易方达汇诚养老2033三年持有混合发起(FOF)A
(006859)公募FOF
1.3800
0.69%+0.0096
单位净值 [2025-09-24]
- 最近一月:3.42%
- 最近一季:11.60%
- 最近半年:11.45%
- 今年以来:13.66%
- 最近一年:22.70%
- 最近两年:12.52%
- 最近三年:11.62%
- 成立以来:38.00%
- 成立日期:2019-04-30
- 基金经理:汪玲
- 产品类型:契约型开放式
- 最新份额:0.10亿
- 申购状态:可以申购
- 最新规模:6.48亿元
- 投资风格:
- 管理公司:易方达
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 |
110008 |
易方达稳健收益债券B |
11.79% |
5358.71 |
7632.94 |
0.00 (0.12%) |
2 |
110036 |
易方达双债增强债券C |
5.51% |
2030.79 |
3568.10 |
0.00 (-0.02%) |
3 |
110018 |
易方达增强回报债券B |
3.93% |
1878.29 |
2541.32 |
0.00 (0.23%) |
4 |
002351 |
易方达裕祥回报债券A |
3.64% |
1487.45 |
2356.13 |
0.00 (0.20%) |
5 |
017414 |
易方达安盈回报混合C |
3.38% |
1022.95 |
2187.06 |
0.00 (0.10%) |
6 |
004965 |
泓德致远混合A |
2.75% |
1024.07 |
1781.77 |
0.00 (0.13%) |
7 |
017156 |
易方达岁丰添利债券(LOF)C |
2.67% |
1027.71 |
1727.68 |
596.09 (1.60%) |
8 |
009512 |
天弘添利债券(LOF)E |
2.55% |
1289.99 |
1649.64 |
新增 |
9 |
005877 |
易方达鑫转增利混合C |
2.45% |
798.38 |
1587.02 |
0.00 (0.04%) |
10 |
184801 |
鹏华前海万科REITS |
1.95% |
12.67 |
1260.00 |
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 |
110008 |
易方达稳健收益债券B |
11.79% |
5358.71 |
7632.94 |
|
0.00 (0.12%) |
2 |
110036 |
易方达双债增强债券C |
5.51% |
2030.79 |
3568.10 |
|
0.00 (-0.02%) |
3 |
110018 |
易方达增强回报债券B |
3.93% |
1878.29 |
2541.32 |
|
0.00 (0.23%) |
4 |
002351 |
易方达裕祥回报债券A |
3.64% |
1487.45 |
2356.13 |
|
0.00 (0.20%) |
5 |
017414 |
易方达安盈回报混合C |
3.38% |
1022.95 |
2187.06 |
|
0.00 (0.10%) |
6 |
004965 |
泓德致远混合A |
2.75% |
1024.07 |
1781.77 |
|
0.00 (0.13%) |
7 |
017156 |
易方达岁丰添利债券(LOF)C |
2.67% |
1027.71 |
1727.68 |
|
596.09 (1.60%) |
8 |
009512 |
天弘添利债券(LOF)E |
2.55% |
1289.99 |
1649.64 |
|
新增 |
9 |
005877 |
易方达鑫转增利混合C |
2.45% |
798.38 |
1587.02 |
|
0.00 (0.04%) |
10 |
184801 |
鹏华前海万科REITS |
1.95% |
12.67 |
1260.00 |
|
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 |
110008 |
易方达稳健收益债券B |
11.91% |
5358.71 |
7429.31 |
0.00 (0.31%) |
2 |
110036 |
易方达双债增强债券C |
5.49% |
2030.79 |
3425.95 |
0.00 (0.26%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.27% |
1623.80 |
2665.30 |
0.00 (0.24%) |
4 |
110018 |
易方达增强回报债券B |
4.16% |
1878.29 |
2593.91 |
0.00 (0.28%) |
5 |
002351 |
易方达裕祥回报债券A |
3.84% |
1487.45 |
2394.80 |
0.00 (0.22%) |
6 |
017414 |
易方达安盈回报混合C |
3.48% |
1022.95 |
2173.77 |
0.00 (0.06%) |
7 |
110052 |
易方达安源中短债债券C |
3.20% |
1951.60 |
1995.90 |
新增 |
8 |
000833 |
易方达富华纯债债券C |
3.19% |
1945.90 |
1987.55 |
0.00 (0.19%) |
9 |
004965 |
泓德致远混合A |
2.88% |
1024.07 |
1799.59 |
0.00 (-0.10%) |
10 |
005877 |
易方达鑫转增利混合C |
2.49% |
798.38 |
1553.65 |
0.00 (0.08%) |
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 |
110008 |
易方达稳健收益债券B |
11.91% |
5358.71 |
7429.31 |
|
0.00 (0.31%) |
2 |
110036 |
易方达双债增强债券C |
5.49% |
2030.79 |
3425.95 |
|
0.00 (0.26%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.27% |
1623.80 |
2665.30 |
|
0.00 (0.24%) |
4 |
110018 |
易方达增强回报债券B |
4.16% |
1878.29 |
2593.91 |
|
0.00 (0.28%) |
5 |
002351 |
易方达裕祥回报债券A |
3.84% |
1487.45 |
2394.80 |
|
0.00 (0.22%) |
6 |
017414 |
易方达安盈回报混合C |
3.48% |
1022.95 |
2173.77 |
|
0.00 (0.06%) |
7 |
110052 |
易方达安源中短债债券C |
3.20% |
1951.60 |
1995.90 |
|
新增 |
8 |
000833 |
易方达富华纯债债券C |
3.19% |
1945.90 |
1987.55 |
|
0.00 (0.19%) |
9 |
004965 |
泓德致远混合A |
2.88% |
1024.07 |
1799.59 |
|
0.00 (-0.10%) |
10 |
005877 |
易方达鑫转增利混合C |
2.49% |
798.38 |
1553.65 |
|
0.00 (0.08%) |
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 |
110008 |
易方达稳健收益债券B |
12.22% |
5358.71 |
7239.07 |
0.00 (-0.01%) |
2 |
110036 |
易方达双债增强债券C |
5.75% |
2030.79 |
3403.61 |
-299.22 (-0.83%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.51% |
1623.80 |
2669.04 |
0.00 (-0.01%) |
4 |
110018 |
易方达增强回报债券B |
4.44% |
1878.29 |
2629.60 |
0.00 (-0.04%) |
5 |
002351 |
易方达裕祥回报债券A |
4.06% |
1487.45 |
2402.24 |
0.00 (0.00%) |
6 |
017414 |
易方达安盈回报混合C |
3.54% |
1022.95 |
2093.98 |
0.00 (0.02%) |
7 |
000833 |
易方达富华纯债债券C |
3.38% |
1945.90 |
2001.56 |
新增 |
8 |
004965 |
泓德致远混合A |
2.78% |
1024.07 |
1646.39 |
0.00 (0.06%) |
9 |
005877 |
易方达鑫转增利混合C |
2.57% |
798.38 |
1521.72 |
0.00 (0.02%) |
10 |
006102 |
浙商丰利增强债券 |
2.57% |
922.29 |
1523.44 |
0.00 (-0.02%) |
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 |
110008 |
易方达稳健收益债券B |
12.22% |
5358.71 |
7239.07 |
|
0.00 (-0.01%) |
2 |
110036 |
易方达双债增强债券C |
5.75% |
