基金全称 | 天弘多元收益债券型证券投资基金 | 基金公司 | 天弘基金管理有限公司 |
基金简称 | 天弘多元收益债券C | 成立日期 | 2020-10-29 |
基金代码 | 010119 | 总规模 | 25.56亿份 (2024-12-31) |
基金类型 | 债券型 | 总资产 | 35.51亿元 (2024-12-31) |
资产分布 | 占总资产比例(%) |
股票 | 0 |
债券 | 0 |
现金 | 0 |
其他 | 0 |
债券名称 | 债券代码 | 数量(张) | 公允价值(元) | 占净资产比例(%) |
希望转2 | 127049 | 1,408,889 | 147,366,701.43 | 4.90 |
24国债02 | 019733 | 1,245,000 | 126,879,348.50 | 4.22 |
和邦转债 | 113691 | 1,146,950 | 126,867,281.83 | 4.22 |
南银转债 | 113050 | 855,590 | 111,163,409.78 | 3.70 |
柳工转2 | 127084 | 654,009 | 108,425,195.63 | 3.61 |
科顺转债 | 123216 | 0 | 101,583,915.87 | 3.38 |
首华转债 | 123128 | 0 | 96,296,981.34 | 3.20 |
精工转债 | 110086 | 0 | 86,489,431.25 | 2.88 |
洪城转债 | 110077 | 0 | 80,877,706.68 | 2.69 |
友发转债 | 113058 | 0 | 59,595,301.48 | 1.98 |
双良转债 | 110095 | 0 | 57,230,875.80 | 1.90 |
天23转债 | 118031 | 0 | 51,726,214.26 | 1.72 |
龙星转债 | 127105 | 0 | 51,057,870.50 | 1.70 |
顺博转债 | 127068 | 0 | 45,867,653.49 | 1.53 |
东南转债 | 127103 | 0 | 44,857,308.82 | 1.49 |
明新转债 | 111004 | 0 | 43,483,905.98 | 1.45 |
楚天转债 | 123240 | 0 | 43,094,349.48 | 1.43 |
芳源转债 | 118020 | 0 | 42,444,172.54 | 1.41 |
东亚转债 | 111015 | 0 | 41,889,176.00 | 1.39 |
杭银转债 | 110079 | 0 | 38,670,553.31 | 1.29 |
苏利转债 | 113640 | 0 | 38,479,780.96 | 1.28 |
闻泰转债 | 110081 | 0 | 37,664,971.71 | 1.25 |
塞力转债 | 113601 | 0 | 35,649,814.59 | 1.19 |
星球转债 | 118041 | 0 | 35,660,070.54 | 1.19 |
裕兴转债 | 123144 | 0 | 33,568,174.45 | 1.12 |
G三峡EB2 | 132026 | 0 | 32,528,405.81 | 1.08 |
星帅转2 | 127087 | 0 | 32,452,251.04 | 1.08 |
湘佳转债 | 127060 | 0 | 32,120,851.28 | 1.07 |
华宏转债 | 127077 | 0 | 28,585,548.50 | 0.95 |
富淼转债 | 118029 | 0 | 28,555,162.30 | 0.95 |
升24转债 | 113685 | 0 | 27,427,860.80 | 0.91 |
设研转债 | 123130 | 0 | 26,984,791.57 | 0.90 |
富仕转债 | 123217 | 0 | 26,760,668.38 | 0.89 |
冠中转债 | 123207 | 0 | 26,112,816.22 | 0.87 |
禾丰转债 | 113647 | 0 | 24,608,657.38 | 0.82 |
南航转债 | 110075 | 0 | 24,239,830.88 | 0.81 |
山河转债 | 123199 | 0 | 23,876,008.56 | 0.79 |
欧晶转债 | 127098 | 0 | 23,481,843.69 | 0.78 |
麒麟转债 | 127050 | 0 | 21,025,574.59 | 0.70 |
红墙转债 | 127094 | 0 | 20,725,944.61 | 0.69 |
希望转债 | 127015 | 0 | 20,522,579.56 | 0.68 |
金钟转债 | 123230 | 0 | 20,248,004.07 | 0.67 |
科思转债 | 123192 | 0 | 20,016,169.89 | 0.67 |
