建信优享稳健养老目标一年持有期混合(FOF)A
(006581)公募FOF
1.0917
0.12%+0.0013
单位净值 [2025-09-24]
- 最近一月:0.78%
- 最近一季:6.06%
- 最近半年:5.94%
- 今年以来:6.49%
- 最近一年:8.92%
- 最近两年:3.11%
- 最近三年:1.99%
- 成立以来:24.59%
- 成立日期:2019-01-31
- 基金经理:刘琛 姜华 王志鹏
- 产品类型:契约型开放式
- 最新份额:8.15亿
- 申购状态:可以申购
- 最新规模:6.35亿元
- 投资风格:
- 管理公司:建信
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 |
968103 |
汇丰亚洲债券BC类-人民币 |
13.61% |
883.29 |
8557.14 |
30.00 (-0.94%) |
2 |
003358 |
易方达中债7-10年期国开行债券指数A |
11.86% |
5633.08 |
7460.45 |
新增 |
3 |
531021 |
建信纯债债券C |
11.05% |
4400.00 |
6947.60 |
1700.00 (2.91%) |
4 |
006989 |
建信中短债纯债债券A |
8.39% |
5000.00 |
5277.50 |
500.00 (0.14%) |
5 |
968081 |
汇丰亚洲高入息债券BC类-人民币 |
7.85% |
512.70 |
4939.50 |
-328.20 (-5.33%) |
6 |
100050 |
富国全球债券(QDII)人民币A |
4.78% |
2393.30 |
3003.11 |
0.00 (-0.26%) |
7 |
213007 |
宝盈增强收益债券A/B |
4.72% |
2082.45 |
2967.90 |
0.00 (-0.45%) |
8 |
010727 |
建信现金增利货币B |
4.29% |
2699.84 |
2699.84 |
新增 |
9 |
588200 |
嘉实上证科创板芯片ETF |
1.67% |
715.66 |
1047.73 |
新增 |
10 |
512720 |
国泰中证计算机主题ETF |
1.60% |
957.93 |
1004.87 |
新增 |
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 |
968103 |
汇丰亚洲债券BC类-人民币 |
13.61% |
883.29 |
8557.14 |
|
30.00 (-0.94%) |
2 |
003358 |
易方达中债7-10年期国开行债券指数A |
11.86% |
5633.08 |
7460.45 |
|
新增 |
3 |
531021 |
建信纯债债券C |
11.05% |
4400.00 |
6947.60 |
|
1700.00 (2.91%) |
4 |
006989 |
建信中短债纯债债券A |
8.39% |
5000.00 |
5277.50 |
|
500.00 (0.14%) |
5 |
968081 |
汇丰亚洲高入息债券BC类-人民币 |
7.85% |
512.70 |
4939.50 |
|
-328.20 (-5.33%) |
6 |
100050 |
富国全球债券(QDII)人民币A |
4.78% |
2393.30 |
3003.11 |
|
0.00 (-0.26%) |
7 |
213007 |
宝盈增强收益债券A/B |
4.72% |
2082.45 |
2967.90 |
|
0.00 (-0.45%) |
8 |
010727 |
建信现金增利货币B |
4.29% |
2699.84 |
2699.84 |
|
新增 |
9 |
588200 |
嘉实上证科创板芯片ETF |
1.67% |
715.66 |
1047.73 |
|
新增 |
10 |
512720 |
国泰中证计算机主题ETF |
1.60% |
957.93 |
1004.87 |
|
新增 |
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 |
531021 |
建信纯债债券C |
13.96% |
6100.00 |
9531.86 |
2172.71 (3.86%) |
2 |
968103 |
汇丰亚洲债券BC类-人民币 |
12.67% |
913.29 |
8650.05 |
新增 |
3 |
012818 |
招商享诚增强债券A |
11.91% |
7279.12 |
8130.05 |
新增 |
4 |
006989 |
建信中短债纯债债券A |
8.53% |
5500.00 |
5821.75 |
1488.70 (1.66%) |
5 |
012819 |
招商享诚增强债券C |
5.15% |
3185.59 |
3516.89 |
新增 |
6 |
100050 |
富国全球债券(QDII)人民币A |
4.52% |
2393.30 |
3083.77 |
0.00 (-0.22%) |
7 |
213007 |
宝盈增强收益债券A/B |
4.27% |
2082.45 |
2914.80 |
新增 |
8 |
511660 |
建信现金添益货币H |
2.93% |
20.01 |
2001.19 |
新增 |
9 |
968081 |
汇丰亚洲高入息债券BC类-人民币 |
2.52% |
184.50 |
1717.06 |
新增 |
10 |
016600 |
万家品质生活C |
1.02% |
250.71 |
698.57 |
0.00 (-0.20%) |
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 |
531021 |
建信纯债债券C |
13.96% |
6100.00 |
9531.86 |
|
2172.71 (3.86%) |
2 |
968103 |
汇丰亚洲债券BC类-人民币 |
12.67% |
913.29 |
8650.05 |
|
新增 |
3 |
012818 |
招商享诚增强债券A |
11.91% |
7279.12 |
8130.05 |
|
新增 |
4 |
006989 |
建信中短债纯债债券A |
8.53% |
5500.00 |
5821.75 |
|
1488.70 (1.66%) |
5 |
012819 |
招商享诚增强债券C |
5.15% |
3185.59 |
3516.89 |
|
新增 |
6 |
100050 |
富国全球债券(QDII)人民币A |
4.52% |
2393.30 |
3083.77 |
|
0.00 (-0.22%) |
7 |
213007 |
宝盈增强收益债券A/B |
4.27% |
2082.45 |
2914.80 |
|
新增 |
8 |
511660 |
建信现金添益货币H |
2.93% |
20.01 |
2001.19 |
|
新增 |
9 |
968081 |
汇丰亚洲高入息债券BC类-人民币 |
2.52% |
184.50 |
1717.06 |
|
新增 |
10 |
016600 |
万家品质生活C |
1.02% |
250.71 |
698.57 |
|
0.00 (-0.20%) |
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 |
531021 |
建信纯债债券C |
17.82% |
8272.71 |
12908.73 |
0.00 (-0.95%) |
2 |
000876 |
建信稳定得利债券C |
12.33% |
6602.47 |
8933.14 |
0.00 (-0.64%) |
3 |
006989 |
建信中短债纯债债券A |
10.19% |
6988.70 |
7382.87 |
0.00 (-0.39%) |
4 |
006990 |
建信中短债纯债债券C |
8.61% |
5920.00 |
6237.31 |
937.60 (0.97%) |
5 |
009216 |
易方达瑞川混合C |
6.91% |
4087.97 |
5007.77 |
新增 |
6 |
100050 |
富国全球债券(QDII)人民币A |
4.30% |
2393.30 |
3116.80 |
0.00 (-0.21%) |
7 |
470011 |
汇添富多元收益债券C |
3.26% |
1932.05 |
2363.67 |
新增 |
8 |
004335 |
华宝新飞跃混合 |
3.22% |
1212.81 |
2334.30 |
新增 |
9 |
008022 |
建信短债债券F |
3.08% |
1980.00 |
2234.03 |
4400.10 (6.36%) |
10 |
213917 |
宝盈增强收益债券C |
3.05% |
1730.24 |
2210.56 |
0.00 (-0.18%) |
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 |
531021 |
建信纯债债券C |
17.82% |
8272.71 |
12908.73 |
|
0.00 (-0.95%) |
2 |
000876 |
建信稳定得利债券C |
12.33% |
6602.47 |
8933.14 |
|
0.00 (-0.64%) |
3 |
006989 |
建信中短债纯债债券A |
10.19% |
6988.70 |
7382.87 |
|
0.00 (-0.39%) |
4 |
006990 |
建信中短债纯债债券C |
8.61% |
5920.00 |
6237.31 |
|
937.60 (0.97%) |
5 |
009216 |
易方达瑞川混合C |
6.91% |
4087.97 |
5007.77 |
|
新增 |
6 |
100050 |
富国全球债券(QDII)人民币A |
4.30% |
2393.30 |
3116.80 |
|
0.00 (-0.21%) |
7 |
470011 |
汇添富多元收益债券C |
3.26% |
1932.05 |
2363.67 |
|
