰康债券A |
5.41% |
1848.17 |
2047.03 |
|
0.00 (0.49%) |
3 |
217011 |
招商安心收益债券C |
4.96% |
1126.11 |
1876.99 |
|
0.00 (0.44%) |
4 |
008795 |
海富通阿尔法对冲混合C |
4.78% |
1553.19 |
1811.02 |
|
0.00 (0.52%) |
5 |
968000 |
摩根亚洲总收益人民币 |
4.01% |
111.02 |
1516.49 |
|
0.00 (0.38%) |
6 |
000065 |
国富焦点驱动混合A |
3.94% |
736.02 |
1489.70 |
|
新增 |
7 |
006591 |
广发景明中短债A |
3.81% |
1396.10 |
1440.21 |
|
新增 |
8 |
001115 |
广发聚安混合A |
3.71% |
1029.30 |
1406.02 |
|
0.00 (0.35%) |
9 |
001763 |
广发多策略混合 |
3.41% |
736.90 |
1289.57 |
|
0.00 (0.11%) |
10 |
004280 |
国寿安保稳荣混合C |
3.26% |
1019.99 |
1233.07 |
|
0.00 (0.27%) |
显示全部持仓明细>>
季报日期: 2021-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
5.90% |
1848.17 |
2020.23 |
0.00 (-0.55%) |
2 |
000762 |
汇添富绝对收益定开混合A |
5.87% |
1449.27 |
2008.69 |
0.00 (-0.45%) |
3 |
217011 |
招商安心收益债券C |
5.40% |
1126.11 |
1849.85 |
0.00 (-0.52%) |
4 |
008795 |
海富通阿尔法对冲混合C |
5.30% |
1553.19 |
1815.68 |
-2.90 (-0.51%) |
5 |
968000 |
摩根亚洲总收益人民币 |
4.39% |
111.02 |
1502.06 |
0.00 (-0.34%) |
6 |
000992 |
广发套利 |
4.13% |
1035.38 |
1415.37 |
-267.73 (-1.32%) |
7 |
001115 |
广发聚安混合A |
4.06% |
1029.30 |
1389.55 |
746.00 (2.25%) |
8 |
004280 |
国寿安保稳荣混合C |
3.53% |
1019.99 |
1209.71 |
0.00 (-0.33%) |
9 |
001763 |
广发多策略混合 |
3.52% |
736.90 |
1206.30 |
-380.32 (-2.18%) |
10 |
002134 |
广发鑫裕混合A |
3.36% |
736.78 |
1150.86 |
0.00 (-0.32%) |
季报日期: 2021-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
004127 |
鹏华丰康债券A |
5.90% |
1848.17 |
2020.23 |
|
0.00 (-0.55%) |
2 |
000762 |
汇添富绝对收益定开混合A |
5.87% |
1449.27 |
2008.69 |
|
0.00 (-0.45%) |
3 |
217011 |
招商安心收益债券C |
5.40% |
1126.11 |
1849.85 |
|
0.00 (-0.52%) |
4 |
008795 |
海富通阿尔法对冲混合C |
5.30% |
1553.19 |
1815.68 |
|
-2.90 (-0.51%) |
5 |
968000 |
摩根亚洲总收益人民币 |
4.39% |
111.02 |
1502.06 |
|
0.00 (-0.34%) |
6 |
000992 |
广发套利 |
4.13% |
1035.38 |
1415.37 |
|
-267.73 (-1.32%) |
7 |
001115 |
广发聚安混合A |
4.06% |
1029.30 |
1389.55 |
|
746.00 (2.25%) |
8 |
004280 |
国寿安保稳荣混合C |
3.53% |
1019.99 |
1209.71 |
|
0.00 (-0.33%) |
9 |
001763 |
广发多策略混合 |
3.52% |
736.90 |
1206.30 |
|
-380.32 (-2.18%) |
10 |
002134 |
广发鑫裕混合A |
3.36% |
736.78 |
1150.86 |
|
0.00 (-0.32%) |
显示全部持仓明细>>
季报日期: 2020-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
001115 |
广发聚安混合A |
6.31% |
1775.30 |
2355.82 |
0.00 (1.36%) |
2 |
000762 |
汇添富绝对收益定开混合A |
5.42% |
1449.27 |
2024.64 |
新增 |
3 |
004127 |
鹏华丰康债券A |
5.35% |
