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序号基金代码基金简称总资产(万元)股票投资
金额(万元)
股票投资
比例(%)
债券和货币
金额(万元)
债券和货币
投资比例(%)
1590002中邮核心成长3,211,051.792,891,743.5190.470.000.00
2160706嘉实3002,973,788.752,799,787.0494.850.000.00
3110010易基价值成长2,884,102.832,461,687.2286.380.000.00
4519018汇添均衡2,860,504.132,036,113.7371.520.000.00
5320003诺安股票2,855,591.432,253,924.8379.640.000.00
6070003嘉实稳健2,751,987.281,888,341.8569.28600,092.1922.02
7050001博时增长2,551,049.091,548,760.3761.03610,430.2424.05
8050009博时新兴成长2,430,418.241,504,946.6262.260.000.00
9163402兴业趋势2,329,822.331,293,070.4056.000.000.00
10110003易基502,328,820.512,181,569.7894.340.000.00
11160311华夏蓝筹核心2,264,791.951,770,332.0779.21110,477.974.94
12202801南方全球2,247,720.66481,875.2721.610.000.00
13000041华夏全球精选2,210,012.911,263,481.0857.890.000.00
14050004博时精选2,190,457.671,471,869.4968.040.000.00
15202003南方绩优成长2,181,480.161,863,031.9386.360.000.00
16000021华夏优势2,155,434.131,570,932.8373.84126,886.795.96
17377016上投亚太优势2,120,561.921,879,885.4889.230.000.00
18270006广发优选2,095,258.201,765,651.5585.020.000.00
19202005南方成份精选2,073,844.571,526,776.1174.400.000.00
20070012嘉实海外1,986,399.741,588,924.8480.580.000.00
21161601新 蓝 筹1,912,028.54980,570.8052.35578,477.7130.88
22200008长城品牌优选1,801,783.581,399,675.2278.320.000.00
23360001量化核心1,798,684.431,665,894.5493.330.000.00
24260110景顺长城精选1,776,924.151,239,713.0370.150.000.00
25270007广发大盘成长1,769,531.281,419,841.8180.620.000.00
26040007华安成长1,669,839.281,469,114.5089.1568,570.004.16
27070008嘉实货币1,612,035.400.000.000.000.00
28360007光大优势配置1,609,088.461,383,341.5586.650.000.00
29003003华夏现金1,608,329.650.000.000.000.00
30100020富国天益1,600,530.001,219,582.3376.75147,660.589.29
31040005华安宏利1,570,367.511,175,178.9976.5086,211.605.61
32163803中银增长1,552,416.361,063,449.5369.320.000.00
33530005建信配置1,529,393.211,268,673.0384.1298,061.906.50
34160610鹏华动力1,511,443.641,344,605.9291.000.000.00
35519694交银蓝筹1,496,074.381,023,822.6168.750.000.00
36050008博时第三产业1,483,584.72906,478.7561.800.000.00
37160607鹏华价值1,478,481.821,255,848.4285.630.000.00
38510050上证50ETF1,457,710.411,370,771.7994.220.000.00
39090001大成价值增长1,451,249.161,029,486.6871.39310,083.2921.50
40270002广发稳健1,383,522.00823,571.7069.56104,022.098.79
41519029华夏稳增1,382,464.67985,582.8673.12147,184.3610.92
42180003银华道琼斯881,349,449.641,140,269.5185.210.000.00
43110005易基积极1,345,894.711,037,846.3878.280.000.00
44162605景顺鼎益1,330,146.48887,846.6967.480.000.00
45200007长城安心回报1,329,409.171,051,044.7679.4597,557.097.37
46377020上投内需动力1,314,753.811,034,272.3979.680.000.00
47202001南方稳健成长1,275,498.25749,085.6359.49362,633.0428.80
48398021中海能源1,213,800.461,002,342.4083.940.000.00
49160611鹏华优质治理1,189,140.87988,153.8984.6579,164.266.78
50519035富国天博1,185,302.78989,653.7184.0783,630.717.10
51040001华安创新1,167,269.54809,337.6969.63231,035.4019.88
52162607景顺资源1,151,794.47906,348.7079.290.000.00
53519039长盛同德1,151,374.70928,395.3281.040.000.00
