博远基金管理有限公司
BoyuanFundManagementCo.,LTD
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博远基金 2025年3季度债券投资明细(全部)
截止至:2025-09-30
| 序号 | 债券代码 | 债券名称 | 本公司持有基金数 | 占总净值比例 | 持仓市值(万元) |
|---|---|---|---|---|---|
| 1 | 240016 | 24附息国债16 | 7 | 10.65% | 84,444.03 |
| 2 | 2500006 | 25超长特别国债06 | 4 | 7.43% | 58,881.70 |
| 3 | 240208 | 24国开08 | 4 | 6.09% | 48,287.87 |
| 4 | 220203 | 22国开03 | 4 | 5.97% | 47,366.20 |
| 5 | 240303 | 24进出03 | 5 | 5.76% | 45,669.23 |
| 6 | 140217 | 14国开17 | 4 | 5.73% | 45,391.08 |
| 7 | 230208 | 23国开08 | 4 | 3.90% | 30,903.19 |
| 8 | 240018 | 24附息国债18 | 4 | 3.82% | 30,306.59 |
| 9 | 240014 | 24附息国债14 | 4 | 3.34% | 26,451.92 |
| 10 | 222580014 | 25平安银行绿债01BC | 2 | 3.02% | 23,942.69 |
| 11 | 09240202 | 24国开清发02 | 2 | 2.56% | 20,282.49 |
| 12 | 210203 | 21国开03 | 7 | 2.46% | 19,506.68 |
| 13 | 2522029 | 25国银金租债03 | 1 | 1.76% | 13,934.78 |
| 14 | 220016 | 22附息国债16 | 1 | 1.29% | 10,241.58 |
| 15 | 112411119 | 24平安银行CD119 | 3 | 1.26% | 9,972.85 |
| 16 | 173812 | 21内蒙17 | 3 | 0.54% | 4,298.97 |
| 17 | 2205792 | 22新疆债05 | 3 | 0.52% | 4,121.55 |
| 18 | 222380003 | 23兴业银行绿债01 | 2 | 0.51% | 4,076.77 |
| 19 | 190204 | 19国开04 | 4 | 0.26% | 2,061.16 |
| 20 | 102580967 | 25鲁钢铁MTN002 | 4 | 0.26% | 2,048.02 |
| 21 | 102501156 | 25鲁宏桥MTN001(科创票据) | 3 | 0.13% | 1,047.39 |
| 22 | 102581402 | 25寿光金旭MTN001 | 3 | 0.13% | 1,035.34 |
| 23 | 019773 | 25国债08 | 7 | 0.08% | 623.93 |
| 24 | 019789 | 25特国06 | 7 | 0.06% | 493.14 |
| 25 | 019758 | 24国债21 | 3 | 0.06% | 455.59 |
| 26 | 149697 | 21穗交04 | 4 | 0.06% | 438.20 |
| 27 | 148581 | 24HBIS01 | 4 | 0.05% | 412.61 |
| 28 | 148621 | 24深创投02 | 3 | 0.05% | 408.92 |
| 29 | 019766 | 25国债01 | 4 | 0.04% | 351.50 |
| 30 | 127089 | 晶澳转债 | 4 | 0.04% | 335.63 |
| 31 | 148158 | 22广电02 | 4 | 0.04% | 287.97 |
| 32 | 019784 | 25特国05 | 3 | 0.02% | 140.29 |
| 33 | 019786 | 25国债14 | 4 | 0.02% | 140.11 |
| 34 | 019785 | 25国债13 | 4 | 0.01% | 80.16 |
| 35 | 110062 | 烽火转债 | 2 | 0.01% | 78.18 |
| 36 | 113687 | 振华转债 | 3 | 0.01% | 55.66 |
| 37 | 113692 | 保隆转债 | 2 | 0.01% | 41.85 |
| 38 | 128095 | 恩捷转债 | 3 | 0.00% | 37.87 |
| 39 | 123254 | 亿纬转债 | 2 | 0.00% | 36.60 |
| 40 | 110074 | 精达转债 | 2 | 0.00% | 35.81 |
| 41 | 118034 | 晶能转债 | 3 | 0.00% | 35.21 |
| 42 | 113615 | 金诚转债 | 3 | 0.00% | 34.29 |
| 43 | 113685 | 升24转债 | 2 | 0.00% | 29.09 |
| 44 | 128136 | 立讯转债 | 2 | 0.00% | 28.65 |
| 45 | 110090 | 爱迪转债 | 2 | 0.00% | 28.61 |
| 46 | 118030 | 睿创转债 | 3 | 0.00% | 25.37 |
| 47 | 123245 | 集智转债 | 3 | 0.00% | 23.48 |
| 48 | 127086 | 恒邦转债 | 3 | 0.00% | 21.38 |
| 49 | 127066 | 科利转债 | 3 | 0.00% | 15.37 |
| 50 | 127073 | 天赐转债 | 3 | 0.00% | 14.34 |
| 51 | 118000 | 嘉元转债 | 3 | 0.00% | 13.98 |
博远基金 2025年2季度债券投资明细(全部)
截止至:2025-06-30
| 序号 | 债券代码 | 债券名称 | 本公司持有基金数 | 占总净值比例 | 持仓市值(万元) |
|---|---|---|---|---|---|
| 1 | 2500002 | 25超长特别国债02 | 6 | 9.75% | 87,673.51 |
| 2 | 240208 | 24国开08 | 6 | 8.68% | 78,092.60 |
| 3 | 240203 | 24国开03 | 6 | 5.74% | 51,651.44 |