1848.17 |
1998.98 |
0.00 (1.32%) |
4 |
000171 |
易方达裕丰回报债券A |
5.06% |
914.82 |
1888.19 |
0.00 (0.92%) |
5 |
217011 |
招商安心收益债券C |
4.88% |
1126.11 |
1821.93 |
0.00 (1.13%) |
6 |
008795 |
海富通阿尔法对冲混合C |
4.79% |
1550.29 |
1787.49 |
0.00 (1.19%) |
7 |
968000 |
摩根亚洲总收益人民币 |
4.05% |
111.02 |
1510.94 |
新增 |
8 |
000753 |
华宝量化对冲混合A |
3.98% |
1263.15 |
1485.34 |
新增 |
9 |
004280 |
国寿安保稳荣混合C |
3.20% |
1019.99 |
1194.61 |
0.00 (0.59%) |
10 |
002134 |
广发鑫裕混合A |
3.04% |
736.78 |
1134.57 |
新增 |
季报日期: 2020-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
001115 |
广发聚安混合A |
6.31% |
1775.30 |
2355.82 |
|
0.00 (1.36%) |
2 |
000762 |
汇添富绝对收益定开混合A |
5.42% |
1449.27 |
2024.64 |
|
新增 |
3 |
004127 |
鹏华丰康债券A |
5.35% |
1848.17 |
1998.98 |
|
0.00 (1.32%) |
4 |
000171 |
易方达裕丰回报债券A |
5.06% |
914.82 |
1888.19 |
|
0.00 (0.92%) |
5 |
217011 |
招商安心收益债券C |
4.88% |
1126.11 |
1821.93 |
|
0.00 (1.13%) |
6 |
008795 |
海富通阿尔法对冲混合C |
4.79% |
1550.29 |
1787.49 |
|
0.00 (1.19%) |
7 |
968000 |
摩根亚洲总收益人民币 |
4.05% |
111.02 |
1510.94 |
|
新增 |
8 |
000753 |
华宝量化对冲混合A |
3.98% |
1263.15 |
1485.34 |
|
新增 |
9 |
004280 |
国寿安保稳荣混合C |
3.20% |
1019.99 |
1194.61 |
|
0.00 (0.59%) |
10 |
002134 |
广发鑫裕混合A |
3.04% |
736.78 |
1134.57 |
|
新增 |
显示全部持仓明细>>
季报日期: 2020-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
001115 |
广发聚安混合A |
7.67% |
1775.30 |
2304.34 |
-564.31 (-2.52%) |
2 |
004127 |
鹏华丰康债券A |
6.67% |
1848.17 |
2004.89 |
0.00 (0.11%) |
3 |
270044 |
广发双债添利债券A |
6.61% |
1677.52 |
1984.34 |
141.98 (0.80%) |
4 |
217011 |
招商安心收益债券C |
6.01% |
1126.11 |
1804.58 |
0.00 (0.09%) |
5 |
000171 |
易方达裕丰回报债券A |
5.98% |
914.82 |
1796.71 |
0.00 (-0.11%) |
6 |
008795 |
海富通阿尔法对冲混合C |
5.98% |
1550.29 |
1796.79 |
新增 |
7 |
004280 |
国寿安保稳荣混合C |
3.79% |
1019.99 |
1138.00 |
新增 |
8 |
100058 |
富国产业债债券A |
3.49% |
943.58 |
1049.45 |
1000.00 (3.79%) |
9 |
002494 |
兴业聚盈混合A |
3.46% |
777.53 |
1039.55 |
0.00 (-0.06%) |
10 |
003109 |
光大保德信安和债券A |
3.44% |
932.66 |
1033.20 |
0.00 (-0.03%) |
季报日期: 2020-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
001115 |
广发聚安混合A |
7.67% |
1775.30 |
2304.34 |
|
-564.31 (-2.52%) |
2 |
004127 |
鹏华丰康债券A |
6.67% |
1848.17 |
2004.89 |
|
0.00 (0.11%) |
3 |
270044 |
广发双债添利债券A |
6.61% |
1677.52 |
1984.34 |
|
141.98 (0.80%) |
4 |
217011 |
招商安心收益债券C |
6.01% |
1126.11 |
1804.58 |
|
0.00 (0.09%) |
5 |
000171 |
易方达裕丰回报债券A |
5.98% |
914.82 |