54377010上投α1,127,344.60905,754.9981.440.000.00
55217009招商价值1,123,318.18847,561.0176.280.000.00
56110029易方达科讯1,120,954.22630,429.6357.100.000.00
57000001华夏成长1,097,880.55824,866.5876.09203,315.8318.75
58110002易基策略1,085,205.48921,124.0486.690.000.00
59460001友邦盛世1,076,791.58924,372.8186.280.000.00
60519011海富精选1,053,501.72739,912.0971.30235,527.1022.70
61180010银华优质增长1,043,371.04846,367.3581.930.000.00
62450003国富潜力1,031,477.35798,266.1778.280.000.00
63320001诺安平衡1,019,136.87664,095.2365.570.000.00
64630001华商领先企业1,011,907.53901,425.0889.85127.020.01
65180012银华富裕1,004,465.25759,602.1277.990.000.00
66112002易策二号990,929.93809,147.3082.580.000.00
67290002泰信先行972,887.74757,394.4378.620.000.00
68002021华回报二968,796.98627,176.2465.52176,549.4818.44
69161706招商成长940,414.50788,216.3184.920.000.00
70500056基金科瑞938,545.76555,771.4859.38122,079.1013.04
71160106南方高增926,712.26781,400.4385.220.000.00
72184692基金裕隆920,864.37302,295.1733.04351,846.5238.46
73519008添富优势837,918.24662,213.4979.550.000.00
74450002国富弹性818,886.25695,529.8586.450.000.00
75360005光大红利799,192.34700,314.2589.010.000.00
76040003华安富利797,587.520.000.000.000.00
77202301南方现金增利793,790.160.000.000.000.00
78184698基金天元790,829.68427,689.3754.26211,213.3926.80
79184721基金丰和783,343.95237,555.2131.660.000.00
80001001华夏债券A/B776,771.951,936.500.35572,367.25103.02
81001003华夏债券C类776,771.951,936.500.89572,367.25263.08
82519692交银成长767,134.19565,465.5780.910.000.00
83519300大成300763,445.15703,526.7892.990.000.00
84020005国泰金马755,008.27625,623.1485.250.000.00
85340006兴业全球视野743,855.84519,445.8270.530.000.00
86184693基金普丰743,364.64484,845.9665.38112,797.1815.21
87070006嘉实服务728,112.59599,901.3183.650.000.00
88161609融通动力先锋724,706.32551,891.2577.010.000.00
89260108景顺成长709,987.52472,941.6267.500.000.00
90184699基金同盛685,925.58445,010.690.00104,866.000.00
91560003益民创新优势682,810.45517,806.3976.150.000.00
92500018基金兴和682,180.93470,436.4669.3997,487.6814.38
93184701基金景福679,625.58435,055.7964.180.000.00
94070005嘉实债券677,377.1655,758.828.35348,340.1452.19
95070099嘉实优质673,930.69533,139.8879.710.000.00
96519993长信增利671,098.48544,561.7582.320.000.00
97110001易基平稳665,084.77388,811.7259.16192,916.6929.35
98180001银华优势企业660,006.72400,301.5761.8443,098.586.66
99288002中信红利649,500.91417,845.8366.9179,563.2012.74
100460002友邦积极成长644,169.40553,082.3987.260.000.00
101162006长城久富615,698.40382,066.8662.750.000.00
102519005海富股票615,138.62525,001.1686.320.000.00
103184689基金普惠614,552.86402,507.1066.470.000.00
104373010上投双息607,841.42391,846.5564.940.000.00
105398001中海成长593,361.09405,577.5170.540.000.00
106519019大成景阳592,613.36504,290.2585.700.000.00
107519690交银稳健586,327.57354,409.0360.900.000.00
108519003海富收益585,886.80399,529.9568.650.000.00
109160805长盛同智585,120.12420,345.4472.940.000.00
110100022富国天瑞582,964.18490,305.1084.9125,940.004.49
111519505海富通货币A572,413.460.000.000.000.00
112260109景顺内需贰号566,957.08455,140.0081.260.000.00
113161606融通行业563,272.95430,208.5376.990.000.00
