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基金业绩

基金费率

投资组合

基金概况

财务数据

中信保诚稳丰C(004107)

2024-11-22     1.06410.0282%
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
2024-09-30161,841.450.005,495.880.00429,303.4776,534.700.000.090.00
2024-06-30161,571.920.0010,665.010.00392,959.0171,106.150.005,032.540.00
2024-03-31159,853.310.005,522.630.00360,686.6476,841.290.000.000.00
2023-12-31158,273.940.006,412.540.00375,086.6695,859.340.000.000.00
2023-09-30162,977.440.00355.860.00372,351.0076,964.170.000.000.00
2023-06-30162,001.290.00310.630.00371,921.43113,494.330.000.220.00
2023-03-31160,157.290.0021,423.860.00364,343.0687,602.760.000.220.00
2022-12-31157,774.900.00429.170.00283,717.83123,848.310.000.000.00
2022-09-30162,017.070.00224.860.00287,478.60110,028.640.000.330.00
2022-06-30159,963.420.00215.840.00258,123.7291,632.850.003.820.00
2022-03-31157,704.790.00146.350.00174,745.5098,217.590.001.690.00
2021-12-31156,817.950.00139.120.00171,599.0095,278.560.002,576.340.00
2021-09-30160,030.100.00171.390.0031,254.0066,407.240.002,298.300.00
2021-06-30158,232.020.00316.500.0031,059.00116,491.450.003,092.330.00
2021-03-31156,438.720.0038.330.0030,852.00119,188.800.002,025.610.00
2020-12-31155,810.080.007.310.0030,777.00132,875.800.002,147.910.00
2020-09-30156,295.950.0020,151.230.0030,849.00113,541.000.002,251.030.00
2020-06-30157,291.720.0020,104.940.0041,202.00130,597.300.002,565.210.00
2020-03-31158,204.380.0015,970.640.00674,651.1050,658.000.007,855.840.00
2019-12-31154,925.640.0010,911.480.00871,734.065,152.000.003,116.750.00
2019-09-30159,287.410.00999.680.00892,434.0820,282.500.003,032.730.00
2019-06-30157,297.030.004,391.200.00810,563.0722,368.800.003,665.410.00
2019-03-31156,063.720.001,207.620.00350,192.0855,692.660.007,737.770.00
2018-12-31154,109.140.00702.320.00318,264.0055,520.600.003,008.320.00
2018-09-30156,953.120.00841.270.00296,700.0054,609.600.003,491.070.00