1796.71 |
|
0.00 (-0.11%) |
6 |
008795 |
海富通阿尔法对冲混合C |
5.98% |
1550.29 |
1796.79 |
|
新增 |
7 |
004280 |
国寿安保稳荣混合C |
3.79% |
1019.99 |
1138.00 |
|
新增 |
8 |
100058 |
富国产业债债券A |
3.49% |
943.58 |
1049.45 |
|
1000.00 (3.79%) |
9 |
002494 |
兴业聚盈混合A |
3.46% |
777.53 |
1039.55 |
|
0.00 (-0.06%) |
10 |
003109 |
光大保德信安和债券A |
3.44% |
932.66 |
1033.20 |
|
0.00 (-0.03%) |
显示全部持仓明细>>
季报日期: 2020-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
270044 |
广发双债添利债券A |
7.41% |
1819.50 |
2184.67 |
-20.82 (-0.37%) |
2 |
100058 |
富国产业债债券A |
7.28% |
1943.58 |
2146.30 |
0.00 (-0.38%) |
3 |
004127 |
鹏华丰康债券A |
6.78% |
1848.17 |
1999.53 |
新增 |
4 |
217011 |
招商安心收益债券C |
6.10% |
1126.11 |
1798.17 |
0.00 (-0.32%) |
5 |
000171 |
易方达裕丰回报债券A |
5.87% |
914.82 |
1731.76 |
0.00 (-0.46%) |
6 |
001115 |
广发聚安混合A |
5.15% |
1210.98 |
1519.79 |
新增 |
7 |
003109 |
光大保德信安和债券A |
3.41% |
932.66 |
1006.62 |
新增 |
8 |
002494 |
兴业聚盈混合A |
3.40% |
777.53 |
1003.79 |
新增 |
9 |
001443 |
易方达瑞选混合I |
2.73% |
588.02 |
803.83 |
新增 |
10 |
163415 |
兴全商业模式优选混合(LOF) |
2.48% |
264.66 |
732.83 |
新增 |
季报日期: 2020-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
270044 |
广发双债添利债券A |
7.41% |
1819.50 |
2184.67 |
|
-20.82 (-0.37%) |
2 |
100058 |
富国产业债债券A |
7.28% |
1943.58 |
2146.30 |
|
0.00 (-0.38%) |
3 |
004127 |
鹏华丰康债券A |
6.78% |
1848.17 |
1999.53 |
|
新增 |
4 |
217011 |
招商安心收益债券C |
6.10% |
1126.11 |
1798.17 |
|
0.00 (-0.32%) |
5 |
000171 |
易方达裕丰回报债券A |
5.87% |
914.82 |
1731.76 |
|
0.00 (-0.46%) |
6 |
001115 |
广发聚安混合A |
5.15% |
1210.98 |
1519.79 |
|
新增 |
7 |
003109 |
光大保德信安和债券A |
3.41% |
932.66 |
1006.62 |
|
新增 |
8 |
002494 |
兴业聚盈混合A |
3.40% |
777.53 |
1003.79 |
|
新增 |
9 |
001443 |
易方达瑞选混合I |
2.73% |
588.02 |
803.83 |
|
新增 |
10 |
163415 |
兴全商业模式优选混合(LOF) |
2.48% |
264.66 |
732.83 |
|
新增 |
显示全部持仓明细>>
季报日期: 2020-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
110008 |
易方达稳健收益债券B |
7.34% |
1746.58 |
2281.20 |
426.37 (0.37%) |
2 |
270044 |
广发双债添利债券A |
7.04% |
1798.68 |
2186.29 |
-23.77 (-1.38%) |
3 |
100058 |
富国产业债债券A |
6.90% |
1943.58 |
2144.74 |
300.00 (-0.47%) |
4 |
217011 |
招商安心收益债券C |
5.78% |
1126.11 |
1796.70 |
0.00 (-1.13%) |
5 |
000147 |
易方达高等级信用债债券A |
5.46% |
1488.47 |
1695.36 |
174.11 (-0.48%) |
6 |
000171 |
易方达裕丰回报债券A |
5.41% |
914.82 |
1681.44 |
100.00 (-0.49%) |
7 |
485111 |
工银双利债券A |
5.38% |
1056.64 |
1671.61 |
0.00 (-1.00%) |
8 |
005852 |