114500038基金通乾561,760.05322,149.6459.670.000.00
115482002工银货币559,833.800.000.000.000.00
116530003建信成长558,516.61446,312.1680.930.000.00
117510880红利ETF558,210.68555,204.2499.640.000.00
118040002华安A股558,112.63506,793.5893.500.000.00
119159901深证100ETF543,179.20542,046.6799.910.000.00
120519013海富优势542,806.41485,837.2791.890.000.00
121100026富国天合稳健538,031.23434,607.1582.200.000.00
122202202南方避险537,606.91210,764.8940.43175,086.4933.58
123184688基金开元524,293.80229,145.1043.87242,045.1846.34
124500058基金银丰523,634.44354,586.5467.8978,579.8815.04
125420001天弘精选519,961.90425,865.6883.8458,498.5711.52
126290001泰信天天513,181.15198,517.9638.720.000.00
127121009国投瑞银稳定增利511,308.135,421.671.28363,023.1785.91
128020010国泰金牛创新506,391.70428,609.5185.330.000.00
129184706基金天华505,227.39287,115.6757.050.000.00
130160105南方积配501,082.71363,187.4073.4567,817.1813.72
131150001国投瑞福进取495,081.42424,233.2485.880.000.00
132020011国泰沪深300482,574.51442,292.4692.580.000.00
133184690基金同益474,626.86356,326.9575.3268,672.6614.52
134100018富国天利债券467,322.069,059.052.03268,594.3660.24
135040004华安宝利466,102.53298,541.1164.940.000.00
136288102中信双利447,132.0413,727.283.68274,917.9273.74
137260104景顺内需增长443,428.10372,285.5884.380.000.00
138530002建信货币416,566.120.000.000.000.00
139166001中欧趋势415,172.78356,843.3686.780.000.00
140530001建信价值411,648.73284,538.5670.380.000.00
141580002东吴动力403,561.41330,122.7384.250.000.00
142150103银河银泰400,333.71267,202.1768.0083,007.7021.12
143121002国投景气395,581.64262,972.7466.8479,076.9120.10
144519015海富通精选2号394,971.23271,308.9670.070.000.00
145184728基金鸿阳391,590.30183,307.1147.1342,959.3611.05
146540003汇丰晋信策略379,565.00267,682.4871.650.000.00
147184713基金科翔359,980.33207,284.1357.7447,451.5513.22
148161607融通巨潮358,142.68333,525.7194.950.000.00
149398011中海分红334,804.77265,704.8781.360.000.00
150519666银河银信328,931.727,227.952.20181,179.9955.19
151161005富国天惠326,597.12297,157.1592.950.000.00
152257010德盛小盘319,667.04224,909.8870.7663,382.0119.94
153519181万家和谐增长319,493.04271,970.9385.590.000.00
154020009国泰金鹏蓝筹312,035.80251,536.8181.470.000.00
155257020德盛精选306,127.11270,746.5889.620.000.00
156162208泰达荷银首选295,269.93234,255.2480.0510,751.773.67
157410001华富优选292,873.99240,978.2984.3815,349.645.37
158410003华富成长280,125.61223,448.9183.870.000.00
159550002信诚精萃279,290.10203,190.7373.490.000.00
160560002益民红利273,961.89228,863.5184.280.000.00
161070002嘉实增长270,428.76177,397.4765.9045,838.8017.03
162202101南方宝元债券269,971.7649,795.4218.56188,136.4370.12
163290003泰信双息双利251,703.955,688.042.350.000.00
164200002长城久泰247,842.01233,056.8094.870.000.00
165510080长盛债券244,067.5523,347.6611.210.000.00
166090005大成货币A243,174.010.000.000.000.00
167210001金鹰优选242,560.67187,833.6878.240.000.00
168163302巨田资源236,320.59172,085.9974.230.000.00
169288001中信经典228,831.91147,540.8564.8453,239.3823.40
170360006光大增长223,940.70197,123.5389.410.000.00
171163801中银中国222,430.92136,893.4170.050.000.00
