行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

中信建投稳裕C(007552)

2024-12-17     1.0819-0.0739%
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
2024-09-30153,092.970.0011,032.810.000.0014,283.6041,281.010.000.00
2024-06-30152,458.510.0085.390.006,345.7410,151.8827,091.130.000.00
2024-03-31153,314.570.0012,562.280.006,304.1313,234.7926,646.080.000.00
2023-12-31151,663.120.00117.910.000.0028,501.4422,426.655.200.00
2023-09-30150,467.590.0068.290.000.0053,665.1922,139.4585.070.00
2023-06-3049,706.640.00569.650.00275,884.4911,333.130.002.770.00
2023-03-3149,116.810.00586.670.00295,393.4613,475.850.001.730.00
2022-12-31110,110.360.0013,965.960.00264,911.5034,663.240.000.000.00
2022-09-30113,385.640.0015,527.200.00245,822.8735,182.640.000.910.00
2022-06-30112,374.760.004,030.920.00244,378.8136,090.370.001.750.00
2022-03-31117,319.230.00694.910.00284,048.5724,840.170.004,001.920.00
2021-12-31128,089.380.0013,391.110.00171,559.0066,822.900.002,205.280.00
2021-09-3082,423.640.00968.830.00240,064.0031,263.500.001,003.180.00
2021-06-3077,674.470.00947.850.00299,261.0038,407.240.001,450.660.00
2021-03-3176,913.670.00685.010.00329,185.0019,941.340.001,484.430.00
2020-12-3178,197.590.004,799.640.00359,275.0033,902.200.001,576.920.00
2020-09-3081,021.010.001,104.290.00358,878.0037,715.100.001,273.760.00
2020-06-3083,056.040.007,914.160.00442,139.0013,625.350.001,373.850.00
2020-03-3194,209.580.0055,628.630.000.0036,919.380.003,959.810.00
2019-12-31104,164.350.001,331.310.00789,301.8026,808.370.002,997.640.00
2019-09-30137,794.870.003,954.810.001,220,083.7026,513.650.003,511.840.00
2019-06-30125,558.140.0012,157.700.00677,104.8034,034.500.006,590.760.00