新增 |
8 |
004335 |
华宝新飞跃混合 |
3.22% |
1212.81 |
2334.30 |
|
新增 |
9 |
008022 |
建信短债债券F |
3.08% |
1980.00 |
2234.03 |
|
4400.10 (6.36%) |
10 |
213917 |
宝盈增强收益债券C |
3.05% |
1730.24 |
2210.56 |
|
0.00 (-0.18%) |
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 |
531021 |
建信纯债债券C |
16.87% |
8272.71 |
12779.68 |
-5997.14 (-12.58%) |
2 |
000876 |
建信稳定得利债券C |
11.69% |
6602.47 |
8853.91 |
-739.08 (-2.04%) |
3 |
006989 |
建信中短债纯债债券A |
9.80% |
6988.70 |
7419.91 |
332.24 (-0.32%) |
4 |
006990 |
建信中短债纯债债券C |
9.58% |
6857.60 |
7254.66 |
-953.43 (-1.96%) |
5 |
008022 |
建信短债债券F |
9.44% |
6380.10 |
7145.71 |
-3193.43 (-5.07%) |
6 |
100018 |
富国天利增长债券A |
4.23% |
2413.92 |
3204.96 |
76.69 (-0.07%) |
7 |
100050 |
富国全球债券(QDII)人民币A |
4.09% |
2393.30 |
3100.52 |
0.00 (-0.25%) |
8 |
213917 |
宝盈增强收益债券C |
2.87% |
1730.24 |
2176.30 |
174.33 (0.00%) |
9 |
008817 |
华宝可转债债券C |
2.09% |
1114.67 |
1580.82 |
新增 |
10 |
511360 |
海富通中证短融ETF |
1.44% |
10.00 |
1093.83 |
新增 |
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 |
531021 |
建信纯债债券C |
16.87% |
8272.71 |
12779.68 |
|
-5997.14 (-12.58%) |
2 |
000876 |
建信稳定得利债券C |
11.69% |
6602.47 |
8853.91 |
|
-739.08 (-2.04%) |
3 |
006989 |
建信中短债纯债债券A |
9.80% |
6988.70 |
7419.91 |
|
332.24 (-0.32%) |
4 |
006990 |
建信中短债纯债债券C |
9.58% |
6857.60 |
7254.66 |
|
-953.43 (-1.96%) |
5 |
008022 |
建信短债债券F |
9.44% |
6380.10 |
7145.71 |
|
-3193.43 (-5.07%) |
6 |
100018 |
富国天利增长债券A |
4.23% |
2413.92 |
3204.96 |
|
76.69 (-0.07%) |
7 |
100050 |
富国全球债券(QDII)人民币A |
4.09% |
2393.30 |
3100.52 |
|
0.00 (-0.25%) |
8 |
213917 |
宝盈增强收益债券C |
2.87% |
1730.24 |
2176.30 |
|
174.33 (0.00%) |
9 |
008817 |
华宝可转债债券C |
2.09% |
1114.67 |
1580.82 |
|
新增 |
10 |
511360 |
海富通中证短融ETF |
1.44% |
10.00 |
1093.83 |
|
新增 |
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 |
000876 |
建信稳定得利债券C |
9.65% |
5863.39 |
7827.62 |
3330.00 (3.91%) |
2 |
006989 |
建信中短债纯债债券A |
9.48% |
7320.94 |
7692.12 |
-3820.94 (-5.42%) |
3 |
006990 |
建信中短债纯债债券C |
7.62% |
5904.18 |
6186.39 |
-2337.60 (-3.50%) |
4 |
511660 |
建信现金添益货币H |
4.81% |
39.00 |
3900.64 |
新增 |
5 |
008022 |
建信短债债券F |
4.37% |
3186.67 |
3542.94 |
新增 |
6 |
531021 |
建信纯债债券C |
4.29% |
2275.57 |
3479.12 |
新增 |
7 |
100018 |
富国天利增长债券A |
4.16% |
2490.61 |
3379.01 |
1481.78 (1.72%) |
8 |
009466 |
东方可转债债券C |
4.12% |
3422.75 |
3339.92 |
新增 |
9 |
100050 |
富国全球债券(QDII)人民币A |
3.84% |
2393.30 |
3116.32 |
-78.03 (-0.64%) |
10 |
531017 |
建信双息红利债券C |
3.51% |
2849.92 |
2844.22 |
960.00 (0.84%) |
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 |
000876 |
建信稳定得利债券C |
9.65% |
5863.39 |
7827.62 |
|
3330.00 (3.91%) |
2 |
006989 |
建信中短债纯债债券A |
9.48% |
7320.94 |
7692.12 |
|
-3820.94 (-5.42%) |
3 |
006990 |
建信中短债纯债债券C |
7.62% |
5904.18 |
6186.39 |
|
-2337.60 (-3.50%) |
4 |
511660 |
建信现金添益货币H |
4.81% |
39.00 |
3900.64 |
|
新增 |
5 |
008022 |
建信短债债券F |
4.37% |
3186.67 |
3542.94 |
|
新增 |
6 |
531021 |
建信纯债债券C |
4.29% |
2275.57 |
3479.12 |
|
新增 |
7 |
100018 |
富国天利增长债券A |
4.16% |
2490.61 |
3379.01 |
|
1481.78 (1.72%) |
8 |
009466 |
东方可转债债券C |
4.12% |
3422.75 |
3339.92 |
|
新增 |
9 |
100050 |
富国全球债券(QDII)人民币A |
3.84% |
2393.30 |
3116.32 |
|
-78.03 (-0.64%) |
10 |
531017 |
建信双息红利债券C |
3.51% |
2849.92 |
2844.22 |
|
960.00 (0.84%) |
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 |
000876 |
建信稳定得利债券C |
13.56% |
9193.39 |
12337.52 |
1265.00 (0.30%) |
2 |
511360 |
海富通中证短融ETF |
6.37% |
53.70 |
5799.55 |
新增 |
3 |
100018 |
富国天利增长债券A |
5.88% |
3972.39 |
5352.00 |
0.00 (-0.64%) |
4 |
161115 |
易方达岁丰添利债券(LOF)A |
4.68% |
2677.71 |
4260.77 |
0.00 (-0.50%) |
5 |
531017 |
建信双息红利债券C |
4.35% |
3809.92 |
3962.32 |
-2387.77 (-2.84%) |
6 |
006990 |
建信中短债纯债债券C |
4.12% |
3566.57 |
3750.96 |
-3316.57 (-3.86%) |
7 |
006989 |
建信中短债纯债债券A |
4.06% |
3500.00 |
3694.60 |
0.00 (-0.44%) |
8 |
000107 |
富国稳健增强债券A/B |
3.62% |
2655.46 |
3292.77 |
0.00 (-0.38%) |
9 |
010840 |
易方达瑞安混合C |
3.28% |
2672.07 |
2986.57 |
新增 |
10 |
100050 |
富国全球债券(QDII)人民币A |
3.20% |
2315.27 |
2908.91 |
0.00 (-0.25%) |
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 |
000876 |
建信稳定得利债券C |
13.56% |
9193.39 |
12337.52 |
|
1265.00 (0.30%) |
2 |
511360 |
海富通中证短融ETF |
6.37% |
53.70 |
5799.55 |
|
新增 |
3 |
100018 |
富国天利增长债券A |
5.88% |
3972.39 |
5352.00 |
|
0.00 (-0.64%) |
4 |
161115 |
易方达岁丰添利债券(LOF)A |
4.68% |
2677.71 |
4260.77 |
|
0.00 (-0.50%) |
5 |
531017 |
建信双息红利债券C |
4.35% |
3809.92 |
3962.32 |
|
-2387.77 (-2.84%) |
6 |
006990 |
建信中短债纯债债券C |
4.12% |
3566.57 |
3750.96 |
|
-3316.57 (-3.86%) |
7 |
006989 |
建信中短债纯债债券A |
4.06% |
3500.00 |
3694.60 |