中银添利债券发起C |
4.91% |
1141.48 |
1526.15 |
0.00 (-0.92%) |
9 |
001710 |
安信新趋势混合A |
3.38% |
1003.66 |
1050.83 |
0.00 (-0.61%) |
10 |
000992 |
广发套利 |
3.33% |
794.24 |
1035.69 |
0.00 (-0.64%) |
季报日期: 2020-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
110008 |
易方达稳健收益债券B |
7.34% |
1746.58 |
2281.20 |
|
426.37 (0.37%) |
2 |
270044 |
广发双债添利债券A |
7.04% |
1798.68 |
2186.29 |
|
-23.77 (-1.38%) |
3 |
100058 |
富国产业债债券A |
6.90% |
1943.58 |
2144.74 |
|
300.00 (-0.47%) |
4 |
217011 |
招商安心收益债券C |
5.78% |
1126.11 |
1796.70 |
|
0.00 (-1.13%) |
5 |
000147 |
易方达高等级信用债债券A |
5.46% |
1488.47 |
1695.36 |
|
174.11 (-0.48%) |
6 |
000171 |
易方达裕丰回报债券A |
5.41% |
914.82 |
1681.44 |
|
100.00 (-0.49%) |
7 |
485111 |
工银双利债券A |
5.38% |
1056.64 |
1671.61 |
|
0.00 (-1.00%) |
8 |
005852 |
中银添利债券发起C |
4.91% |
1141.48 |
1526.15 |
|
0.00 (-0.92%) |
9 |
001710 |
安信新趋势混合A |
3.38% |
1003.66 |
1050.83 |
|
0.00 (-0.61%) |
10 |
000992 |
广发套利 |
3.33% |
794.24 |
1035.69 |
|
0.00 (-0.64%) |
显示全部持仓明细>>
季报日期: 2019-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
110008 |
易方达稳健收益债券B |
7.71% |
2172.94 |
2913.70 |
451.68 (-1.90%) |
2 |
100058 |
富国产业债债券A |
6.43% |
2243.58 |
2431.59 |
200.00 (-2.12%) |
3 |
270044 |
广发双债添利债券A |
5.66% |
1774.90 |
2138.58 |
374.31 (-1.40%) |
4 |
110017 |
易方达增强回报债券A |
5.57% |
1627.61 |
2107.76 |
289.92 (-1.38%) |
5 |
000024 |
大摩双利增强债券A |
5.00% |
1560.02 |
1890.74 |
170.00 (-1.61%) |
6 |
000147 |
易方达高等级信用债债券A |
4.98% |
1662.58 |
1882.04 |
135.14 (-1.58%) |
7 |
000171 |
易方达裕丰回报债券A |
4.92% |
1014.82 |
1861.18 |
200.00 (-1.36%) |
8 |
217011 |
招商安心收益债券C |
4.65% |
1126.11 |
1759.43 |
新增 |
9 |
485111 |
工银双利债券A |
4.38% |
1056.64 |
1655.76 |
250.00 (-1.05%) |
10 |
005852 |
中银添利债券发起C |
3.99% |
1141.48 |
1506.75 |
新增 |
季报日期: 2019-12-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
110008 |
易方达稳健收益债券B |
7.71% |
2172.94 |
2913.70 |
|
451.68 (-1.90%) |
2 |
100058 |
富国产业债债券A |
6.43% |
2243.58 |
2431.59 |
|
200.00 (-2.12%) |
3 |
270044 |
广发双债添利债券A |
5.66% |
1774.90 |
2138.58 |
|
374.31 (-1.40%) |
4 |
110017 |
易方达增强回报债券A |
5.57% |
1627.61 |
2107.76 |
|
289.92 (-1.38%) |
5 |
000024 |
大摩双利增强债券A |
5.00% |
1560.02 |
1890.74 |
|
170.00 (-1.61%) |
6 |
000147 |
易方达高等级信用债债券A |
4.98% |
1662.58 |
1882.04 |
|
135.14 (-1.58%) |
7 |
000171 |
易方达裕丰回报债券A |
4.92% |
1014.82 |
1861.18 |
|
200.00 (-1.36%) |
8 |
217011 |
招商安心收益债券C |
