十大重仓股
2023年3季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
190208 |
19国开08 |
20,000,000 |
20,348,065.57 |
7.75 |
2 |
US12591DAC56 |
CNOOC 4 1/4 04/30/24 |
10,769,700 |
10,857,972.63 |
4.14 |
3 |
XS2188681774 |
SHCONS 2 1/4 06/16/25 |
9,333,740 |
8,819,474.26 |
3.36 |
4 |
XS2379486884 |
ABCIHL 11 09/01/24 |
8,615,760 |
8,250,878.97 |
3.14 |
5 |
XS2539361001 |
CICCHK 542 11/22/25 |
7,179,800 |
7,251,179.21 |
2.76 |
2023年2季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS2201820706 |
YGCZCH 4 07/16/23 |
7,225,800 |
7,335,800.74 |
3.55 |
2 |
XS2128388456 |
YZCOAL 3 1/2 11/04/23 |
5,780,640 |
5,752,613.51 |
2.79 |
3 |
XS2188681774 |
SHCONS 2 1/4 06/16/25 |
5,780,640 |
5,388,120.09 |
2.61 |
4 |
XS2407996185 |
SINOCH 1 1/2 11/24/24 |
5,058,060 |
4,761,767.30 |
2.31 |
5 |
XS1873112764 |
POLYRE 4 3/4 09/17/23 |
3,612,900 |
3,650,373.80 |
1.77 |
2023年1季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS2201820 |
YGCZCH 4 |
6,871,700 |
6,888,703.68 |
5.54 |
2 |
XS2128388456 |
YZCOAL31/211/04/23 |
5,497,360 |
5,494,125.69 |
4.42 |
3 |
XS2188681774 |
SHCONS 21/406/16/25 |
5,497,360 |
5,193,864.50 |
4.18 |
4 |
XS2407996185 |
SINOCH 11/211/24/24 |
4,810,190 |
4,562,906.17 |
3.67 |
5 |
US06120TAA60 |
BCHINA511/13/24 |
3,435,850 |
3,482,222.50 |
2.80 |
2022年4季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1892681146 |
SPICLE 4.6510/30/23 |
2,437,610 |
2,441,849.42 |
2.34 |
2 |
XS2238812031 |
CMHI 31/2 PERP |
2,089,380 |
2,065,085.17 |
1.98 |
3 |
XS2244842832 |
HUANEN 2.85 PERP |
2,089,380 |
2,043,082.82 |
1.96 |
4 |
XS0928126340 |
RLCONS 3 1/205/16/23 |
2,019,734 |
2,016,997.26 |
1.94 |
5 |
XS1788144787 |
CHPWCN 4.6 PERP |
1,741,150 |
1,775,990.42 |
1.70 |
2022年3季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1960476387 |
NWDEVL 6 1/4 PERP |
4,969,860 |
4,025,470.66 |
8.79 |
2 |
XS232826 |
AIA2.7 |
4,259,880 |
3,619,577.43 |
7.90 |
3 |
XS2226621840 |
NANFUN 5 PERP |
4,259,880 |
3,234,427.49 |
7.06 |
4 |
XS1668531335 |
CKINF 4.85 PERP |
3,549,900 |
3,125,897.96 |
6.82 |
5 |
XS2397254579 |
CCAMCL 44 PERP |
2,839,920 |
2,655,492.47 |
5.80 |
2022年2季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1960476387 |
NWDEVL 6 1/4 |
4,697,980 |
4,342,350.77 |
8.00 |
2 |
XS1684793018 |
POSABK 4 1/2 PERP |
4,026,840 |
4,174,745.83 |
7.69 |
3 |
XS2226621840 |
NANFUN 5 PERP |
4,026,840 |
3,618,827.15 |
6.67 |
4 |
XS2328261263 |
AIA2.7 PERP |
4,026,840 |
3,612,075.48 |
6.66 |
5 |
XS1668531335 |
CKINF 4.85 PERP |
3,355,700 |
3,164,473.56 |
5.83 |
2022年1季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS196047 |
NWDEVL |
4,443,740 |
4,138,040.33 |
8.41 |
2 |
XS1684793018 |
POSABK 4 1/2 PERP |
3,808,920 |
3,938,156.66 |
8.00 |
3 |
XS2328261263 |
AIA2.7 PERP |
3,808,920 |
3,633,062.17 |
7.38 |
4 |
XS2226621840 |
NANFUN 5 PERP |
3,808,920 |
3,614,042.96 |
7.34 |
5 |
XS1668531335 |
CKINF 4.85 PERP |
3,174,100 |
2,999,427.50 |
6.10 |
2021年4季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS2226621840 |
NANFUN 5 PERP |
5,100,560 |
5,139,120.23 |
10.09 |
2 |
XS1960476387 |
NWDEVL 6 1/4 PERP |
4,462,990 |
4,583,267.58 |
9.00 |
3 |
XS1684793018 |
POSABK 4 1/2 PERP |
3,825,420 |