2030.79 |
3403.61 |
|
-299.22 (-0.83%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.51% |
1623.80 |
2669.04 |
|
0.00 (-0.01%) |
4 |
110018 |
易方达增强回报债券B |
4.44% |
1878.29 |
2629.60 |
|
0.00 (-0.04%) |
5 |
002351 |
易方达裕祥回报债券A |
4.06% |
1487.45 |
2402.24 |
|
0.00 (0.00%) |
6 |
017414 |
易方达安盈回报混合C |
3.54% |
1022.95 |
2093.98 |
|
0.00 (0.02%) |
7 |
000833 |
易方达富华纯债债券C |
3.38% |
1945.90 |
2001.56 |
|
新增 |
8 |
004965 |
泓德致远混合A |
2.78% |
1024.07 |
1646.39 |
|
0.00 (0.06%) |
9 |
005877 |
易方达鑫转增利混合C |
2.57% |
798.38 |
1521.72 |
|
0.00 (0.02%) |
10 |
006102 |
浙商丰利增强债券 |
2.57% |
922.29 |
1523.44 |
|
0.00 (-0.02%) |
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 |
110008 |
易方达稳健收益债券B |
12.21% |
5358.71 |
7138.33 |
320.69 (0.91%) |
2 |
110036 |
易方达双债增强债券C |
4.92% |
1731.57 |
2874.41 |
-1123.84 (-3.16%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.50% |
1623.80 |
2630.07 |
0.00 (0.05%) |
4 |
110018 |
易方达增强回报债券B |
4.40% |
1878.29 |
2571.37 |
0.00 (0.00%) |
5 |
002351 |
易方达裕祥回报债券A |
4.06% |
1487.45 |
2373.98 |
0.00 (0.00%) |
6 |
017414 |
易方达安盈回报混合C |
3.56% |
1022.95 |
2079.66 |
新增 |
7 |
004965 |
泓德致远混合A |
2.84% |
1024.07 |
1662.88 |
-485.99 (-1.27%) |
8 |
005877 |
易方达鑫转增利混合C |
2.59% |
798.38 |
1515.01 |
新增 |
9 |
006102 |
浙商丰利增强债券 |
2.55% |
922.29 |
1491.81 |
493.32 (1.48%) |
10 |
016344 |
易方达裕惠定开混合C |
2.46% |
871.88 |
1441.22 |
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 |
110008 |
易方达稳健收益债券B |
12.21% |
5358.71 |
7138.33 |
|
320.69 (0.91%) |
2 |
110036 |
易方达双债增强债券C |
4.92% |
1731.57 |
2874.41 |
|
-1123.84 (-3.16%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.50% |
1623.80 |
2630.07 |
|
0.00 (0.05%) |
4 |
110018 |
易方达增强回报债券B |
4.40% |
1878.29 |
2571.37 |
|
0.00 (0.00%) |
5 |
002351 |
易方达裕祥回报债券A |
4.06% |
1487.45 |
2373.98 |
|
0.00 (0.00%) |
6 |
017414 |
易方达安盈回报混合C |
3.56% |
1022.95 |
2079.66 |
|
新增 |
7 |
004965 |
泓德致远混合A |
2.84% |
1024.07 |
1662.88 |
|
-485.99 (-1.27%) |
8 |
005877 |
易方达鑫转增利混合C |
2.59% |
798.38 |
1515.01 |
|
新增 |
9 |
006102 |
浙商丰利增强债券 |
2.55% |
922.29 |
1491.81 |
|
493.32 (1.48%) |
10 |
016344 |
易方达裕惠定开混合C |
2.46% |
871.88 |
1441.22 |
|
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 |
110008 |
易方达稳健收益债券B |
13.12% |
5679.40 |
7461.02 |
0.00 (0.71%) |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
4.58% |
1631.16 |
2604.95 |
0.00 (-0.04%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.55% |
1623.80 |
2585.74 |
0.00 (-0.04%) |
4 |
110018 |
易方达增强回报债券B |
4.40% |
1878.29 |
2501.88 |
0.00 (-0.03%) |
5 |
002351 |
易方达裕祥回报债券A |
4.06% |
1487.45 |
2311.50 |
0.00 (-0.01%) |
6 |
006102 |
浙商丰利增强债券 |
4.03% |
1415.61 |
2289.33 |
0.00 (0.31%) |
7 |
016479 |
易方达裕丰回报债券C |
3.92% |
1335.94 |
2228.35 |
0.00 (0.00%) |
8 |
011066 |
大成高鑫股票C |
3.16% |
519.40 |
1797.64 |
0.00 (0.19%) |
9 |
003293 |
易方达科瑞混合 |
2.73% |
860.27 |
1554.50 |
0.00 (0.07%) |
10 |
005847 |
富国沪港深业绩驱动混合型A |
2.18% |
840.89 |
1238.12 |
0.00 (0.11%) |
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 |
110008 |
易方达稳健收益债券B |
13.12% |
5679.40 |
7461.02 |
|
0.00 (0.71%) |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
4.58% |
1631.16 |
2604.95 |
|
0.00 (-0.04%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.55% |
1623.80 |
2585.74 |
|
0.00 (-0.04%) |
4 |
110018 |
易方达增强回报债券B |
4.40% |
1878.29 |
2501.88 |
|
0.00 (-0.03%) |
5 |
002351 |
易方达裕祥回报债券A |
4.06% |
1487.45 |
2311.50 |
|
0.00 (-0.01%) |
6 |
006102 |
浙商丰利增强债券 |
4.03% |
1415.61 |
2289.33 |
|
0.00 (0.31%) |
7 |
016479 |
易方达裕丰回报债券C |
3.92% |
1335.94 |
2228.35 |
|
0.00 (0.00%) |
8 |
011066 |
大成高鑫股票C |
3.16% |
519.40 |
1797.64 |
|
0.00 (0.19%) |
9 |
003293 |
易方达科瑞混合 |
2.73% |
860.27 |
1554.50 |
|
0.00 (0.07%) |
10 |
005847 |
富国沪港深业绩驱动混合型A |
2.18% |
840.89 |
1238.12 |
|
0.00 (0.11%) |
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 |
110008 |
易方达稳健收益债券B |
13.83% |
5679.40 |
7906.29 |
0.00 (-0.15%) |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
4.54% |
1631.16 |
2595.49 |
0.00 (-0.06%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.51% |
1623.80 |
2577.78 |
0.00 (-0.06%) |
4 |
110018 |
易方达增强回报债券B |
4.37% |
1878.29 |
2500.00 |
0.00 (-0.03%) |
5 |
006102 |
浙商丰利增强债券 |
4.34% |
1415.61 |
2483.97 |
0.00 (0.01%) |
6 |
002351 |
易方达裕祥回报债券A |
4.05% |
1487.45 |