|
0.00 (-0.44%) |
8 |
000107 |
富国稳健增强债券A/B |
3.62% |
2655.46 |
3292.77 |
|
0.00 (-0.38%) |
9 |
010840 |
易方达瑞安混合C |
3.28% |
2672.07 |
2986.57 |
|
新增 |
10 |
100050 |
富国全球债券(QDII)人民币A |
3.20% |
2315.27 |
2908.91 |
|
0.00 (-0.25%) |
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 |
000876 |
建信稳定得利债券C |
13.86% |
10458.39 |
14066.53 |
新增 |
2 |
100018 |
富国天利增长债券A |
5.24% |
3972.39 |
5319.03 |
0.00 (-0.64%) |
3 |
161115 |
易方达岁丰添利债券(LOF)A |
4.18% |
2677.71 |
4240.96 |
0.00 (-0.51%) |
4 |
002636 |
广发集裕债券A |
3.95% |
3190.37 |
4010.29 |
0.00 (-0.39%) |
5 |
006989 |
建信中短债纯债债券A |
3.62% |
3500.00 |
3670.80 |
1344.28 (0.83%) |
6 |
000107 |
富国稳健增强债券A/B |
3.24% |
2655.46 |
3290.11 |
新增 |
7 |
000612 |
华宝生态中国混合A |
3.20% |
782.84 |
3247.20 |
0.00 (-0.04%) |
8 |
100050 |
富国全球债券(QDII)人民币A |
2.95% |
2315.27 |
2998.05 |
新增 |
9 |
519782 |
交银裕隆纯债债券A |
2.89% |
2236.65 |
2931.80 |
新增 |
10 |
000054 |
鹏华双债增利债券A |
2.77% |
2224.29 |
2815.72 |
新增 |
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 |
000876 |
建信稳定得利债券C |
13.86% |
10458.39 |
14066.53 |
|
新增 |
2 |
100018 |
富国天利增长债券A |
5.24% |
3972.39 |
5319.03 |
|
0.00 (-0.64%) |
3 |
161115 |
易方达岁丰添利债券(LOF)A |
4.18% |
2677.71 |
4240.96 |
|
0.00 (-0.51%) |
4 |
002636 |
广发集裕债券A |
3.95% |
3190.37 |
4010.29 |
|
0.00 (-0.39%) |
5 |
006989 |
建信中短债纯债债券A |
3.62% |
3500.00 |
3670.80 |
|
1344.28 (0.83%) |
6 |
000107 |
富国稳健增强债券A/B |
3.24% |
2655.46 |
3290.11 |
|
新增 |
7 |
000612 |
华宝生态中国混合A |
3.20% |
782.84 |
3247.20 |
|
0.00 (-0.04%) |
8 |
100050 |
富国全球债券(QDII)人民币A |
2.95% |
2315.27 |
2998.05 |
|
新增 |
9 |
519782 |
交银裕隆纯债债券A |
2.89% |
2236.65 |
2931.80 |
|
新增 |
10 |
000054 |
鹏华双债增利债券A |
2.77% |
2224.29 |
2815.72 |
|
新增 |
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 |
530021 |
建信纯债债券A |
10.46% |
7717.42 |
11968.17 |
0.00 (-1.04%) |
2 |
100018 |
富国天利增长债券A |
4.60% |
3972.39 |
5261.83 |
0.00 (-0.46%) |
3 |
006989 |
建信中短债纯债债券A |
4.45% |
4844.28 |
5094.73 |
1400.00 (0.73%) |
4 |
004173 |
嘉实增益宝货币A |
4.39% |
5019.74 |
5019.74 |
新增 |
5 |
675111 |
西部利得汇享债券A |
3.86% |
3664.16 |
4416.05 |
-769.44 (-1.11%) |
6 |
161115 |
易方达岁丰添利债券(LOF)A |
3.67% |
2677.71 |
4204.54 |
-289.67 (-0.72%) |
7 |
002636 |
广发集裕债券A |
3.56% |
3190.37 |
4070.91 |
0.00 (-0.38%) |
8 |
007014 |
嘉合磐泰短债A |
3.50% |
3722.14 |
4008.75 |
1600.00 (1.05%) |
9 |
519718 |
交银纯债债券发起A |
3.20% |
3366.45 |
3660.01 |
-429.48 (-0.70%) |
10 |
000612 |
华宝生态中国混合A |
3.16% |
782.84 |
3620.61 |
50.00 (-0.17%) |
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 |
530021 |
建信纯债债券A |
10.46% |
7717.42 |
11968.17 |
|
0.00 (-1.04%) |
2 |
100018 |
富国天利增长债券A |
4.60% |
3972.39 |
5261.83 |
|
0.00 (-0.46%) |
3 |
006989 |
建信中短债纯债债券A |
4.45% |
4844.28 |
5094.73 |
|
1400.00 (0.73%) |
4 |
004173 |
嘉实增益宝货币A |
4.39% |
5019.74 |
5019.74 |
|
新增 |
5 |
675111 |
西部利得汇享债券A |
3.86% |
3664.16 |
4416.05 |
|
-769.44 (-1.11%) |
6 |
161115 |
易方达岁丰添利债券(LOF)A |
3.67% |
2677.71 |
4204.54 |
|
-289.67 (-0.72%) |
7 |
002636 |
广发集裕债券A |
3.56% |
3190.37 |
4070.91 |
|
0.00 (-0.38%) |
8 |
007014 |
嘉合磐泰短债A |
3.50% |
3722.14 |
4008.75 |
|
1600.00 (1.05%) |
9 |
519718 |
交银纯债债券发起A |
3.20% |
3366.45 |
3660.01 |
|
-429.48 (-0.70%) |
10 |
000612 |
华宝生态中国混合A |
3.16% |
782.84 |
3620.61 |
|
50.00 (-0.17%) |
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 |
530021 |
建信纯债债券A |
9.42% |
7717.42 |
11761.35 |
0.00 (-1.37%) |
2 |
006989 |
建信中短债纯债债券A |
5.18% |
6244.28 |
6467.83 |
0.00 (-0.76%) |
3 |
007014 |
嘉合磐泰短债A |
4.55% |
5322.14 |
5680.32 |
新增 |
4 |
100018 |
富国天利增长债券A |
4.14% |
3972.39 |
5168.48 |
0.00 (-0.44%) |
5 |
003280 |
鹏华丰恒债券A |
3.98% |
4556.03 |
4973.36 |
1900.00 (0.88%) |
6 |
007321 |
鹏华金利债券A |
3.33% |
4055.48 |
4158.90 |
3000.00 (1.68%) |
7 |
007419 |
国寿安保泰弘纯债债券 |
3.23% |
3966.43 |
4034.26 |
新增 |
8 |
002636 |
广发集裕债券A |
3.18% |
3190.37 |
3968.82 |
新增 |
9 |
000612 |
华宝生态中国混合A |
2.99% |
832.84 |
3739.43 |
新增 |
10 |
161115 |
易方达岁丰添利债券(LOF)A |
2.95% |
2388.04 |
3686.66 |
新增 |
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 |
530021 |
建信纯债债券A |
9.42% |
7717.42 |
11761.35 |
|
0.00 (-1.37%) |
2 |
006989 |
建信中短债纯债债券A |
5.18% |
6244.28 |
6467.83 |
|
0.00 (-0.76%) |
3 |
007014 |
嘉合磐泰短债A |
4.55% |
5322.14 |
5680.32 |
|
新增 |
4 |
100018 |
富国天利增长债券A |
4.14% |
3972.39 |
5168.48 |
|
0.00 (-0.44%) |
5 |
003280 |
鹏华丰恒债券A |
3.98% |
4556.03 |
4973.36 |
|
1900.00 (0.88%) |
6 |
007321 |
鹏华金利债券A |
3.33% |
4055.48 |
4158.90 |
|
3000.00 (1.68%) |
7 |
007419 |
国寿安保泰弘纯债债券 |
3.23% |
3966.43 |
4034.26 |
|
新增 |
8 |
002636 |
广发集裕债券A |
3.18% |
3190.37 |
3968.82 |
|
新增 |