3,914,054.98 |
7.69 |
4 |
XS2328261263 |
AIA2.7 PERP |
3,825,420 |
3,823,966.34 |
7.51 |
5 |
XS1668531335 |
CKINF 4.85 PERP |
3,187,850 |
3,186,319.83 |
6.26 |
2021年3季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1684793018 |
POSABK 4 1/2 PERP |
5,188,320 |
5,326,277.43 |
9.41 |
2 |
XS1497605805 |
NWDEVL 5 3/4 PERP |
5,188,320 |
5,181,834.60 |
9.15 |
3 |
XS2328261263 |
AIA2.7 PERP |
3,891,240 |
3,948,402.32 |
6.97 |
4 |
XS1912494538 |
CHSCOI 6 PERP |
3,761,532 |
3,790,571.03 |
6.69 |
5 |
XS2226621840 |
NANFUN 5 PERP |
3,566,970 |
3,595,434.42 |
6.35 |
2021年2季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1984473071 |
CENCHI 7 1/404/24/23 |
3,876,060 |
3,689,776.56 |
8.31 |
2 |
XS2076026983 |
ZHPRHK 9.1505/06/23 |
3,230,050 |
3,363,870.97 |
7.57 |
3 |
XS1974405893 |
CHINSC 73/804/09/24 |
2,584,040 |
2,680,605.57 |
6.03 |
4 |
XS1809230474 |
SUNAC 7.35 07/19/21 |
2,584,040 |
2,589,078.88 |
5.83 |
5 |
XS2203824789 |
KAISAG 11 1/404/16/25 |
2,584,040 |
2,457,318.68 |
5.53 |
2021年1季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1839368831 |
FTLNHD 7 1/203/20/22 |
5,257,040 |
5,381,894.70 |
5.65 |
2 |
XS1984473071 |
CENCHI 7 1/404/24/23 |
3,942,780 |
3,765,354.90 |
3.96 |
3 |
XS1951935847 |
ZHPRHK 9.808/20/21 |
3,285,650 |
3,344,923.13 |
3.51 |
4 |
XS1976760782 |
RONXIN 8 3/410/25/22 |
3,285,650 |
3,297,412.63 |
3.46 |
5 |
XS2099677747 |
LOGPH 53/401/14/25 |
2,957,085 |
3,111,622.26 |
3.27 |
2020年4季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1984473071 |
CENCHI 7 1/404/24/23 |
3,914,940 |
4,009,681.55 |
3.97 |
2 |
XS1876052025 |
CAPG 79509/07/21 |
3,914,940 |
3,999,815.90 |
3.96 |
3 |
XS1976760782 |
RONXIN 8 3/410/25/22 |
3,262,450 |
3,378,691.09 |
3.35 |
4 |
XS1951935847 |
ZHPRHK 9808/20/21 |
3,262,450 |
3,369,164.74 |
3.34 |
5 |
XS2099677747 |
LOGPH 53/401/14/25 |
2,936,205 |
3,108,707.04 |
3.08 |
2020年3季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1984473071 |
CENCHI 7 1/404/24/23 |
4,086,060 |
4,101,546.17 |
3.68 |
2 |
XS1951935847 |
ZHPRHK 9808/20/21 |
3,405,050 |
3,493,921.81 |
3.14 |
3 |
XS1976760782 |
RONXIN 83/4 10/25/22 |
3,405,050 |
3,483,366.15 |
3.13 |
4 |
XS2032636438 |
HERINT 43 PERP |
3,405,050 |
3,458,270.93 |
3.10 |
5 |
XS1972090119 |
CHFOTN 7 1/804/08/22 |
3,405,050 |
3,270,073.82 |
2.94 |
2020年2季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS1984473071 |
CENCHI 7 1/404/24/23 |
4,247,700 |
4,205,307.95 |
3.47 |
2 |
XS1976760782 |
RONXIN 8 3/410/25/22 |
3,539,750 |
3,694,437.08 |
3.04 |
3 |
XS1951935847 |
ZHPRHK 9.808/20/21 |
3,539,750 |
3,645,517.73 |
3.00 |
4 |
XS1972090119 |
CHFOTN 7 1/804/08/22 |
3,539,750 |
3,565,625.57 |
2.94 |
5 |
XS2032636438 |
HERINT 4.3 PERP |
3,539,750 |
3,568,068.00 |
2.94 |
2020年1季度
序号 |
债券代码 |
债券名称 |
数量(股) |
摊余成本(元) |
占基金资产净值比例(%) |
1 |
XS2075937297 |
SUNAC 71/202/01/24 |
5,668,080 |
5,127,798.61 |
4.35 |
2 |
XS2011522914 |
KMCMIN 6.206/27/22 |
3,542,550 |
3,575,141.46 |
3.03 |
3 |
XS2042630355 |
CISIFG 508/28/20 |
3,542,550 |
3,542,302.02 |
3.00 |
4 |
XS1645451565 |
PWRLNG 5.9507/19/20 |
3,542,550 |
3,489,730.58 |
2.96 |
5 |
XS203033 |
KAISAG |
4,251,060 |
3,460,447.86 |
2.93 |