2317.45 |
0.00 (-0.05%) |
7 |
016479 |
易方达裕丰回报债券C |
3.92% |
1335.94 |
2243.05 |
0.00 (-0.06%) |
8 |
011066 |
大成高鑫股票C |
3.35% |
519.40 |
1917.62 |
0.00 (0.04%) |
9 |
003293 |
易方达科瑞混合 |
2.80% |
860.27 |
1603.45 |
0.00 (0.10%) |
10 |
005847 |
富国沪港深业绩驱动混合型A |
2.29% |
840.89 |
1308.67 |
0.00 (0.00%) |
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 |
110008 |
易方达稳健收益债券B |
13.83% |
5679.40 |
7906.29 |
|
0.00 (-0.15%) |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
4.54% |
1631.16 |
2595.49 |
|
0.00 (-0.06%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.51% |
1623.80 |
2577.78 |
|
0.00 (-0.06%) |
4 |
110018 |
易方达增强回报债券B |
4.37% |
1878.29 |
2500.00 |
|
0.00 (-0.03%) |
5 |
006102 |
浙商丰利增强债券 |
4.34% |
1415.61 |
2483.97 |
|
0.00 (0.01%) |
6 |
002351 |
易方达裕祥回报债券A |
4.05% |
1487.45 |
2317.45 |
|
0.00 (-0.05%) |
7 |
016479 |
易方达裕丰回报债券C |
3.92% |
1335.94 |
2243.05 |
|
0.00 (-0.06%) |
8 |
011066 |
大成高鑫股票C |
3.35% |
519.40 |
1917.62 |
|
0.00 (0.04%) |
9 |
003293 |
易方达科瑞混合 |
2.80% |
860.27 |
1603.45 |
|
0.00 (0.10%) |
10 |
005847 |
富国沪港深业绩驱动混合型A |
2.29% |
840.89 |
1308.67 |
|
0.00 (0.00%) |
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 |
110008 |
易方达稳健收益债券B |
13.68% |
5679.40 |
7886.98 |
0.00 (-0.11%) |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
4.48% |
1631.16 |
2583.42 |
0.00 (-0.06%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.45% |
1623.80 |
2567.39 |
0.00 (-0.05%) |
4 |
006102 |
浙商丰利增强债券 |
4.35% |
1415.61 |
2506.20 |
0.00 (0.10%) |
5 |
110018 |
易方达增强回报债券B |
4.34% |
1878.29 |
2503.76 |
0.00 (0.10%) |
6 |
002351 |
易方达裕祥回报债券A |
4.00% |
1487.45 |
2305.55 |
0.00 (-0.04%) |
7 |
016479 |
易方达裕丰回报债券C |
3.86% |
1335.94 |
2225.68 |
0.00 (0.02%) |
8 |
011066 |
大成高鑫股票C |
3.39% |
519.40 |
1952.94 |
0.00 (-0.20%) |
9 |
003293 |
易方达科瑞混合 |
2.90% |
860.27 |
1674.51 |
0.00 (0.17%) |
10 |
005847 |
富国沪港深业绩驱动混合型A |
2.29% |
840.89 |
1321.45 |
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 |
110008 |
易方达稳健收益债券B |
13.68% |
5679.40 |
7886.98 |
|
0.00 (-0.11%) |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
4.48% |
1631.16 |
2583.42 |
|
0.00 (-0.06%) |
3 |
017156 |
易方达岁丰添利债券(LOF)C |
4.45% |
1623.80 |
2567.39 |
|
0.00 (-0.05%) |
4 |
006102 |
浙商丰利增强债券 |
4.35% |
1415.61 |
2506.20 |
|
0.00 (0.10%) |
5 |
110018 |
易方达增强回报债券B |
4.34% |
1878.29 |
2503.76 |
|
0.00 (0.10%) |
6 |
002351 |
易方达裕祥回报债券A |
4.00% |
1487.45 |
2305.55 |
|
0.00 (-0.04%) |
7 |
016479 |
易方达裕丰回报债券C |
3.86% |
1335.94 |
2225.68 |
|
0.00 (0.02%) |
8 |
011066 |
大成高鑫股票C |
3.39% |
519.40 |
1952.94 |
|
0.00 (-0.20%) |
9 |
003293 |
易方达科瑞混合 |
2.90% |
860.27 |
1674.51 |
|
0.00 (0.17%) |
10 |
005847 |
富国沪港深业绩驱动混合型A |
2.29% |
840.89 |
1321.45 |
|
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 |
110008 |
易方达稳健收益债券B |
13.57% |
5679.40 |
7860.85 |
-480.83 (-0.19%) |
2 |
006102 |
浙商丰利增强债券 |
4.45% |
1415.61 |
2579.24 |
0.00 (0.37%) |
3 |
110018 |
易方达增强回报债券B |
4.44% |
1878.29 |
2573.25 |
0.00 (0.36%) |
4 |
161115 |
易方达岁丰添利债券(LOF)A |
4.42% |
1631.16 |
2561.24 |
0.00 (0.40%) |
5 |
017156 |
易方达岁丰添利债券(LOF)C |
4.40% |
1623.80 |
2547.09 |
0.00 (0.39%) |
6 |
002351 |
易方达裕祥回报债券A |
3.96% |
1487.45 |
2296.63 |
0.00 (0.33%) |
7 |
016479 |
易方达裕丰回报债券C |
3.88% |
1335.94 |
2245.72 |
-600.96 (-1.56%) |
8 |
011066 |
大成高鑫股票C |
3.19% |
519.40 |
1848.03 |
0.00 (0.09%) |
9 |
003293 |
易方达科瑞混合 |
3.07% |
860.27 |
1780.06 |
0.00 (0.13%) |
10 |
012940 |
中泰星元灵活配置混合C |
2.60% |
616.59 |
1503.67 |
0.00 (0.23%) |
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 |
110008 |
易方达稳健收益债券B |
13.57% |
5679.40 |
7860.85 |
|
-480.83 (-0.19%) |
2 |
006102 |
浙商丰利增强债券 |
4.45% |
1415.61 |
2579.24 |
|
0.00 (0.37%) |
3 |
110018 |
易方达增强回报债券B |
4.44% |
1878.29 |
2573.25 |
|
0.00 (0.36%) |
4 |
161115 |
易方达岁丰添利债券(LOF)A |
4.42% |
1631.16 |
2561.24 |
|
0.00 (0.40%) |
5 |
017156 |
易方达岁丰添利债券(LOF)C |
4.40% |
1623.80 |
2547.09 |
|
0.00 (0.39%) |
6 |
002351 |
易方达裕祥回报债券A |
3.96% |
1487.45 |
2296.63 |
|
0.00 (0.33%) |
7 |
016479 |
易方达裕丰回报债券C |
3.88% |
1335.94 |
2245.72 |
|
-600.96 (-1.56%) |
8 |
011066 |
大成高鑫股票C |
3.19% |
519.40 |
1848.03 |
|
0.00 (0.09%) |
9 |
003293 |
易方达科瑞混合 |
3.07% |
860.27 |
1780.06 |
|
0.00 (0.13%) |
10 |
012940 |
中泰星元灵活配置混合C |
2.60% |
616.59 |
1503.67 |
|
0.00 (0.23%) |