9 |
000612 |
华宝生态中国混合A |
2.99% |
832.84 |
3739.43 |
|
新增 |
10 |
161115 |
易方达岁丰添利债券(LOF)A |
2.95% |
2388.04 |
3686.66 |
|
新增 |
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 |
530021 |
建信纯债债券A |
8.05% |
7717.42 |
11847.78 |
0.00 (-1.18%) |
2 |
519718 |
交银纯债债券发起A |
5.15% |
6936.97 |
7584.88 |
0.00 (-0.76%) |
3 |
007321 |
鹏华金利债券A |
5.01% |
7055.48 |
7376.51 |
500.00 (-0.44%) |
4 |
519782 |
交银裕隆纯债债券A |
4.93% |
5588.05 |
7261.12 |
680.00 (-0.22%) |
5 |
003280 |
鹏华丰恒债券A |
4.86% |
6456.03 |
7157.15 |
300.00 (-0.48%) |
6 |
006989 |
建信中短债纯债债券A |
4.42% |
6244.28 |
6500.30 |
-4799.85 (-3.53%) |
7 |
100018 |
富国天利增长债券A |
3.70% |
3972.39 |
5450.92 |
0.00 (-0.54%) |
8 |
161019 |
富国新天锋债券(LOF)A |
3.43% |
4657.83 |
5045.83 |
0.00 (-0.49%) |
9 |
003949 |
兴全稳泰债券A |
3.29% |
4271.25 |
4845.30 |
0.00 (-0.50%) |
10 |
004200 |
博时富瑞纯债债券A |
3.12% |
4329.09 |
4593.59 |
280.00 (-0.29%) |
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 |
530021 |
建信纯债债券A |
8.05% |
7717.42 |
11847.78 |
|
0.00 (-1.18%) |
2 |
519718 |
交银纯债债券发起A |
5.15% |
6936.97 |
7584.88 |
|
0.00 (-0.76%) |
3 |
007321 |
鹏华金利债券A |
5.01% |
7055.48 |
7376.51 |
|
500.00 (-0.44%) |
4 |
519782 |
交银裕隆纯债债券A |
4.93% |
5588.05 |
7261.12 |
|
680.00 (-0.22%) |
5 |
003280 |
鹏华丰恒债券A |
4.86% |
6456.03 |
7157.15 |
|
300.00 (-0.48%) |
6 |
006989 |
建信中短债纯债债券A |
4.42% |
6244.28 |
6500.30 |
|
-4799.85 (-3.53%) |
7 |
100018 |
富国天利增长债券A |
3.70% |
3972.39 |
5450.92 |
|
0.00 (-0.54%) |
8 |
161019 |
富国新天锋债券(LOF)A |
3.43% |
4657.83 |
5045.83 |
|
0.00 (-0.49%) |
9 |
003949 |
兴全稳泰债券A |
3.29% |
4271.25 |
4845.30 |
|
0.00 (-0.50%) |
10 |
004200 |
博时富瑞纯债债券A |
3.12% |
4329.09 |
4593.59 |
|
280.00 (-0.29%) |
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 |
530021 |
建信纯债债券A |
6.87% |
7717.42 |
11745.91 |
0.00 (-0.55%) |
2 |
519782 |
交银裕隆纯债债券A |
4.71% |
6268.05 |
8051.31 |
0.00 (-0.40%) |
3 |
007321 |
鹏华金利债券A |
4.57% |
7555.48 |
7818.41 |
0.00 (-0.19%) |
4 |
007014 |
嘉合磐泰短债A |
4.46% |
7269.06 |
7630.34 |
0.00 (-0.34%) |
5 |
519718 |
交银纯债债券发起A |
4.39% |
6936.97 |
7507.88 |
0.00 (-0.33%) |
6 |
003280 |
鹏华丰恒债券A |
4.38% |
6756.03 |
7481.63 |
0.00 (-0.32%) |
7 |
006591 |
广发景明中短债A |
4.10% |
6784.36 |
7002.14 |
0.00 (-0.30%) |
8 |
003327 |
万家鑫璟纯债A |
3.97% |
5639.72 |
6785.15 |
1663.90 (0.77%) |
9 |
100018 |
富国天利增长债券A |
3.16% |
3972.39 |
5401.66 |
新增 |
10 |
161019 |
富国新天锋债券(LOF)A |
2.94% |
4657.83 |
5016.49 |
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 |
530021 |
建信纯债债券A |
6.87% |
7717.42 |
11745.91 |
|
0.00 (-0.55%) |
2 |
519782 |
交银裕隆纯债债券A |
4.71% |
6268.05 |
8051.31 |
|
0.00 (-0.40%) |
3 |
007321 |
鹏华金利债券A |
4.57% |
7555.48 |
7818.41 |
|
0.00 (-0.19%) |
4 |
007014 |
嘉合磐泰短债A |
4.46% |
7269.06 |
7630.34 |
|
0.00 (-0.34%) |
5 |
519718 |
交银纯债债券发起A |
4.39% |
6936.97 |
7507.88 |
|
0.00 (-0.33%) |
6 |
003280 |
鹏华丰恒债券A |
4.38% |
6756.03 |
7481.63 |
|
0.00 (-0.32%) |
7 |
006591 |
广发景明中短债A |
4.10% |
6784.36 |
7002.14 |
|
0.00 (-0.30%) |
8 |
003327 |
万家鑫璟纯债A |
3.97% |
5639.72 |
6785.15 |
|
1663.90 (0.77%) |
9 |
100018 |
富国天利增长债券A |
3.16% |
3972.39 |
5401.66 |
|
新增 |
10 |
161019 |
富国新天锋债券(LOF)A |
2.94% |
4657.83 |
5016.49 |
|
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 |
530021 |
建信纯债债券A |
6.32% |
7717.42 |
11632.47 |
610.33 (-0.05%) |
2 |
531021 |
建信纯债债券C |
5.40% |
6828.00 |
9935.42 |
484.23 (-0.08%) |
3 |
003327 |
万家鑫璟纯债A |
4.74% |
7303.62 |
8719.07 |
0.00 (-0.38%) |
4 |
007321 |
鹏华金利债券A |
4.38% |
7555.48 |
8061.70 |
0.00 (-0.33%) |
5 |
519782 |
交银裕隆纯债债券A |
4.31% |
6268.05 |
7934.10 |
0.00 (-0.35%) |
6 |
007014 |
嘉合磐泰短债A |
4.12% |
7269.06 |
7579.45 |
0.00 (-0.34%) |
7 |
003280 |
鹏华丰恒债券A |
4.06% |
6756.03 |
7468.79 |
0.00 (-0.30%) |
8 |
519718 |
交银纯债债券发起A |
4.06% |
6936.97 |
7478.75 |
0.00 (-0.30%) |
9 |
006591 |
广发景明中短债A |
3.80% |
6784.36 |
6991.96 |
0.00 (-0.28%) |
10 |
004200 |
博时富瑞纯债债券A |
3.73% |
6485.79 |
6865.21 |
0.00 (-0.30%) |
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 |
530021 |
建信纯债债券A |
6.32% |
7717.42 |
11632.47 |
|
610.33 (-0.05%) |
2 |
531021 |
建信纯债债券C |
5.40% |
6828.00 |
9935.42 |
|
484.23 (-0.08%) |
3 |
003327 |
万家鑫璟纯债A |
4.74% |
7303.62 |
8719.07 |
|
0.00 (-0.38%) |
4 |
007321 |
鹏华金利债券A |
4.38% |
7555.48 |
8061.70 |
|
0.00 (-0.33%) |
5 |
519782 |
交银裕隆纯债债券A |
4.31% |
6268.05 |
7934.10 |
|
0.00 (-0.35%) |
6 |
007014 |
嘉合磐泰短债A |
4.12% |
7269.06 |
7579.45 |
|
0.00 (-0.34%) |
7 |
003280 |
鹏华丰恒债券A |
4.06% |
6756.03 |
7468.79 |
|
0.00 (-0.30%) |
8 |
519718 |
交银纯债债券发起A |
4.06% |
6936.97 |
7478.75 |
|
0.00 (-0.30%) |
9 |
006591 |