| 4 | 019751 | 24国债16 | 2 | 3.06% | 27,507.67 |
| 5 | 240303 | 24进出03 | 2 | 2.81% | 25,300.14 |
| 6 | 240014 | 24附息国债14 | 2 | 2.64% | 23,790.45 |
| 7 | 140217 | 14国开17 | 2 | 2.64% | 23,781.39 |
| 8 | 210203 | 21国开03 | 2 | 1.93% | 17,390.14 |
| 9 | 220208 | 22国开08 | 1 | 1.59% | 14,320.68 |
| 10 | 220016 | 22附息国债16 | 1 | 1.16% | 10,456.56 |
| 11 | 524030 | 24广发13 | 1 | 1.13% | 10,193.78 |
| 12 | 240016 | 24附息国债16 | 1 | 1.13% | 10,189.03 |
| 13 | 241755 | 24招S27 | 1 | 1.13% | 10,120.78 |
| 14 | 112411119 | 24平安银行CD119 | 2 | 1.10% | 9,931.72 |
| 15 | 173812 | 21内蒙17 | 2 | 0.49% | 4,372.00 |
| 16 | 2205792 | 22新疆债05 | 2 | 0.46% | 4,119.94 |
| 17 | 2105038 | 21兵团债02 | 2 | 0.46% | 4,101.56 |
| 18 | 250011 | 25附息国债11 | 2 | 0.22% | 2,007.76 |
| 19 | 240018 | 24附息国债18 | 2 | 0.11% | 1,030.51 |
| 20 | 019758 | 24国债21 | 2 | 0.10% | 908.08 |
| 21 | 019741 | 24国债10 | 2 | 0.03% | 283.08 |
| 22 | 149249 | 20深铁G4 | 2 | 0.03% | 278.18 |
| 23 | 149845 | 22深投01 | 2 | 0.03% | 228.59 |
| 24 | 110059 | 浦发转债 | 2 | 0.03% | 225.50 |
| 25 | 149697 | 21穗交04 | 2 | 0.02% | 218.75 |
| 26 | 148621 | 24深创投02 | 2 | 0.02% | 204.09 |
| 27 | 127089 | 晶澳转债 | 2 | 0.02% | 182.64 |
| 28 | 113042 | 上银转债 | 2 | 0.02% | 153.23 |
| 29 | 019547 | 16国债19 | 2 | 0.01% | 86.90 |
| 30 | 127103 | 东南转债 | 2 | 0.01% | 63.62 |
| 31 | 123237 | 佳禾转债 | 2 | 0.00% | 43.46 |
| 32 | 123241 | 欧通转债 | 2 | 0.00% | 30.49 |
| 33 | 127076 | 中宠转2 | 2 | 0.00% | 23.00 |
博远基金 2025年1季度债券投资明细(全部)
截止至:2025-03-31
| 序号 | 债券代码 | 债券名称 | 本公司持有基金数 | 占总净值比例 | 持仓市值(万元) |
|---|---|---|---|---|---|
| 1 | 240208 | 24国开08 | 8 | 12.74% | 143,752.59 |
| 2 | 240203 | 24国开03 | 8 | 10.17% | 114,743.39 |
| 3 | 240014 | 24附息国债14 | 4 | 6.09% | 68,735.67 |
| 4 | 240303 | 24进出03 | 5 | 5.00% | 56,385.68 |
| 5 | 220208 | 22国开08 | 3 | 3.14% | 35,448.36 |
| 6 | 09240202 | 24国开清发02 | 3 | 2.72% | 30,743.92 |
| 7 | 240016 | 24附息国债16 | 2 | 2.51% | 28,295.79 |
| 8 | 140217 | 14国开17 | 2 | 2.09% | 23,554.10 |
| 9 | 220016 | 22附息国债16 | 1 | 1.84% | 20,754.47 |
| 10 | 112505077 | 25建设银行CD077 | 2 | 1.75% | 19,761.07 |
| 11 | 210203 | 21国开03 | 2 | 1.53% | 17,302.97 |
| 12 | 230203 | 23国开03 | 3 | 1.01% | 11,368.32 |
| 13 | 112411119 | 24平安银行CD119 | 2 | 0.87% | 9,874.04 |
| 14 | 173812 | 21内蒙17 | 2 | 0.38% | 4,294.93 |
| 15 | 2205792 | 22新疆债05 | 2 | 0.37% | 4,184.96 |
| 16 | 222380003 | 23兴业银行绿债01 | 2 | 0.37% | 4,146.57 |
| 17 | 220220 | 22国开20 | 2 | 0.09% | 1,070.47 |
| 18 | 240006 | 24附息国债06 | 2 | 0.09% | 1,030.44 |
| 19 | 019740 | 24国债09 | 2 | 0.08% | 913.37 |
| 20 | 019758 | 24国债21 | 2 | 0.08% | 853.70 |
| 21 | 149249 | 20深铁G4 | 2 | 0.02% | 277.30 |
| 22 | 149845 | 22深投01 | 2 | 0.02% | 227.15 |
| 23 | 149697 | 21穗交04 | 2 | 0.02% | 217.26 |
| 24 | 149896 | 22深资01 | 2 | 0.02% | 204.65 |
| 25 | 149917 | 22鲲鹏K4 | 2 | 0.02% | 204.42 |
| 26 | 127089 | 晶澳转债 | 2 | 0.02% | 196.07 |
| 27 | 123131 | 奥飞转债 | 2 | 0.01% | 123.01 |
| 28 | 127103 | 东南转债 | 2 | 0.00% | 31.02 |
| 29 | 113582 | 火炬转债 | 2 | 0.00% | 16.55 |