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基金费率

投资组合

基金概况

财务数据

国寿安保尊享债券C(000669)

2025-01-14     1.25350.4166%
资产配置
单位:万元
报告期 基金净值 股票 国债及现金 可转债 企业债 金融债 其他债券 其他投资 贷方余额
2024-09-3030,503.110.008,276.306,765.140.0023,725.680.0031.900.00
2024-06-3029,252.860.005,870.635,110.700.0026,823.110.0043.120.00
2024-03-3127,464.610.001,658.295,013.590.0028,996.540.001.240.00
2023-12-3130,185.140.007,924.056,267.210.0024,750.220.0089.790.00
2023-09-3029,435.170.003,024.025,523.520.0025,072.270.000.940.00
2023-06-3032,818.570.001,774.174,530.670.0030,212.750.001,807.420.00
2023-03-3132,599.230.00151.932,481.870.0033,635.650.0035.290.00
2022-12-3155,634.550.00439.251,684.770.0056,140.420.001.290.00
2022-09-3024,357.680.00409.50704.370.0020,161.080.00171.460.00
2022-06-3022,311.170.00342.941,338.600.0016,959.350.002.180.00
2022-03-3132,433.550.00624.841,585.7112,881.5520,364.900.001.510.00
2021-12-3178,880.050.007,682.982,817.8943,213.0057,681.000.001,064.000.00
2021-09-3078,039.950.00397.662,379.9373,694.0040,539.100.001,199.810.00
2021-06-30104,707.600.001,159.392,472.1597,403.0058,534.300.001,927.630.00
2021-03-31110,493.510.004,351.312,884.1947,414.0047,212.500.001,616.510.00
2020-12-31115,442.650.0015,408.945,359.03117,715.0045,220.200.001,484.110.00
2020-09-30104,458.570.00144.374,909.57118,041.0024,685.400.001,613.510.00
2020-06-30103,140.250.00773.162,224.26234,857.0019,639.050.002,791.610.00
2020-03-31112,209.430.00546.104,837.61254,004.0043,210.400.003,062.040.00
2019-12-31116,200.650.00474.138,547.21312,324.0038,247.100.001,829.490.00
2019-09-30162,137.970.008,728.062,769.43665,415.2734,160.000.003,707.520.00
2019-06-30147,178.040.006,276.166,457.40630,279.9120,235.600.003,862.880.00
2019-03-31159,497.510.00666.7911,629.41639,561.2633,360.100.003,903.910.00
2018-12-31129,702.310.001,029.841,145.75684,615.9442,528.100.003,179.800.00
2018-09-30144,768.660.00504.441,140.36698,310.4141,275.900.002,845.120.00