4.65% |
1126.11 |
1759.43 |
|
新增 |
9 |
485111 |
工银双利债券A |
4.38% |
1056.64 |
1655.76 |
|
250.00 (-1.05%) |
10 |
005852 |
中银添利债券发起C |
3.99% |
1141.48 |
1506.75 |
|
新增 |
显示全部持仓明细>>
季报日期: 2019-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
110008 |
易方达稳健收益债券B |
5.81% |
2624.62 |
3531.96 |
-368.34 (-0.73%) |
2 |
100058 |
富国产业债债券A |
4.31% |
2443.58 |
2620.25 |
0.00 (0.11%) |
3 |
270044 |
广发双债添利债券A |
4.26% |
2149.22 |
2591.09 |
-28.16 (0.12%) |
4 |
380005 |
中银纯债债券A |
4.24% |
2425.61 |
2578.43 |
-27.08 (0.12%) |
5 |
110017 |
易方达增强回报债券A |
4.19% |
1917.53 |
2548.40 |
0.00 (0.08%) |
6 |
000171 |
易方达裕丰回报债券A |
3.56% |
1214.82 |
2166.03 |
0.00 (0.06%) |
7 |
000032 |
易方达信用债债券A |
3.42% |
1839.54 |
2076.84 |
-137.05 (0.08%) |
8 |
000147 |
易方达高等级信用债债券A |
3.40% |
1797.72 |
2063.78 |
-79.93 (0.07%) |
9 |
000024 |
大摩双利增强债券A |
3.39% |
1730.02 |
2056.99 |
0.00 (0.07%) |
10 |
485111 |
工银双利债券A |
3.33% |
1306.64 |
2023.99 |
-651.40 (-1.62%) |
季报日期: 2019-09-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
110008 |
易方达稳健收益债券B |
5.81% |
2624.62 |
3531.96 |
|
-368.34 (-0.73%) |
2 |
100058 |
富国产业债债券A |
4.31% |
2443.58 |
2620.25 |
|
0.00 (0.11%) |
3 |
270044 |
广发双债添利债券A |
4.26% |
2149.22 |
2591.09 |
|
-28.16 (0.12%) |
4 |
380005 |
中银纯债债券A |
4.24% |
2425.61 |
2578.43 |
|
-27.08 (0.12%) |
5 |
110017 |
易方达增强回报债券A |
4.19% |
1917.53 |
2548.40 |
|
0.00 (0.08%) |
6 |
000171 |
易方达裕丰回报债券A |
3.56% |
1214.82 |
2166.03 |
|
0.00 (0.06%) |
7 |
000032 |
易方达信用债债券A |
3.42% |
1839.54 |
2076.84 |
|
-137.05 (0.08%) |
8 |
000147 |
易方达高等级信用债债券A |
3.40% |
1797.72 |
2063.78 |
|
-79.93 (0.07%) |
9 |
000024 |
大摩双利增强债券A |
3.39% |
1730.02 |
2056.99 |
|
0.00 (0.07%) |
10 |
485111 |
工银双利债券A |
3.33% |
1306.64 |
2023.99 |
|
-651.40 (-1.62%) |
显示全部持仓明细>>
季报日期: 2019-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
070009 |
嘉实超短债债券C |
6.08% |
3377.20 |
3552.82 |
-25.92 (0.10%) |
2 |
002864 |
广发安泽短债A |
6.04% |
3315.35 |
3526.53 |
480.58 (1.02%) |
3 |
110008 |
易方达稳健收益债券B |
5.08% |
2256.29 |
2969.95 |
新增 |
4 |
100058 |
富国产业债债券A |
4.42% |
2443.58 |
2580.42 |
-89.63 (0.05%) |
5 |
270044 |
广发双债添利债券A |
4.38% |
2121.06 |
2558.00 |
-31.24 (0.06%) |
6 |
380005 |
中银纯债债券A |
4.36% |
2398.54 |
2547.25 |
-22.40 (0.06%) |
7 |
110017 |
易方达增强回报债券A |
4.27% |
1917.53 |
2494.71 |
新增 |
8 |
000171 |
易方达裕丰回报债券A |
3.62% |
1214.82 |
2112.57 |
0.00 (0.08%) |
9 |