172310308盛利精选221,779.98136,986.1062.5353,459.6024.40
173257030德盛优势215,565.24166,493.6178.090.000.00
174110007易方达收益A198,430.220.000.00156,596.28178.24
175110008易方达收益B198,430.220.000.00156,596.28152.63
176202102南方多利189,909.062,911.161.54165,044.7087.16
177519087新世纪优选174,512.04116,518.1167.880.000.00
178460003友邦增利B165,807.542,270.613.8694,418.49160.56
179450001国富收益160,675.4491,945.5258.3350,471.4532.02
180260102景顺长城货币154,503.060.000.000.000.00
181519517汇添富货币B153,188.060.000.000.000.00
182519518汇添富货币153,188.060.000.000.000.00
183400001东方龙148,341.32132,393.7890.320.000.00
184162201荷银成长146,372.78100,116.7268.9516,612.9011.44
185184700基金鸿飞145,312.0586,234.4160.023,621.182.52
186163802中银货币142,973.580.000.000.000.00
187184705基金裕泽140,837.2135,503.6825.3060,869.9543.38
188090002大成债券140,284.380.000.00100,227.20153.93
189092002大成债券C类140,284.380.000.000.000.00
190080001长盛成长133,467.8494,331.9271.1321,283.6016.05
191070009嘉实短债129,702.380.000.000.000.00
192510180180ETF129,331.75124,758.5596.570.000.00
193020008国泰混合126,587.2732,026.8825.7073,979.8959.37
194500025基金汉鼎124,716.3670,778.0956.909,327.157.50
195184703基金金盛118,649.3883,360.9671.026,039.385.15
196160609鹏华货币B112,139.440.000.000.000.00
197160606鹏华货币A112,139.440.000.000.000.00
198200003长城货币93,025.650.000.000.000.00
199080011长盛货币85,933.250.000.000.000.00
200161902万家增强收益77,790.208,933.1311.970.000.00
201100028富国天时货币B76,573.930.000.000.000.00
202100025富国天时货币76,573.930.000.000.000.00
203020001国泰金鹰增长72,660.6554,628.1080.810.000.00
204519508万家货币71,872.560.000.000.000.00
205320002诺安货币70,628.060.000.000.000.00
206217003招商债券68,518.480.000.0059,264.08139.20
207121001国投融华68,185.4025,292.2437.2734,082.5250.22
208161603融通债券62,958.360.000.0045,496.9774.41
209310338收益宝62,547.090.000.000.000.00
210200001长城久恒平衡60,148.6933,715.0756.490.000.00
211160608鹏华普天债券B60,099.41339.061.0845,288.63144.56
212160602鹏华普天债券60,099.41339.061.2145,288.63161.70
213020002国泰金龙债券57,381.79105.480.1944,377.8077.88
214340005兴业货币53,129.220.000.000.000.00
215288101中信货币50,490.580.000.000.000.00
216162206荷银货币49,514.350.000.000.000.00
217410002华富货币49,331.920.000.000.000.00
218161903万家公用46,332.8340,582.2390.990.000.00
219560001益民货币40,257.640.000.000.000.00
220180009银华货币B32,905.550.000.000.000.00
221020007国泰货币32,679.630.000.000.000.00
222255010德盛稳健31,159.1620,220.3565.296,842.8522.09
223161608融通货币24,290.120.000.000.000.00
224162205荷银风险预算23,019.125,441.8323.83274.701.20
225162102金鹰小盘19,009.1513,961.2976.520.000.00
226253010德盛安心17,724.226,093.8434.630.000.00
227163303巨田货币14,437.780.000.000.000.00
228400005东方货币10,382.800.000.000.000.00
229121008国投瑞银成长优选0.00226,714.5366.320.000.00
230162703广发小盘0.001,430,608.2790.330.000.00
231519994长信金利0.001,176,636.4292.240.000.00
232519078汇添富增强收益0.000.000.000.000.00
233213002宝盈区域增长0.00314,125.5062.160.000.00
234610001信达澳银增长0.001,002,026.8892.480.000.00
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