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 |
110008 |
易方达稳健收益债券B |
13.38% |
5198.57 |
6995.71 |
-3274.99 (-3.03%) |
2 |
006102 |
浙商丰利增强债券 |
4.82% |
1415.61 |
2521.77 |
新增 |
3 |
161115 |
易方达岁丰添利债券(LOF)A |
4.82% |
1631.16 |
2518.18 |
0.00 (5.22%) |
4 |
110018 |
易方达增强回报债券B |
4.80% |
1878.29 |
2511.27 |
新增 |
5 |
017156 |
易方达岁丰添利债券(LOF)C |
4.79% |
1623.80 |
2505.85 |
新增 |
6 |
002351 |
易方达裕祥回报债券A |
4.29% |
1487.45 |
2241.59 |
0.00 (5.63%) |
7 |
011066 |
大成高鑫股票C |
3.28% |
519.40 |
1715.58 |
-301.59 (-0.50%) |
8 |
003293 |
易方达科瑞混合 |
3.20% |
860.27 |
1675.37 |
-513.39 (-0.56%) |
9 |
012940 |
中泰星元灵活配置混合C |
2.83% |
616.59 |
1481.41 |
新增 |
10 |
005847 |
富国沪港深业绩驱动混合型A |
2.69% |
840.89 |
1404.87 |
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 |
110008 |
易方达稳健收益债券B |
13.38% |
5198.57 |
6995.71 |
|
-3274.99 (-3.03%) |
2 |
006102 |
浙商丰利增强债券 |
4.82% |
1415.61 |
2521.77 |
|
新增 |
3 |
161115 |
易方达岁丰添利债券(LOF)A |
4.82% |
1631.16 |
2518.18 |
|
0.00 (5.22%) |
4 |
110018 |
易方达增强回报债券B |
4.80% |
1878.29 |
2511.27 |
|
新增 |
5 |
017156 |
易方达岁丰添利债券(LOF)C |
4.79% |
1623.80 |
2505.85 |
|
新增 |
6 |
002351 |
易方达裕祥回报债券A |
4.29% |
1487.45 |
2241.59 |
|
0.00 (5.63%) |
7 |
011066 |
大成高鑫股票C |
3.28% |
519.40 |
1715.58 |
|
-301.59 (-0.50%) |
8 |
003293 |
易方达科瑞混合 |
3.20% |
860.27 |
1675.37 |
|
-513.39 (-0.56%) |
9 |
012940 |
中泰星元灵活配置混合C |
2.83% |
616.59 |
1481.41 |
|
新增 |
10 |
005847 |
富国沪港深业绩驱动混合型A |
2.69% |
840.89 |
1404.87 |
|
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 |
110008 |
易方达稳健收益债券B |
10.35% |
1923.58 |
2628.76 |
-1807.12 (-9.75%) |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
10.04% |
1631.16 |
2549.50 |
0.00 (-0.60%) |
3 |
002351 |
易方达裕祥回报债券A |
9.92% |
1487.45 |
2518.26 |
0.00 (-0.34%) |
4 |
006867 |
易方达丰华债券C |
4.90% |
1007.71 |
1245.63 |
0.00 (-0.13%) |
5 |
001136 |
易方达裕如混合A |
4.22% |
855.89 |
1070.72 |
新增 |
6 |
001603 |
易方达安盈回报混合A |
3.14% |
377.51 |
796.93 |
0.00 (0.12%) |
7 |
001746 |
易方达瑞富混合E |
2.79% |
549.55 |
708.92 |
0.00 (-0.14%) |
8 |
011066 |
大成高鑫股票C |
2.78% |
217.81 |
704.84 |
0.00 (0.10%) |
9 |
000436 |
易方达裕惠定开混合A |
2.68% |
408.45 |
681.71 |
-297.97 (-1.99%) |
10 |
003293 |
易方达科瑞混合 |
2.64% |
346.87 |
671.34 |
0.00 (0.05%) |
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 |
110008 |
易方达稳健收益债券B |
10.35% |
1923.58 |
2628.76 |
|
-1807.12 (-9.75%) |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
10.04% |
1631.16 |
2549.50 |
|
0.00 (-0.60%) |
3 |
002351 |
易方达裕祥回报债券A |
9.92% |
1487.45 |
2518.26 |
|
0.00 (-0.34%) |
4 |
006867 |
易方达丰华债券C |
4.90% |
1007.71 |
1245.63 |
|
0.00 (-0.13%) |
5 |
001136 |
易方达裕如混合A |
4.22% |
855.89 |
1070.72 |
|
新增 |
6 |
001603 |
易方达安盈回报混合A |
3.14% |
377.51 |
796.93 |
|
0.00 (0.12%) |
7 |
001746 |
易方达瑞富混合E |
2.79% |
549.55 |
708.92 |
|
0.00 (-0.14%) |
8 |
011066 |
大成高鑫股票C |
2.78% |
217.81 |
704.84 |
|
0.00 (0.10%) |
9 |
000436 |
易方达裕惠定开混合A |
2.68% |
408.45 |
681.71 |
|
-297.97 (-1.99%) |
10 |
003293 |
易方达科瑞混合 |
2.64% |
346.87 |
671.34 |
|
0.00 (0.05%) |
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 |
002351 |
易方达裕祥回报债券A |
9.58% |
1487.45 |
2567.34 |
新增 |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
9.44% |
1631.16 |
2529.92 |
-1111.84 (0.26%) |
3 |
110018 |
易方达增强回报债券B |
9.34% |
1831.71 |
2502.12 |
-1265.32 (-0.02%) |
4 |
006867 |
易方达丰华债券C |
4.77% |
1007.71 |
1278.48 |
-699.59 (-0.06%) |
5 |
001603 |
易方达安盈回报混合A |
3.26% |
377.51 |
874.70 |
-261.00 (-0.13%) |
6 |
510900 |
易方达恒生国企(QDII-ETF) |
2.95% |
912.16 |
789.93 |
新增 |
7 |
011066 |
大成高鑫股票C |
2.88% |
217.81 |
771.49 |
-148.22 (-0.02%) |
8 |
003293 |
易方达科瑞混合 |
2.69% |
346.87 |
721.98 |
-215.34 (0.53%) |
9 |
001746 |
易方达瑞富混合E |
2.65% |
549.55 |
710.57 |
41.00 (6.56%) |
10 |
001882 |
中欧价值发现混合E |
2.23% |
239.63 |
597.82 |
-155.64 (0.35%) |
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 |
002351 |
易方达裕祥回报债券A |
9.58% |
1487.45 |
2567.34 |
|
新增 |
2 |
161115 |
易方达岁丰添利债券(LOF)A |
9.44% |
1631.16 |
2529.92 |
|
-1111.84 (0.26%) |
3 |
110018 |
易方达增强回报债券B |
9.34% |
1831.71 |
2502.12 |
|
-1265.32 (-0.02%) |
4 |
006867 |
易方达丰华债券C |
4.77% |
1007.71 |
1278.48 |
|
-699.59 (-0.06%) |
5 |
001603 |
易方达安盈回报混合A |
3.26% |
377.51 |
874.70 |
|
-261.00 (-0.13%) |
6 |
510900 |
易方达恒生国企(QDII-ETF) |
2.95% |
912.16 |
789.93 |
|
新增 |
7 |
011066 |
大成高鑫股票C |