晨丰转债 | 113628 | 0 | 19,748,532.77 | 0.66 |
大中转债 | 127070 | 0 | 19,417,283.48 | 0.65 |
汇通转债 | 113665 | 0 | 19,257,073.46 | 0.64 |
宏昌转债 | 123218 | 0 | 18,514,951.72 | 0.62 |
百畅转债 | 123175 | 0 | 18,228,423.66 | 0.61 |
共同转债 | 123171 | 0 | 17,066,707.04 | 0.57 |
优彩转债 | 127078 | 0 | 16,166,266.87 | 0.54 |
康医转债 | 123151 | 0 | 15,895,886.46 | 0.53 |
能辉转债 | 123185 | 0 | 14,980,446.07 | 0.50 |
弘亚转债 | 127041 | 0 | 14,828,071.71 | 0.49 |
利群转债 | 113033 | 0 | 14,804,894.24 | 0.49 |
晓鸣转债 | 123189 | 0 | 13,151,545.25 | 0.44 |
齐翔转2 | 128128 | 0 | 12,400,917.87 | 0.41 |
松霖转债 | 113651 | 0 | 12,275,522.63 | 0.41 |
永22转债 | 113653 | 0 | 11,952,997.45 | 0.40 |
旺能转债 | 128141 | 0 | 10,633,966.29 | 0.35 |
通裕转债 | 123149 | 0 | 10,544,610.38 | 0.35 |
东宝转债 | 123214 | 0 | 10,153,277.80 | 0.34 |
华康转债 | 111018 | 0 | 10,014,327.80 | 0.33 |
大元转债 | 113664 | 0 | 9,641,377.20 | 0.32 |
恒逸转2 | 127067 | 0 | 9,422,775.57 | 0.31 |
志特转债 | 123186 | 0 | 8,894,706.13 | 0.30 |
丰山转债 | 113649 | 0 | 8,694,214.80 | 0.29 |
文科转债 | 128127 | 0 | 8,150,586.70 | 0.27 |
蒙泰转债 | 123166 | 0 | 7,803,608.72 | 0.26 |
中旗转债 | 127081 | 0 | 7,925,963.22 | 0.26 |
旗滨转债 | 113047 | 0 | 7,408,472.50 | 0.25 |
中环转2 | 123146 | 0 | 7,538,423.42 | 0.25 |
晶能转债 | 118034 | 0 | 6,802,880.53 | 0.23 |
盛泰转债 | 111009 | 0 | 6,399,304.13 | 0.21 |
新化转债 | 113663 | 0 | 6,174,622.63 | 0.21 |
煜邦转债 | 118039 | 0 | 5,124,663.91 | 0.17 |
高测转债 | 118014 | 0 | 4,630,347.73 | 0.15 |
丽岛转债 | 113680 | 0 | 4,501,230.89 | 0.15 |
芯能转债 | 113679 | 0 | 4,100,367.66 | 0.14 |
漱玉转债 | 123172 | 0 | 4,170,389.62 | 0.14 |
绿茵转债 | 127034 | 0 | 3,923,659.94 | 0.13 |
正元转02 | 123196 | 0 | 3,211,166.72 | 0.11 |
中陆转债 | 123155 | 0 | 2,848,774.75 | 0.09 |
山路转债 | 127083 | 0 | 2,021,005.97 | 0.07 |
回盛转债 | 123132 | 0 | 1,949,044.42 | 0.06 |
瑞科转债 | 118018 | 0 | 1,766,191.66 | 0.06 |
嘉美转债 | 127042 | 0 | 786,234.26 | 0.03 |
烽火转债 | 110062 | 0 | 93,037.82 | 0.00 |
名称 | 费率 |
基金管理费 | 0.40% |
基金托管费 | 0.10% |
销售服务费 | 0.30% |
条件 | 认购费率 |
条件 | 申购费率 |
-- | 0.00% |
条件 | 赎回费率 |
0天 < 持有期限 < 7天 | 1.50% |
7天 ≤ 持有期限 < 30天 | 0.10% |
持有期限 ≥ 30天 | 0.00% |
年份 | 权益登记日 | 除息日 | 每份分红(元) | 分红发放日 |
暂无分红信息 |
拆分日期 | 拆分比例 | 拆分类型 | 拆分前单位净值 | 拆分后单位净值 |
暂无拆分信息 |