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基金业绩

基金费率

投资组合

基金概况

财务数据

博时双季享持有期债券C(010227)

2024-12-02     1.14700.1747%
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
2024-09-3093,389.810.005,123.020.0057,166.8639,248.490.00212.510.00
2024-06-3085,751.030.008,503.520.0056,851.4134,798.060.00409.940.00
2024-03-3153,518.870.007,865.790.0068,352.5917,897.480.00227.370.00
2023-12-3111,225.430.001,708.590.0028,487.181,966.190.00169.860.00
2023-09-306,979.490.00106.640.0024,255.01958.130.001.460.00
2023-06-306,405.080.001,564.860.0018,224.91516.830.00377.520.00
2023-03-315,859.510.001,454.230.0018,302.08297.180.00302.770.00
2022-12-316,115.160.001,613.400.0022,098.91402.650.0021.080.00
2022-09-307,653.430.00957.340.0026,638.783,037.170.001.690.00
2022-06-308,668.830.001,906.060.0028,495.101,706.720.00331.570.00
2022-03-3110,264.340.002,199.830.0012,284.971,056.320.006.320.00
2021-12-3115,490.550.001,167.560.0024,174.601,000.600.00277.010.00
2021-09-3027,153.230.001,458.230.0085,097.129,126.400.00635.950.00
2021-06-3055,567.790.00749.980.00238,263.0614,038.900.00986.200.00
2021-03-31145,106.340.005,988.000.00548,188.5422,004.900.004,735.350.00
2020-12-31135,416.290.002,890.760.00743,465.8126,119.000.002,409.820.00