2.88% |
217.81 |
771.49 |
|
-148.22 (-0.02%) |
8 |
003293 |
易方达科瑞混合 |
2.69% |
346.87 |
721.98 |
|
-215.34 (0.53%) |
9 |
001746 |
易方达瑞富混合E |
2.65% |
549.55 |
710.57 |
|
41.00 (6.56%) |
10 |
001882 |
中欧价值发现混合E |
2.23% |
239.63 |
597.82 |
|
-155.64 (0.35%) |
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 |
161115 |
易方达岁丰添利债券(LOF)A |
9.70% |
519.32 |
790.40 |
新增 |
2 |
110018 |
易方达增强回报债券B |
9.32% |
566.39 |
760.09 |
-446.76 (-3.48%) |
3 |
001746 |
易方达瑞富混合E |
9.21% |
590.55 |
750.59 |
新增 |
4 |
006867 |
易方达丰华债券C |
4.71% |
308.12 |
383.70 |
-207.50 (-0.01%) |
5 |
003293 |
易方达科瑞混合 |
3.22% |
131.53 |
262.51 |
-98.26 (-0.49%) |
6 |
001603 |
易方达安盈回报混合A |
3.13% |
116.51 |
255.16 |
-53.05 (2.68%) |
7 |
011066 |
大成高鑫股票C |
2.86% |
69.59 |
233.18 |
-52.30 (-0.35%) |
8 |
750001 |
安信灵活配置混合A |
2.64% |
83.82 |
215.42 |
-62.34 (-0.48%) |
9 |
001882 |
中欧价值发现混合E |
2.58% |
83.99 |
210.03 |
-72.19 (-1.43%) |
10 |
001182 |
易方达安心回馈混合A |
2.53% |
85.47 |
206.50 |
0.00 (5.57%) |
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 |
161115 |
易方达岁丰添利债券(LOF)A |
9.70% |
519.32 |
790.40 |
|
新增 |
2 |
110018 |
易方达增强回报债券B |
9.32% |
566.39 |
760.09 |
|
-446.76 (-3.48%) |
3 |
001746 |
易方达瑞富混合E |
9.21% |
590.55 |
750.59 |
|
新增 |
4 |
006867 |
易方达丰华债券C |
4.71% |
308.12 |
383.70 |
|
-207.50 (-0.01%) |
5 |
003293 |
易方达科瑞混合 |
3.22% |
131.53 |
262.51 |
|
-98.26 (-0.49%) |
6 |
001603 |
易方达安盈回报混合A |
3.13% |
116.51 |
255.16 |
|
-53.05 (2.68%) |
7 |
011066 |
大成高鑫股票C |
2.86% |
69.59 |
233.18 |
|
-52.30 (-0.35%) |
8 |
750001 |
安信灵活配置混合A |
2.64% |
83.82 |
215.42 |
|
-62.34 (-0.48%) |
9 |
001882 |
中欧价值发现混合E |
2.58% |
83.99 |
210.03 |
|
-72.19 (-1.43%) |
10 |
001182 |
易方达安心回馈混合A |
2.53% |
85.47 |
206.50 |
|
0.00 (5.57%) |
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 |
001182 |
易方达安心回馈混合A |
8.10% |
85.47 |
225.22 |
0.00 (0.22%) |
2 |
110008 |
易方达稳健收益债券B |
5.91% |
116.45 |
164.36 |
0.00 (0.67%) |
3 |
110018 |
易方达增强回报债券B |
5.84% |
119.63 |
162.33 |
0.00 (0.63%) |
4 |
001603 |
易方达安盈回报混合A |
5.81% |
63.46 |
161.63 |
0.00 (0.51%) |
5 |
001249 |
易方达新利混合 |
5.71% |
101.14 |
158.89 |
0.00 (0.52%) |
6 |
006867 |
易方达丰华债券C |
4.70% |
100.62 |
130.72 |
新增 |
7 |
001807 |
易方达瑞智混合E |
3.71% |
83.09 |
103.20 |
0.00 (0.34%) |
8 |
166001 |
中欧新趋势混合(LOF)A |
3.31% |
52.35 |
91.99 |
0.00 (0.22%) |
9 |
001433 |
易方达瑞景混合 |
3.29% |
58.70 |
91.46 |
0.00 (0.30%) |
10 |
001857 |
易方达现代服务业混合 |
3.07% |
40.09 |
85.27 |
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 |
001182 |
易方达安心回馈混合A |
8.10% |
85.47 |
225.22 |
|
0.00 (0.22%) |
2 |
110008 |
易方达稳健收益债券B |
5.91% |
116.45 |
164.36 |
|
0.00 (0.67%) |
3 |
110018 |
易方达增强回报债券B |
5.84% |
119.63 |
162.33 |
|
0.00 (0.63%) |
4 |
001603 |
易方达安盈回报混合A |
5.81% |
63.46 |
161.63 |
|
0.00 (0.51%) |
5 |
001249 |
易方达新利混合 |
5.71% |
101.14 |
158.89 |
|
0.00 (0.52%) |
6 |
006867 |
易方达丰华债券C |
4.70% |
100.62 |
130.72 |
|
新增 |
7 |
001807 |
易方达瑞智混合E |
3.71% |
83.09 |
103.20 |
|
0.00 (0.34%) |
8 |
166001 |
中欧新趋势混合(LOF)A |
3.31% |
52.35 |
91.99 |
|
0.00 (0.22%) |
9 |
001433 |
易方达瑞景混合 |
3.29% |
58.70 |
91.46 |
|
0.00 (0.30%) |
10 |
001857 |
易方达现代服务业混合 |
3.07% |
40.09 |
85.27 |
|
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 |
001182 |
易方达安心回馈混合A |
8.32% |
85.47 |
208.38 |
-20.13 (-1.53%) |
2 |
110008 |
易方达稳健收益债券B |
6.58% |
116.45 |
164.90 |
-71.32 (-3.92%) |
3 |
110018 |
易方达增强回报债券B |
6.47% |
119.63 |
162.09 |
-60.30 (-3.09%) |
4 |
001603 |
易方达安盈回报混合A |
6.32% |
63.46 |
158.20 |
-18.93 (-1.39%) |
5 |
001249 |
易方达新利混合 |
6.23% |
101.14 |
156.06 |
0.00 (0.54%) |
6 |
001807 |
易方达瑞智混合E |
4.05% |
83.09 |
101.54 |
0.00 (0.37%) |
7 |
001433 |
易方达瑞景混合 |
3.59% |
58.70 |
89.87 |
0.00 (0.32%) |
8 |
166001 |
中欧新趋势混合(LOF)A |
3.53% |
52.35 |
88.31 |
-28.31 (-1.72%) |
9 |
001856 |
易方达环保主题混合A |
3.25% |
19.39 |
81.41 |
0.00 (-0.37%) |
10 |
002593 |
富国美丽中国混合A |
2.96% |
24.64 |
74.16 |
-14.79 (-1.70%) |
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 |
001182 |
易方达安心回馈混合A |
8.32% |
85.47 |
208.38 |
|
-20.13 (-1.53%) |
2 |
110008 |
易方达稳健收益债券B |
6.58% |
116.45 |
164.90 |
|
-71.32 (-3.92%) |
3 |
110018 |
易方达增强回报债券B |
6.47% |
119.63 |
162.09 |
|
-60.30 (-3.09%) |
4 |
001603 |
易方达安盈回报混合A |
6.32% |
63.46 |
158.20 |
|
-18.93 (-1.39%) |
5 |
001249 |
易方达新利混合 |
6.23% |
101.14 |
156.06 |
|
