序号 | 债券代码 | 债券简称 | 持仓市值(元) | 占净值比例(%) |
1 | 1980264 | 19国兴债02 | 21,051,073.97 | 7.61 |
2 | 101900887 | 19甬交投MTN002 | 21,035,260.27 | 7.60 |
3 | 149297 | 20万科08 | 20,702,428.49 | 7.48 |
4 | 101901644 | 19宁波港MTN001 | 20,655,283.29 | 7.46 |
5 | 152340 | G19水投2 | 20,570,854.79 | 7.43 |