广发景明中短债A |
3.80% |
6784.36 |
6991.96 |
|
0.00 (-0.28%) |
10 |
004200 |
博时富瑞纯债债券A |
3.73% |
6485.79 |
6865.21 |
|
0.00 (-0.30%) |
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 |
530021 |
建信纯债债券A |
6.27% |
8327.75 |
12475.80 |
2180.00 (1.42%) |
2 |
531021 |
建信纯债债券C |
5.32% |
7312.23 |
10583.72 |
4075.72 (2.74%) |
3 |
003327 |
万家鑫璟纯债A |
4.36% |
7303.62 |
8667.94 |
0.00 (-0.14%) |
4 |
007321 |
鹏华金利债券A |
4.05% |
7555.48 |
8055.66 |
新增 |
5 |
519782 |
交银裕隆纯债债券A |
3.96% |
6268.05 |
7877.06 |
-1185.69 (-0.80%) |
6 |
007014 |
嘉合磐泰短债A |
3.78% |
7269.06 |
7516.94 |
0.00 (-0.09%) |
7 |
003280 |
鹏华丰恒债券A |
3.76% |
6756.03 |
7484.33 |
新增 |
8 |
519718 |
交银纯债债券发起A |
3.76% |
6936.97 |
7485.68 |
-925.48 (-0.58%) |
9 |
000032 |
易方达信用债债券A |
3.69% |
6570.53 |
7336.00 |
-1847.11 (-1.09%) |
10 |
006591 |
广发景明中短债A |
3.52% |
6784.36 |
7006.21 |
新增 |
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 |
530021 |
建信纯债债券A |
6.27% |
8327.75 |
12475.80 |
|
2180.00 (1.42%) |
2 |
531021 |
建信纯债债券C |
5.32% |
7312.23 |
10583.72 |
|
4075.72 (2.74%) |
3 |
003327 |
万家鑫璟纯债A |
4.36% |
7303.62 |
8667.94 |
|
0.00 (-0.14%) |
4 |
007321 |
鹏华金利债券A |
4.05% |
7555.48 |
8055.66 |
|
新增 |
5 |
519782 |
交银裕隆纯债债券A |
3.96% |
6268.05 |
7877.06 |
|
-1185.69 (-0.80%) |
6 |
007014 |
嘉合磐泰短债A |
3.78% |
7269.06 |
7516.94 |
|
0.00 (-0.09%) |
7 |
003280 |
鹏华丰恒债券A |
3.76% |
6756.03 |
7484.33 |
|
新增 |
8 |
519718 |
交银纯债债券发起A |
3.76% |
6936.97 |
7485.68 |
|
-925.48 (-0.58%) |
9 |
000032 |
易方达信用债债券A |
3.69% |
6570.53 |
7336.00 |
|
-1847.11 (-1.09%) |
10 |
006591 |
广发景明中短债A |
3.52% |
6784.36 |
7006.21 |
|
新增 |
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 |
531021 |
建信纯债债券C |
8.06% |
11387.95 |
16322.35 |
0.00 (0.71%) |
2 |
530021 |
建信纯债债券A |
7.69% |
10507.75 |
15574.58 |
0.00 (0.67%) |
3 |
003327 |
万家鑫璟纯债A |
4.22% |
7303.62 |
8554.00 |
241.00 (0.71%) |
4 |
007014 |
嘉合磐泰短债A |
3.69% |
7269.06 |
7465.33 |
新增 |
5 |
519718 |
交银纯债债券发起A |
3.18% |
6011.49 |
6438.90 |
-463.94 (0.08%) |
6 |
519782 |
交银裕隆纯债债券A |
3.16% |
5082.37 |
6400.23 |
新增 |
7 |
004200 |
博时富瑞纯债债券A |
3.03% |
5731.57 |
6143.67 |
0.00 (0.28%) |
8 |
003949 |
兴全稳泰债券A |
2.77% |
5171.25 |
5599.94 |
0.00 (0.25%) |
9 |
000032 |
易方达信用债债券A |
2.60% |
4723.42 |
5260.00 |
0.00 (0.26%) |
10 |
100018 |
富国天利增长债券A |
2.56% |
3826.52 |
5193.35 |
0.00 (0.22%) |
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 |
531021 |
建信纯债债券C |
8.06% |
11387.95 |
16322.35 |
|
0.00 (0.71%) |
2 |
530021 |
建信纯债债券A |
7.69% |
10507.75 |
15574.58 |
|
0.00 (0.67%) |
3 |
003327 |
万家鑫璟纯债A |
4.22% |
7303.62 |
8554.00 |
|
241.00 (0.71%) |
4 |
007014 |
嘉合磐泰短债A |
3.69% |
7269.06 |
7465.33 |
|
新增 |
5 |
519718 |
交银纯债债券发起A |
3.18% |
6011.49 |
6438.90 |
|
-463.94 (0.08%) |
6 |
519782 |
交银裕隆纯债债券A |
3.16% |
5082.37 |
6400.23 |
|
新增 |
7 |
004200 |
博时富瑞纯债债券A |
3.03% |
5731.57 |
6143.67 |
|
0.00 (0.28%) |
8 |
003949 |
兴全稳泰债券A |
2.77% |
5171.25 |
5599.94 |
|
0.00 (0.25%) |
9 |
000032 |
易方达信用债债券A |
2.60% |
4723.42 |
5260.00 |
|
0.00 (0.26%) |
10 |
100018 |
富国天利增长债券A |
2.56% |
3826.52 |
5193.35 |
|
0.00 (0.22%) |
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 |
531021 |
建信纯债债券C |
8.77% |
11387.95 |
16098.01 |
-4621.33 (-1.52%) |
2 |
530021 |
建信纯债债券A |
8.36% |
10507.75 |
15345.51 |
-2751.79 (0.22%) |
3 |
003327 |
万家鑫璟纯债A |
4.93% |
7544.62 |
9043.74 |
-2096.70 (0.03%) |
4 |
000024 |
大摩双利增强债券A |
3.61% |
5654.66 |
6615.95 |
-1715.18 (-0.11%) |
5 |
000129 |
大成景安短融债券B |
3.54% |
5309.03 |
6493.48 |
-1134.40 (0.35%) |
6 |
004200 |
博时富瑞纯债债券A |
3.31% |
5731.57 |
6080.62 |
-2365.56 (-0.60%) |
7 |
006360 |
财通资管鸿益中短债债券A |
3.26% |
5832.26 |
5984.48 |
-848.11 (0.64%) |
8 |
519718 |
交银纯债债券发起A |
3.26% |
5547.54 |
5971.93 |
新增 |
9 |
002650 |
东方红稳添利纯债A |
3.02% |
5123.18 |
5544.81 |
新增 |
10 |
003949 |
兴全稳泰债券A |
3.02% |
5171.25 |
5534.27 |
新增 |
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 |
531021 |
建信纯债债券C |
8.77% |
11387.95 |
16098.01 |
|
-4621.33 (-1.52%) |
2 |
530021 |
建信纯债债券A |
8.36% |
10507.75 |
15345.51 |
|
-2751.79 (0.22%) |
3 |
003327 |
万家鑫璟纯债A |
4.93% |
7544.62 |
9043.74 |
|
-2096.70 (0.03%) |
4 |
000024 |
大摩双利增强债券A |
3.61% |
5654.66 |
6615.95 |
|
-1715.18 (-0.11%) |
5 |
000129 |
大成景安短融债券B |
3.54% |
5309.03 |
6493.48 |
|
-1134.40 (0.35%) |
6 |
004200 |
博时富瑞纯债债券A |
3.31% |
5731.57 |
6080.62 |
|
-2365.56 (-0.60%) |
7 |
006360 |
财通资管鸿益中短债债券A |
3.26% |
5832.26 |
5984.48 |
|
-848.11 (0.64%) |
8 |
519718 |
交银纯债债券发起A |
3.26% |
5547.54 |
5971.93 |
|
新增 |
9 |
002650 |
东方红稳添利纯债A |
3.02% |
5123.18 |
5544.81 |
|
新增 |
10 |