0.00 (0.54%) |
6 |
001807 |
易方达瑞智混合E |
4.05% |
83.09 |
101.54 |
|
0.00 (0.37%) |
7 |
001433 |
易方达瑞景混合 |
3.59% |
58.70 |
89.87 |
|
0.00 (0.32%) |
8 |
166001 |
中欧新趋势混合(LOF)A |
3.53% |
52.35 |
88.31 |
|
-28.31 (-1.72%) |
9 |
001856 |
易方达环保主题混合A |
3.25% |
19.39 |
81.41 |
|
0.00 (-0.37%) |
10 |
002593 |
富国美丽中国混合A |
2.96% |
24.64 |
74.16 |
|
-14.79 (-1.70%) |
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 |
001182 |
易方达安心回馈混合A |
6.79% |
65.35 |
158.99 |
0.00 (0.46%) |
2 |
001249 |
易方达新利混合 |
6.77% |
101.14 |
158.69 |
0.00 (0.60%) |
3 |
001603 |
易方达安盈回报混合A |
4.93% |
44.53 |
115.54 |
0.00 (-0.08%) |
4 |
001807 |
易方达瑞智混合E |
4.42% |
83.09 |
103.45 |
0.00 (0.40%) |
5 |
000147 |
易方达高等级信用债债券A |
4.29% |
89.69 |
100.45 |
新增 |
6 |
001433 |
易方达瑞景混合 |
3.91% |
58.70 |
91.52 |
0.00 (0.35%) |
7 |
511990 |
华宝添益A |
3.43% |
0.80 |
80.29 |
新增 |
8 |
163417 |
兴全合宜混合(LOF)A |
3.40% |
38.33 |
79.71 |
0.00 (0.25%) |
9 |
110018 |
易方达增强回报债券B |
3.38% |
59.32 |
79.14 |
0.00 (0.45%) |
10 |
001836 |
易方达瑞祥混合E |
2.93% |
50.41 |
68.66 |
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 |
001182 |
易方达安心回馈混合A |
6.79% |
65.35 |
158.99 |
|
0.00 (0.46%) |
2 |
001249 |
易方达新利混合 |
6.77% |
101.14 |
158.69 |
|
0.00 (0.60%) |
3 |
001603 |
易方达安盈回报混合A |
4.93% |
44.53 |
115.54 |
|
0.00 (-0.08%) |
4 |
001807 |
易方达瑞智混合E |
4.42% |
83.09 |
103.45 |
|
0.00 (0.40%) |
5 |
000147 |
易方达高等级信用债债券A |
4.29% |
89.69 |
100.45 |
|
新增 |
6 |
001433 |
易方达瑞景混合 |
3.91% |
58.70 |
91.52 |
|
0.00 (0.35%) |
7 |
511990 |
华宝添益A |
3.43% |
0.80 |
80.29 |
|
新增 |
8 |
163417 |
兴全合宜混合(LOF)A |
3.40% |
38.33 |
79.71 |
|
0.00 (0.25%) |
9 |
110018 |
易方达增强回报债券B |
3.38% |
59.32 |
79.14 |
|
0.00 (0.45%) |
10 |
001836 |
易方达瑞祥混合E |
2.93% |
50.41 |
68.66 |
|
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 |
001249 |
易方达新利混合 |
7.37% |
101.14 |
155.65 |
0.00 (0.97%) |
2 |
001182 |
易方达安心回馈混合A |
7.25% |
65.35 |
153.10 |
新增 |
3 |
001603 |
易方达安盈回报混合A |
4.85% |
44.53 |
102.45 |
新增 |
4 |
001807 |
易方达瑞智混合E |
4.82% |
83.09 |
101.70 |
-41.46 (-2.09%) |
5 |
001433 |
易方达瑞景混合 |
4.26% |
58.70 |
89.87 |
0.00 (0.55%) |
6 |
110018 |
易方达增强回报债券B |
3.83% |
59.32 |
80.97 |
新增 |
7 |
163417 |
兴全合宜混合(LOF)A |
3.65% |
38.33 |
77.10 |
-26.14 (-2.35%) |
8 |
001836 |
易方达瑞祥混合E |
3.20% |
50.41 |
67.50 |
0.00 (0.42%) |
9 |
110008 |
易方达稳健收益债券B |
2.89% |
45.13 |
61.13 |
45.00 (3.67%) |
10 |
001286 |
易方达新鑫混合E |
2.82% |
44.80 |
59.53 |
0.00 (0.37%) |
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 |
001249 |
易方达新利混合 |
7.37% |
101.14 |
155.65 |
|
0.00 (0.97%) |
2 |
001182 |
易方达安心回馈混合A |
7.25% |
65.35 |
153.10 |
|
新增 |
3 |
001603 |
易方达安盈回报混合A |
4.85% |
44.53 |
102.45 |
|
新增 |
4 |
001807 |
易方达瑞智混合E |
4.82% |
83.09 |
101.70 |
|
-41.46 (-2.09%) |
5 |
001433 |
易方达瑞景混合 |
4.26% |
58.70 |
89.87 |
|
0.00 (0.55%) |
6 |
110018 |
易方达增强回报债券B |
3.83% |
59.32 |
80.97 |
|
新增 |
7 |
163417 |
兴全合宜混合(LOF)A |
3.65% |
38.33 |
77.10 |
|
-26.14 (-2.35%) |
8 |
001836 |
易方达瑞祥混合E |
3.20% |
50.41 |
67.50 |
|
0.00 (0.42%) |
9 |
110008 |
易方达稳健收益债券B |
2.89% |
45.13 |
61.13 |
|
45.00 (3.67%) |
10 |
001286 |
易方达新鑫混合E |
2.82% |
44.80 |
59.53 |
|
0.00 (0.37%) |
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 |
001249 |
易方达新利混合 |
8.34% |
101.14 |
153.32 |
-44.90 (-3.14%) |
2 |
110008 |
易方达稳健收益债券B |
6.56% |
90.13 |
120.53 |
-39.72 (-2.35%) |
3 |
000754 |
华宝量化对冲混合C |
5.72% |
90.79 |
105.16 |
0.00 (1.13%) |
4 |
001433 |
易方达瑞景混合 |
4.81% |
58.70 |
88.47 |
0.00 (0.58%) |
5 |
000171 |
易方达裕丰回报债券A |
4.37% |
38.91 |
80.31 |
0.00 (0.41%) |
6 |
001836 |
易方达瑞祥混合E |
3.62% |
50.41 |
66.49 |
0.00 (0.44%) |
7 |
001856 |
易方达环保主题混合A |
3.29% |
19.39 |
60.46 |
新增 |
8 |
001286 |
易方达新鑫混合E |
3.19% |
44.80 |
58.59 |
新增 |
9 |
002351 |
易方达裕祥回报债券A |
3.08% |
35.64 |
56.63 |
35.00 (3.67%) |
10 |
001342 |
易方达新享混合A |
2.88% |
36.16 |
52.98 |
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 |
001249 |
易方达新利混合 |
8.34% |
101.14 |
153.32 |
|
-44.90 (-3.14%) |
2 |
110008 |
易方达稳健收益债券B |
6.56% |
90.13 |
120.53 |
|
-39.72 (-2.35%) |
3 |
000754 |
华宝量化对冲混合C |
5.72% |
90.79 |
105.16 |
|
0.00 (1.13%) |
4 |
001433 |
易方达瑞景混合 |
4.81% |
58.70 |
88.47 |
|
0.00 (0.58%) |
5 |
000171 |
易方达裕丰回报债券A |
4.37% |
38.91 |
80.31 |
|
0.00 (0.41%) |
6 |
001836 |
易方达瑞祥混合E |
3.62% |
50.41 |
66.49 |
|
0.00 (0.44%) |
7 |
001856 |