000032 |
易方达信用债债券A |
3.50% |
1702.49 |
2046.39 |
0.00 (0.05%) |
10 |
000147 |
易方达高等级信用债债券A |
3.47% |
1717.78 |
2028.70 |
新增 |
季报日期: 2019-06-30 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
070009 |
嘉实超短债债券C |
6.08% |
3377.20 |
3552.82 |
|
-25.92 (0.10%) |
2 |
002864 |
广发安泽短债A |
6.04% |
3315.35 |
3526.53 |
|
480.58 (1.02%) |
3 |
110008 |
易方达稳健收益债券B |
5.08% |
2256.29 |
2969.95 |
|
新增 |
4 |
100058 |
富国产业债债券A |
4.42% |
2443.58 |
2580.42 |
|
-89.63 (0.05%) |
5 |
270044 |
广发双债添利债券A |
4.38% |
2121.06 |
2558.00 |
|
-31.24 (0.06%) |
6 |
380005 |
中银纯债债券A |
4.36% |
2398.54 |
2547.25 |
|
-22.40 (0.06%) |
7 |
110017 |
易方达增强回报债券A |
4.27% |
1917.53 |
2494.71 |
|
新增 |
8 |
000171 |
易方达裕丰回报债券A |
3.62% |
1214.82 |
2112.57 |
|
0.00 (0.08%) |
9 |
000032 |
易方达信用债债券A |
3.50% |
1702.49 |
2046.39 |
|
0.00 (0.05%) |
10 |
000147 |
易方达高等级信用债债券A |
3.47% |
1717.78 |
2028.70 |
|
新增 |
显示全部持仓明细>>
季报日期: 2019-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002864 |
广发安泽短债A |
7.06% |
3795.92 |
4027.09 |
0.00 (新增) |
2 |
070009 |
嘉实超短债债券C |
6.18% |
3351.29 |
3526.56 |
0.00 (新增) |
3 |
090002 |
大成债券A/B |
4.49% |
2439.71 |
2561.94 |
0.00 (新增) |
4 |
100058 |
富国产业债债券A |
4.47% |
2353.95 |
2554.04 |
0.00 (新增) |
5 |
270044 |
广发双债添利债券A |
4.44% |
2089.82 |
2537.04 |
0.00 (新增) |
6 |
380005 |
中银纯债债券A |
4.42% |
2376.14 |
2523.46 |
0.00 (新增) |
7 |
001013 |
华夏希望债券C |
4.41% |
2237.58 |
2515.04 |
0.00 (新增) |
8 |
000171 |
易方达裕丰回报债券A |
3.70% |
1214.82 |
2110.15 |
0.00 (新增) |
9 |
000032 |
易方达信用债债券A |
3.55% |
1702.49 |
2027.67 |
0.00 (新增) |
10 |
000024 |
大摩双利增强债券A |
3.54% |
1730.02 |
2022.39 |
0.00 (新增) |
季报日期: 2019-03-31 |
序号 |
基金代码 |
基金名称 |
占净值比例 |
持仓份额(万份) |
持仓市值(万元) |
持仓变动 |
1 |
002864 |
广发安泽短债A |
7.06% |
3795.92 |
4027.09 |
|
0.00 (新增) |
2 |
070009 |
嘉实超短债债券C |
6.18% |
3351.29 |
3526.56 |
|
0.00 (新增) |
3 |
090002 |
大成债券A/B |
4.49% |
2439.71 |
2561.94 |
|
0.00 (新增) |
4 |
100058 |
富国产业债债券A |
4.47% |
2353.95 |
2554.04 |
|
0.00 (新增) |
5 |
270044 |
广发双债添利债券A |
4.44% |
2089.82 |
2537.04 |
|
0.00 (新增) |
6 |
380005 |
中银纯债债券A |
4.42% |
2376.14 |
2523.46 |
|
0.00 (新增) |
7 |
001013 |
华夏希望债券C |
4.41% |
2237.58 |
2515.04 |
|
0.00 (新增) |
8 |
000171 |
易方达裕丰回报债券A |
3.70% |
1214.82 |
2110.15 |
|
0.00 (新增) |
9 |
000032 |
易方达信用债债券A |
3.55% |
1702.49 |
2027.67 |
|
0.00 (新增) |
10 |
000024 |
大摩双利增强债券A |
3.54% |
1730.02 |
2022.39 |
|
0.00 (新增) |
显示全部持仓明细>>