003949 |
兴全稳泰债券A |
3.02% |
5171.25 |
5534.27 |
|
新增 |
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 |
530021 |
建信纯债债券A |
8.58% |
7755.96 |
11197.28 |
-1359.43 (-0.70%) |
2 |
531021 |
建信纯债债券C |
7.25% |
6766.62 |
9463.12 |
0.00 (0.83%) |
3 |
003327 |
万家鑫璟纯债A |
4.96% |
5447.92 |
6470.50 |
-2540.48 (-2.01%) |
4 |
000693 |
建信现金添利货币A |
4.42% |
5768.05 |
5768.05 |
-1078.31 (-0.38%) |
5 |
006360 |
财通资管鸿益中短债债券A |
3.90% |
4984.15 |
5090.81 |
新增 |
6 |
000129 |
大成景安短融债券B |
3.89% |
4174.64 |
5075.94 |
-380.05 (0.40%) |
7 |
000024 |
大摩双利增强债券A |
3.50% |
3939.48 |
4565.86 |
-1303.36 (-0.89%) |
8 |
000305 |
中银中高等级债券A |
3.29% |
4095.70 |
4292.30 |
-1235.93 (-0.71%) |
9 |
000045 |
工银产业债券A |
2.86% |
2472.19 |
3730.54 |
-1372.98 (-1.44%) |
10 |
004200 |
博时富瑞纯债债券A |
2.71% |
3366.01 |
3531.95 |
-480.26 (-0.13%) |
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 |
530021 |
建信纯债债券A |
8.58% |
7755.96 |
11197.28 |
|
-1359.43 (-0.70%) |
2 |
531021 |
建信纯债债券C |
7.25% |
6766.62 |
9463.12 |
|
0.00 (0.83%) |
3 |
003327 |
万家鑫璟纯债A |
4.96% |
5447.92 |
6470.50 |
|
-2540.48 (-2.01%) |
4 |
000693 |
建信现金添利货币A |
4.42% |
5768.05 |
5768.05 |
|
-1078.31 (-0.38%) |
5 |
006360 |
财通资管鸿益中短债债券A |
3.90% |
4984.15 |
5090.81 |
|
新增 |
6 |
000129 |
大成景安短融债券B |
3.89% |
4174.64 |
5075.94 |
|
-380.05 (0.40%) |
7 |
000024 |
大摩双利增强债券A |
3.50% |
3939.48 |
4565.86 |
|
-1303.36 (-0.89%) |
8 |
000305 |
中银中高等级债券A |
3.29% |
4095.70 |
4292.30 |
|
-1235.93 (-0.71%) |
9 |
000045 |
工银产业债券A |
2.86% |
2472.19 |
3730.54 |
|
-1372.98 (-1.44%) |
10 |
004200 |
博时富瑞纯债债券A |
2.71% |
3366.01 |
3531.95 |
|
-480.26 (-0.13%) |
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 |
531021 |
建信纯债债券C |
8.08% |
6766.62 |
9388.69 |
-5119.27 (5.13%) |
2 |
530021 |
建信纯债债券A |
7.88% |
6396.53 |
9153.43 |
-5628.47 (-1.53%) |
3 |
002377 |
建信睿怡纯债债券A |
6.87% |
7134.63 |
7980.80 |
-5645.38 (2.91%) |
4 |
000129 |
大成景安短融债券B |
4.29% |
3794.58 |
4978.11 |
新增 |
5 |
000693 |
建信现金添利货币A |
4.04% |
4689.75 |
4689.75 |
新增 |
6 |
003327 |
万家鑫璟纯债A |
2.95% |
2907.44 |
3422.05 |
新增 |
7 |
000024 |
大摩双利增强债券A |
2.61% |
2636.12 |
3026.26 |
新增 |
8 |
163806 |
中银增利债券 |
2.61% |
2673.80 |
3026.74 |
新增 |
9 |
000305 |
中银中高等级债券A |
2.58% |
2859.77 |
2997.04 |
新增 |
10 |
004200 |
博时富瑞纯债债券A |
2.58% |
2885.75 |
3000.31 |
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 |
531021 |
建信纯债债券C |
8.08% |
6766.62 |
9388.69 |
|
-5119.27 (5.13%) |
2 |
530021 |
建信纯债债券A |
7.88% |
6396.53 |
9153.43 |
|
-5628.47 (-1.53%) |
3 |
002377 |
建信睿怡纯债债券A |
6.87% |
7134.63 |
7980.80 |
|
-5645.38 (2.91%) |
4 |
000129 |
大成景安短融债券B |
4.29% |
3794.58 |
4978.11 |
|
新增 |
5 |
000693 |
建信现金添利货币A |
4.04% |
4689.75 |
4689.75 |
|
新增 |
6 |
003327 |
万家鑫璟纯债A |
2.95% |
2907.44 |
3422.05 |
|
新增 |
7 |
000024 |
大摩双利增强债券A |
2.61% |
2636.12 |
3026.26 |
|
新增 |
8 |
163806 |
中银增利债券 |
2.61% |
2673.80 |
3026.74 |
|
新增 |
9 |
000305 |
中银中高等级债券A |
2.58% |
2859.77 |
2997.04 |
|
新增 |
10 |
004200 |
博时富瑞纯债债券A |
2.58% |
2885.75 |
3000.31 |
|
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 |
531021 |
建信纯债债券C |
13.21% |
1647.35 |
2271.20 |
93.00 (0.25%) |
2 |
002377 |
建信睿怡纯债债券A |
9.78% |
1489.25 |
1682.11 |
-135.43 (-1.20%) |
3 |
206018 |
鹏华产业债债券A |
6.92% |
1047.57 |
1188.99 |
85.00 (0.36%) |
4 |
003583 |
建信稳定鑫利债券A |
6.43% |
1009.98 |
1105.73 |
70.36 (0.25%) |
5 |
530021 |
建信纯债债券A |
6.35% |
768.06 |
1091.18 |
429.57 (3.19%) |
6 |
270044 |
广发双债添利债券A |
3.97% |
576.62 |
682.08 |
188.00 (1.19%) |
7 |
000032 |
易方达信用债债券A |
3.58% |
560.25 |
615.16 |
73.00 (0.38%) |
8 |
003358 |
易方达中债7-10年期国开行债券指数A |
3.48% |
546.99 |
598.08 |
252.00 (1.52%) |
9 |
000118 |
广发聚鑫债券A |
2.87% |
325.08 |
493.14 |
新增 |
10 |
000045 |
工银产业债券A |
2.58% |
289.50 |
444.39 |
-52.01 (-0.58%) |
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 |
531021 |
建信纯债债券C |
13.21% |
1647.35 |
2271.20 |
|
93.00 (0.25%) |
2 |
002377 |
建信睿怡纯债债券A |
9.78% |
1489.25 |
1682.11 |
|
-135.43 (-1.20%) |
3 |
206018 |
鹏华产业债债券A |
6.92% |
1047.57 |
1188.99 |
|
85.00 (0.36%) |
4 |
003583 |
建信稳定鑫利债券A |
6.43% |
1009.98 |
1105.73 |
|
70.36 (0.25%) |
5 |
530021 |
建信纯债债券A |
6.35% |
768.06 |
1091.18 |
|
429.57 (3.19%) |
6 |
270044 |
广发双债添利债券A |
3.97% |
576.62 |
682.08 |
|
188.00 (1.19%) |
7 |
000032 |
易方达信用债债券A |
3.58% |
560.25 |
615.16 |
|
73.00 (0.38%) |
8 |
003358 |
易方达中债7-10年期国开行债券指数A |
3.48% |
546.99 |
598.08 |
|
252.00 (1.52%) |
9 |
000118 |
广发聚鑫债券A |
2.87% |
325.08 |
493.14 |
|
新增 |
10 |
000045 |
工银产业债券A |
2.58% |
289.50 |
444.39 |
|
-52.01 (-0.58%) |
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 |