易方达环保主题混合A |
3.29% |
19.39 |
60.46 |
|
新增 |
8 |
001286 |
易方达新鑫混合E |
3.19% |
44.80 |
58.59 |
|
新增 |
9 |
002351 |
易方达裕祥回报债券A |
3.08% |
35.64 |
56.63 |
|
35.00 (3.67%) |
10 |
001342 |
易方达新享混合A |
2.88% |
36.16 |
52.98 |
|
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 |
000754 |
华宝量化对冲混合C |
6.85% |
90.79 |
109.60 |
0.00 (0.80%) |
2 |
002351 |
易方达裕祥回报债券A |
6.75% |
70.64 |
108.00 |
0.00 (0.62%) |
3 |
001433 |
易方达瑞景混合 |
5.39% |
58.70 |
86.23 |
新增 |
4 |
001249 |
易方达新利混合 |
5.20% |
56.24 |
83.12 |
0.00 (0.46%) |
5 |
001315 |
易方达新益混合E |
5.18% |
31.42 |
82.86 |
0.00 (0.38%) |
6 |
000171 |
易方达裕丰回报债券A |
4.78% |
38.91 |
76.42 |
0.00 (0.51%) |
7 |
110008 |
易方达稳健收益债券B |
4.21% |
50.41 |
67.40 |
0.00 (0.53%) |
8 |
001836 |
易方达瑞祥混合E |
4.06% |
50.41 |
64.93 |
0.00 (0.37%) |
9 |
001748 |
易方达瑞祺混合E |
3.32% |
37.97 |
53.04 |
新增 |
10 |
000992 |
广发套利 |
3.11% |
37.40 |
49.78 |
0.00 (0.49%) |
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 |
000754 |
华宝量化对冲混合C |
6.85% |
90.79 |
109.60 |
|
0.00 (0.80%) |
2 |
002351 |
易方达裕祥回报债券A |
6.75% |
70.64 |
108.00 |
|
0.00 (0.62%) |
3 |
001433 |
易方达瑞景混合 |
5.39% |
58.70 |
86.23 |
|
新增 |
4 |
001249 |
易方达新利混合 |
5.20% |
56.24 |
83.12 |
|
0.00 (0.46%) |
5 |
001315 |
易方达新益混合E |
5.18% |
31.42 |
82.86 |
|
0.00 (0.38%) |
6 |
000171 |
易方达裕丰回报债券A |
4.78% |
38.91 |
76.42 |
|
0.00 (0.51%) |
7 |
110008 |
易方达稳健收益债券B |
4.21% |
50.41 |
67.40 |
|
0.00 (0.53%) |
8 |
001836 |
易方达瑞祥混合E |
4.06% |
50.41 |
64.93 |
|
0.00 (0.37%) |
9 |
001748 |
易方达瑞祺混合E |
3.32% |
37.97 |
53.04 |
|
新增 |
10 |
000992 |
广发套利 |
3.11% |
37.40 |
49.78 |
|
0.00 (0.49%) |
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 |
000754 |
华宝量化对冲混合C |
7.65% |
90.79 |
106.46 |
0.00 (1.19%) |
2 |
002351 |
易方达裕祥回报债券A |
7.37% |
70.64 |
102.63 |
0.00 (0.99%) |
3 |
001249 |
易方达新利混合 |
5.66% |
56.24 |
78.84 |
新增 |
4 |
001315 |
易方达新益混合E |
5.56% |
31.42 |
77.42 |
新增 |
5 |
001710 |
安信新趋势混合A |
5.40% |
71.34 |
75.12 |
24.80 (3.12%) |
6 |
000171 |
易方达裕丰回报债券A |
5.29% |
38.91 |
73.65 |
16.00 (3.25%) |
7 |
110008 |
易方达稳健收益债券B |
4.74% |
50.41 |
65.93 |
22.78 (3.35%) |
8 |
001836 |
易方达瑞祥混合E |
4.43% |
50.41 |
61.60 |
新增 |
9 |
000992 |
广发套利 |
3.60% |
37.40 |
50.05 |
0.00 (0.53%) |
10 |
519062 |
海富通阿尔法对冲混合A |
3.26% |
39.07 |
45.35 |
0.00 (0.48%) |
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 |
000754 |
华宝量化对冲混合C |
7.65% |
90.79 |
106.46 |
|
0.00 (1.19%) |
2 |
002351 |
易方达裕祥回报债券A |
7.37% |
70.64 |
102.63 |
|
0.00 (0.99%) |
3 |
001249 |
易方达新利混合 |
5.66% |
56.24 |
78.84 |
|
新增 |
4 |
001315 |
易方达新益混合E |
5.56% |
31.42 |
77.42 |
|
新增 |
5 |
001710 |
安信新趋势混合A |
5.40% |
71.34 |
75.12 |
|
24.80 (3.12%) |
6 |
000171 |
易方达裕丰回报债券A |
5.29% |
38.91 |
73.65 |
|
16.00 (3.25%) |
7 |
110008 |
易方达稳健收益债券B |
4.74% |
50.41 |
65.93 |
|
22.78 (3.35%) |
8 |
001836 |
易方达瑞祥混合E |
4.43% |
50.41 |
61.60 |
|
新增 |
9 |
000992 |
广发套利 |
3.60% |
37.40 |
50.05 |
|
0.00 (0.53%) |
10 |
519062 |
海富通阿尔法对冲混合A |
3.26% |
39.07 |
45.35 |
|
0.00 (0.48%) |
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 |
000754 |
华宝量化对冲混合C |
8.84% |
90.79 |
104.52 |
0.00 (0.14%) |
2 |
000171 |
易方达裕丰回报债券A |
8.54% |
54.91 |
100.92 |
0.00 (0.37%) |
3 |
001710 |
安信新趋势混合A |
8.52% |
96.14 |
100.66 |
0.00 (0.34%) |
4 |
002351 |
易方达裕祥回报债券A |
8.36% |
70.64 |
98.82 |
0.00 (0.29%) |
5 |
110008 |
易方达稳健收益债券B |
8.09% |
73.19 |
95.59 |
0.00 (0.59%) |
6 |
002969 |
易方达丰和债券A |
7.58% |
71.95 |
89.54 |
-47.78 (-4.91%) |
7 |
110017 |
易方达增强回报债券A |
4.15% |
38.27 |
49.03 |
新增 |
8 |
000992 |
广发套利 |
4.13% |
37.40 |
48.77 |
新增 |
9 |
519062 |
海富通阿尔法对冲混合A |
3.74% |
39.07 |
44.22 |
0.00 (0.10%) |
10 |
510900 |
易方达恒生国企(QDII-ETF) |
2.79% |
30.00 |
32.94 |
10.00 (1.71%) |
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 |
000754 |
华宝量化对冲混合C |
8.84% |
90.79 |
104.52 |
|
0.00 (0.14%) |
2 |
000171 |
易方达裕丰回报债券A |
8.54% |
54.91 |
100.92 |
|
0.00 (0.37%) |
3 |
001710 |
安信新趋势混合A |
8.52% |
96.14 |
100.66 |
|
0.00 (0.34%) |
4 |
002351 |
易方达裕祥回报债券A |
8.36% |
70.64 |
98.82 |
|
0.00 (0.29%) |
5 |
110008 |
易方达稳健收益债券B |
8.09% |
73.19 |
95.59 |
|
0.00 (0.59%) |
6 |
002969 |
易方达丰和债券A |
7.58% |
71.95 |
89.54 |
|
-47.78 (-4.91%) |
7 |
110017 |
易方达增强回报债券A |
4.15% |
38.27 |
49.03 |
|
新增 |
8 |
000992 |
广发套利 |
4.13% |
37.40 |
48.77 |
|
新增 |
9 |
519062 |
海富通阿尔法对冲混合A |
3.74% |