531021 |
建信纯债债券C |
13.46% |
1740.35 |
2394.02 |
218.87 (-2.95%) |
2 |
530021 |
建信纯债债券A |
9.54% |
1197.63 |
1696.20 |
618.50 (0.48%) |
3 |
002377 |
建信睿怡纯债债券A |
8.58% |
1353.83 |
1525.36 |
203.00 (-1.73%) |
4 |
206018 |
鹏华产业债债券A |
7.28% |
1132.57 |
1294.53 |
17.00 (-2.08%) |
5 |
003583 |
建信稳定鑫利债券A |
6.68% |
1080.34 |
1187.73 |
275.00 (-0.85%) |
6 |
270044 |
广发双债添利债券A |
5.16% |
764.62 |
918.08 |
281.00 (-0.20%) |
7 |
003358 |
易方达中债7-10年期国开行债券指数A |
5.00% |
798.99 |
889.92 |
905.00 (2.46%) |
8 |
000032 |
易方达信用债债券A |
3.96% |
633.25 |
704.81 |
208.00 (-0.23%) |
9 |
000147 |
易方达高等级信用债债券A |
2.94% |
469.14 |
522.62 |
新增 |
10 |
040046 |
华安纳斯达克100ETF联接(QDII)A |
2.44% |
134.38 |
434.04 |
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 |
531021 |
建信纯债债券C |
13.46% |
1740.35 |
2394.02 |
|
218.87 (-2.95%) |
2 |
530021 |
建信纯债债券A |
9.54% |
1197.63 |
1696.20 |
|
618.50 (0.48%) |
3 |
002377 |
建信睿怡纯债债券A |
8.58% |
1353.83 |
1525.36 |
|
203.00 (-1.73%) |
4 |
206018 |
鹏华产业债债券A |
7.28% |
1132.57 |
1294.53 |
|
17.00 (-2.08%) |
5 |
003583 |
建信稳定鑫利债券A |
6.68% |
1080.34 |
1187.73 |
|
275.00 (-0.85%) |
6 |
270044 |
广发双债添利债券A |
5.16% |
764.62 |
918.08 |
|
281.00 (-0.20%) |
7 |
003358 |
易方达中债7-10年期国开行债券指数A |
5.00% |
798.99 |
889.92 |
|
905.00 (2.46%) |
8 |
000032 |
易方达信用债债券A |
3.96% |
633.25 |
704.81 |
|
208.00 (-0.23%) |
9 |
000147 |
易方达高等级信用债债券A |
2.94% |
469.14 |
522.62 |
|
新增 |
10 |
040046 |
华安纳斯达克100ETF联接(QDII)A |
2.44% |
134.38 |
434.04 |
|
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 |
531021 |
建信纯债债券C |
10.51% |
1959.22 |
2690.59 |
1684.97 (-4.95%) |
2 |
530021 |
建信纯债债券A |
10.02% |
1816.13 |
2565.46 |
3549.00 (-1.61%) |
3 |
003358 |
易方达中债7-10年期国开行债券指数A |
7.46% |
1703.99 |
1910.18 |
3778.00 (-0.79%) |
4 |
002377 |
建信睿怡纯债债券A |
6.85% |
1556.83 |
1754.23 |
8001.00 (5.13%) |
5 |
003583 |
建信稳定鑫利债券A |
5.83% |
1355.34 |
1492.64 |
2447.00 (-1.12%) |
6 |
206018 |
鹏华产业债债券A |
5.20% |
1149.57 |
1332.35 |
1141.00 (-2.22%) |
7 |
270044 |
广发双债添利债券A |
4.96% |
1045.62 |
1270.95 |
946.00 (-2.24%) |
8 |
110007 |
易方达稳健收益债券A |
3.92% |
768.07 |
1002.87 |
958.00 (-1.31%) |
9 |
530008 |
建信稳定增利债券C |
3.89% |
556.35 |
996.98 |
1313.00 (-0.14%) |
10 |
000032 |
易方达信用债债券A |
3.73% |
841.25 |
953.98 |
1157.00 (-1.21%) |
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 |
531021 |
建信纯债债券C |
10.51% |
1959.22 |
2690.59 |
|
1684.97 (-4.95%) |
2 |
530021 |
建信纯债债券A |
10.02% |
1816.13 |
2565.46 |
|
3549.00 (-1.61%) |
3 |
003358 |
易方达中债7-10年期国开行债券指数A |
7.46% |
1703.99 |
1910.18 |
|
3778.00 (-0.79%) |
4 |
002377 |
建信睿怡纯债债券A |
6.85% |
1556.83 |
1754.23 |
|
8001.00 (5.13%) |
5 |
003583 |
建信稳定鑫利债券A |
5.83% |
1355.34 |
1492.64 |
|
2447.00 (-1.12%) |
6 |
206018 |
鹏华产业债债券A |
5.20% |
1149.57 |
1332.35 |
|
1141.00 (-2.22%) |
7 |
270044 |
广发双债添利债券A |
4.96% |
1045.62 |
1270.95 |
|
946.00 (-2.24%) |
8 |
110007 |
易方达稳健收益债券A |
3.92% |
768.07 |
1002.87 |
|
958.00 (-1.31%) |
9 |
530008 |
建信稳定增利债券C |
3.89% |
556.35 |
996.98 |
|
1313.00 (-0.14%) |
10 |
000032 |
易方达信用债债券A |
3.73% |
841.25 |
953.98 |
|
1157.00 (-1.21%) |
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 |
002377 |
建信睿怡纯债债券A |
11.98% |
9557.83 |
10564.26 |
0.00 (0.41%) |
2 |
530021 |
建信纯债债券A |
8.41% |
5365.13 |
7416.21 |
0.00 (0.23%) |
3 |
003358 |
易方达中债7-10年期国开行债券指数A |
6.67% |
5481.99 |
5884.37 |
0.00 (0.12%) |
4 |
531021 |
建信纯债债券C |
5.56% |
3644.19 |
4901.07 |
0.00 (0.15%) |
5 |
003583 |
建信稳定鑫利债券A |
4.71% |
3802.34 |
4152.92 |
0.00 (0.12%) |
6 |
530008 |
建信稳定增利债券C |
3.75% |
1869.35 |
3308.75 |
0.00 (0.09%) |
7 |
531008 |
建信稳定增利债券A |
3.01% |
1459.85 |
2652.55 |
0.00 (0.07%) |
8 |
206018 |
鹏华产业债债券A |
2.98% |
2290.57 |
2627.29 |
0.00 (0.08%) |
9 |
050011 |
博时信用债券A/B |
2.77% |
907.58 |
2442.31 |
新增 |
10 |
270044 |
广发双债添利债券A |
2.72% |
1991.62 |
2399.70 |
0.00 (0.10%) |
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 |
002377 |
建信睿怡纯债债券A |
11.98% |
9557.83 |
10564.26 |
|
0.00 (0.41%) |
2 |
530021 |
建信纯债债券A |
8.41% |
5365.13 |
7416.21 |
|
0.00 (0.23%) |
3 |
003358 |
易方达中债7-10年期国开行债券指数A |
6.67% |
5481.99 |
5884.37 |
|
0.00 (0.12%) |
4 |
531021 |
建信纯债债券C |
5.56% |
3644.19 |
4901.07 |
|
0.00 (0.15%) |
5 |
003583 |
建信稳定鑫利债券A |
4.71% |
3802.34 |
4152.92 |
|
0.00 (0.12%) |
6 |
530008 |
建信稳定增利债券C |
3.75% |
1869.35 |
3308.75 |
|
0.00 (0.09%) |
7 |
531008 |
建信稳定增利债券A |
3.01% |
1459.85 |
2652.55 |
|
0.00 (0.07%) |
8 |
206018 |
鹏华产业债债券A |
2.98% |
2290.57 |
2627.29 |
|
0.00 (0.08%) |
9 |
050011 |
博时信用债券A/B |
2.77% |
907.58 |
2442.31 |
|
新增 |
10 |
270044 |
广发双债添利债券A |
2.72% |
1991.62 |
2399.70 |
|
0.00 (0.10%) |
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 |
002377 |
建信睿怡纯债债券A |
12.39% |
9557.83 |
10563.31 |
0.00 (0.12%) |
2 |
530021 |
建信纯债债券A |
8.64% |
5365.13 |
7364.17 |
0.00 (0.06%) |
3 |
003358 |
易方达中债7-10年期国开行债券指数A |
6.79% |
5481.99 |
5785.70 |
-1525.00 (-1.84%) |
4 |
531021 |
建信纯债债券C |
5.71% |
3644.19 |
4871.18 |
0.00 (0.05%) |
5 |
003583 |
建信稳定鑫利债券A |
4.83% |
3802.34 |
4117.55 |
-1651.22 (-2.03%) |
6 |
530008 |
建信稳定增利债券C |
3.84% |
1869.35 |
3273.23 |
0.00 (0.05%) |
7 |
531008 |
建信稳定增利债券A |
3.08% |
1459.85 |
2621.90 |
0.00 (0.03%) |
8 |
206018 |
鹏华产业债债券A |
3.06% |
2290.57 |
2611.25 |
0.00 (0.06%) |
9 |
270044 |
广发双债添利债券A |
2.82% |
1991.62 |
2401.09 |
0.00 (0.06%) |
10 |
002969 |
易方达丰和债券A |
2.72% |
1895.53 |
2316.33 |
-83.48 (-0.13%) |
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 |
002377 |
建信睿怡纯债债券A |
12.39% |
9557.83 |
10563.31 |
|
0.00 (0.12%) |
2 |
530021 |
建信纯债债券A |
8.64% |
5365.13 |
7364.17 |
|
0.00 (0.06%) |
3 |
003358 |
易方达中债7-10年期国开行债券指数A |
6.79% |
5481.99 |
5785.70 |
|
-1525.00 (-1.84%) |
4 |
531021 |
建信纯债债券C |
5.71% |
3644.19 |
4871.18 |
|
0.00 (0.05%) |
5 |
003583 |
建信稳定鑫利债券A |
4.83% |
3802.34 |
4117.55 |
|
-1651.22 (-2.03%) |
6 |
530008 |
建信稳定增利债券C |
3.84% |
1869.35 |
3273.23 |
|
0.00 (0.05%) |
7 |
531008 |
建信稳定增利债券A |
3.08% |
1459.85 |
2621.90 |
|
0.00 (0.03%) |
8 |
206018 |
鹏华产业债债券A |
3.06% |
2290.57 |
2611.25 |
|
0.00 (0.06%) |
9 |
270044 |
广发双债添利债券A |
2.82% |
1991.62 |
2401.09 |
|
0.00 (0.06%) |
10 |
002969 |
易方达丰和债券A |
2.72% |
1895.53 |
2316.33 |
|
-83.48 (-0.13%) |
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 |
002377 |
建信睿怡纯债债券A |
12.51% |
9557.83 |
10439.06 |
-2935.31 (-3.78%) |
2 |
530021 |
建信纯债债券A |
8.70% |
5365.13 |
7259.02 |
0.00 (0.03%) |
3 |
531021 |
建信纯债债券C |
5.76% |
3644.19 |
4806.68 |
新增 |
4 |
003358 |
易方达中债7-10年期国开行债券指数A |
4.95% |
3956.99 |
4128.73 |
新增 |
5 |
530008 |
建信稳定增利债券C |
3.89% |
1869.35 |
3243.32 |
0.00 (0.11%) |
6 |
000693 |
建信现金添利货币A |
3.84% |
3201.54 |
3201.54 |
4823.96 (5.87%) |
7 |
160612 |
鹏华丰收债券B |
3.32% |
2533.48 |
2774.16 |
0.00 (0.20%) |
8 |
206018 |
鹏华产业债债券A |
3.12% |
2290.57 |
2602.09 |
新增 |
9 |
531008 |
建信稳定增利债券A |
3.11% |
1459.85 |
2594.16 |
0.00 (0.09%) |
10 |
000032 |
易方达信用债债券A |
2.88% |
1998.25 |
2401.90 |
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 |
002377 |
建信睿怡纯债债券A |
12.51% |
9557.83 |
10439.06 |
|
-2935.31 (-3.78%) |
2 |
530021 |
建信纯债债券A |
8.70% |
5365.13 |
7259.02 |
|
0.00 (0.03%) |
3 |
531021 |
建信纯债债券C |
5.76% |
3644.19 |
4806.68 |
|
新增 |
4 |
003358 |
易方达中债7-10年期国开行债券指数A |
4.95% |
3956.99 |
4128.73 |
|
新增 |
5 |
530008 |
建信稳定增利债券C |
3.89% |
1869.35 |
3243.32 |
|
0.00 (0.11%) |
6 |
000693 |
建信现金添利货币A |
3.84% |
3201.54 |
3201.54 |
|
4823.96 (5.87%) |
7 |
160612 |
鹏华丰收债券B |
3.32% |
2533.48 |
2774.16 |
|
0.00 (0.20%) |
8 |
206018 |
鹏华产业债债券A |
3.12% |
2290.57 |
2602.09 |
|
新增 |
9 |
531008 |
建信稳定增利债券A |
3.11% |
1459.85 |
2594.16 |
|
0.00 (0.09%) |
10 |
000032 |
易方达信用债债券A |
2.88% |
1998.25 |
2401.90 |
|
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 |
002758 |
建信现金增利货币A |
12.14% |
10028.63 |
10028.63 |
0.00 (新增) |
2 |
000693 |
建信现金添利货币A |
9.71% |
8025.50 |
8025.50 |
0.00 (新增) |
3 |
002377 |
建信睿怡纯债债券A |
8.73% |
6622.52 |
7210.60 |
0.00 (新增) |
4 |
530021 |
建信纯债债券A |
8.73% |
5365.13 |
7210.73 |
0.00 (新增) |
5 |
003022 |
建信现金添益货币A |
8.50% |
7023.26 |
7023.26 |
0.00 (新增) |
6 |
003185 |
建信货币B |
8.13% |
6719.64 |
6719.64 |
0.00 (新增) |
7 |
530008 |
建信稳定增利债券C |
4.00% |
1869.35 |
3305.01 |
0.00 (新增) |
8 |
160612 |
鹏华丰收债券B |
3.52% |
2533.48 |
2905.90 |
0.00 (新增) |
9 |
531008 |
建信稳定增利债券A |
3.20% |
1459.85 |
2640.88 |
0.00 (新增) |
10 |
003583 |
建信稳定鑫利债券A |
2.91% |
2151.12 |
2402.80 |
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 |
002758 |
建信现金增利货币A |
12.14% |
10028.63 |
10028.63 |
|
0.00 (新增) |
2 |
000693 |
建信现金添利货币A |
9.71% |
8025.50 |
8025.50 |
|
0.00 (新增) |
3 |
002377 |
建信睿怡纯债债券A |
8.73% |
6622.52 |
7210.60 |
|
0.00 (新增) |
4 |
530021 |
建信纯债债券A |
8.73% |
5365.13 |
7210.73 |
|
0.00 (新增) |
5 |
003022 |
建信现金添益货币A |
8.50% |
7023.26 |
7023.26 |
|
0.00 (新增) |
6 |
003185 |
建信货币B |
8.13% |
6719.64 |
6719.64 |
|
0.00 (新增) |
7 |
530008 |
建信稳定增利债券C |
4.00% |
1869.35 |
3305.01 |
|
0.00 (新增) |
8 |
160612 |
鹏华丰收债券B |
3.52% |
2533.48 |
2905.90 |
|
0.00 (新增) |
9 |
531008 |
建信稳定增利债券A |
3.20% |
1459.85 |
2640.88 |
|
0.00 (新增) |
10 |
003583 |
建信稳定鑫利债券A |
2.91% |
2151.12 |
2402.80 |
|
0.00 (新增) |
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