39.07 |
44.22 |
|
0.00 (0.10%) |
10 |
510900 |
易方达恒生国企(QDII-ETF) |
2.79% |
30.00 |
32.94 |
|
10.00 (1.71%) |
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 |
000754 |
华宝量化对冲混合C |
8.98% |
90.79 |
101.43 |
0.00 (0.49%) |
2 |
000171 |
易方达裕丰回报债券A |
8.91% |
54.91 |
100.70 |
新增 |
3 |
001710 |
安信新趋势混合A |
8.86% |
96.14 |
100.18 |
新增 |
4 |
000205 |
易方达投资级信用债债券A |
8.81% |
87.07 |
99.53 |
44.81 (5.45%) |
5 |
110008 |
易方达稳健收益债券B |
8.68% |
73.19 |
98.13 |
新增 |
6 |
002351 |
易方达裕祥回报债券A |
8.65% |
70.64 |
97.76 |
新增 |
7 |
000147 |
易方达高等级信用债债券A |
8.27% |
82.57 |
93.47 |
79.10 (9.30%) |
8 |
510900 |
易方达恒生国企(QDII-ETF) |
4.50% |
40.00 |
50.88 |
0.00 (-0.01%) |
9 |
519062 |
海富通阿尔法对冲混合A |
3.84% |
39.07 |
43.44 |
0.00 (0.89%) |
10 |
002969 |
易方达丰和债券A |
2.67% |
24.17 |
30.22 |
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 |
000754 |
华宝量化对冲混合C |
8.98% |
90.79 |
101.43 |
|
0.00 (0.49%) |
2 |
000171 |
易方达裕丰回报债券A |
8.91% |
54.91 |
100.70 |
|
新增 |
3 |
001710 |
安信新趋势混合A |
8.86% |
96.14 |
100.18 |
|
新增 |
4 |
000205 |
易方达投资级信用债债券A |
8.81% |
87.07 |
99.53 |
|
44.81 (5.45%) |
5 |
110008 |
易方达稳健收益债券B |
8.68% |
73.19 |
98.13 |
|
新增 |
6 |
002351 |
易方达裕祥回报债券A |
8.65% |
70.64 |
97.76 |
|
新增 |
7 |
000147 |
易方达高等级信用债债券A |
8.27% |
82.57 |
93.47 |
|
79.10 (9.30%) |
8 |
510900 |
易方达恒生国企(QDII-ETF) |
4.50% |
40.00 |
50.88 |
|
0.00 (-0.01%) |
9 |
519062 |
海富通阿尔法对冲混合A |
3.84% |
39.07 |
43.44 |
|
0.00 (0.89%) |
10 |
002969 |
易方达丰和债券A |
2.67% |
24.17 |
30.22 |
|
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 |
000147 |
易方达高等级信用债债券A |
17.57% |
161.67 |
185.60 |
-76.27 (-7.55%) |
2 |
000205 |
易方达投资级信用债债券A |
14.26% |
131.89 |
150.62 |
新增 |
3 |
000191 |
富国信用债债券A/B |
9.63% |
95.08 |
101.75 |
0.00 (0.33%) |
4 |
217011 |
招商安心收益债券C |
9.63% |
66.05 |
101.78 |
0.00 (0.35%) |
5 |
000754 |
华宝量化对冲混合C |
9.47% |
90.79 |
100.01 |
新增 |
6 |
110037 |
易方达纯债债券A |
9.31% |
88.18 |
98.32 |
0.00 (0.73%) |
7 |
519062 |
海富通阿尔法对冲混合A |
4.73% |
39.07 |
49.96 |
新增 |
8 |
510900 |
易方达恒生国企(QDII-ETF) |
4.49% |
40.00 |
47.40 |
新增 |
9 |
001073 |
华泰柏瑞量化绝对收益混合 |
2.84% |
26.07 |
30.00 |
新增 |
10 |
110011 |
易方达优质精选混合(QDII) |
2.08% |
4.20 |
21.95 |
0.00 (-0.01%) |
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 |
000147 |
易方达高等级信用债债券A |
17.57% |
161.67 |
185.60 |
|
-76.27 (-7.55%) |
2 |
000205 |
易方达投资级信用债债券A |
14.26% |
131.89 |
150.62 |
|
新增 |
3 |
000191 |
富国信用债债券A/B |
9.63% |
95.08 |
101.75 |
|
0.00 (0.33%) |
4 |
217011 |
招商安心收益债券C |
9.63% |
66.05 |
101.78 |
|
0.00 (0.35%) |
5 |
000754 |
华宝量化对冲混合C |
9.47% |
90.79 |
100.01 |
|
新增 |
6 |
110037 |
易方达纯债债券A |
9.31% |
88.18 |
98.32 |
|
0.00 (0.73%) |
7 |
519062 |
海富通阿尔法对冲混合A |
4.73% |
39.07 |
49.96 |
|
新增 |
8 |
510900 |
易方达恒生国企(QDII-ETF) |
4.49% |
40.00 |
47.40 |
|
新增 |
9 |
001073 |
华泰柏瑞量化绝对收益混合 |
2.84% |
26.07 |
30.00 |
|
新增 |
10 |
110011 |
易方达优质精选混合(QDII) |
2.08% |
4.20 |
21.95 |
|
0.00 (-0.01%) |
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 |
110037 |
易方达纯债债券A |
10.04% |
88.18 |
101.06 |
0.00 (新增) |
2 |
000147 |
易方达高等级信用债债券A |
10.02% |
85.40 |
100.85 |
0.00 (新增) |
3 |
006562 |
中欧短债债券C |
9.99% |
95.39 |
100.52 |
0.00 (新增) |
4 |
217011 |
招商安心收益债券C |
9.98% |
66.05 |
100.40 |
0.00 (新增) |
5 |
000191 |
富国信用债债券A/B |
9.96% |
95.08 |
100.26 |
0.00 (新增) |
6 |
002865 |
广发安泽短债C |
5.00% |
47.36 |
50.30 |
0.00 (新增) |
7 |
000085 |
博时安盈债券C |
4.99% |
41.89 |
50.26 |
0.00 (新增) |
8 |
070009 |
嘉实超短债债券C |
4.97% |
47.56 |
50.03 |
0.00 (新增) |
9 |
000141 |
富国国有企业债债券C |
4.96% |
49.68 |
49.94 |
0.00 (新增) |
10 |
110011 |
易方达优质精选混合(QDII) |
2.07% |
4.20 |
20.85 |
0.00 (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 |
110037 |
易方达纯债债券A |
10.04% |
88.18 |
101.06 |
|
0.00 (新增) |
2 |
000147 |
易方达高等级信用债债券A |
10.02% |
85.40 |
100.85 |
|
0.00 (新增) |
3 |
006562 |
中欧短债债券C |
9.99% |
95.39 |
100.52 |
|
0.00 (新增) |
4 |
217011 |
招商安心收益债券C |
9.98% |
66.05 |
100.40 |
|
0.00 (新增) |
5 |
000191 |
富国信用债债券A/B |
9.96% |
95.08 |
100.26 |
|
0.00 (新增) |
6 |
002865 |
广发安泽短债C |
5.00% |
47.36 |
50.30 |
|
0.00 (新增) |
7 |
000085 |
博时安盈债券C |
4.99% |
41.89 |
50.26 |
|
0.00 (新增) |
8 |
070009 |
嘉实超短债债券C |
4.97% |
47.56 |
50.03 |
|
0.00 (新增) |
9 |
000141 |
富国国有企业债债券C |
4.96% |
49.68 |
49.94 |
|
0.00 (新增) |
10 |
110011 |
易方达优质精选混合(QDII) |
2.07% |
4.20 |
20.85 |
|
0.00 (新增) |
显示全部持仓明细>>