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基金业绩

基金费率

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基金概况

财务数据

平安季季享3个月持有债券C(010241)

2025-04-10     1.11850.0089%
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
2024-12-3168,832.530.001,153.970.0030,150.9631,311.748,398.9468.280.00
2024-09-3065,157.150.00470.400.0050,669.9526,341.982,107.7148.750.00
2024-06-3075,273.170.002,204.320.0052,568.646,304.744,157.90188.850.00
2024-03-3184,106.730.00255.150.0082,673.216,845.387,300.721,797.240.00
2023-12-3173,754.070.00300.050.00241,150.2112,846.622,071.2292.450.00
2023-09-3081,662.980.00107.730.00108,096.644,864.280.0039.670.00
2023-06-3088,211.250.00153.250.00117,717.494,841.660.0015.790.00
2023-03-3182,606.950.00176.840.00138,227.327,631.350.0030.640.00
2022-12-31111,245.050.00726.960.0041,045.0513,185.595,076.0324.420.00
2022-09-30232,801.320.005,495.230.0073,078.379,553.1415,639.33254.860.00
2022-06-30266,291.560.003,494.360.0030,828.8011,373.5218,666.001,298.650.00
2022-03-3141,992.010.00145.690.000.003,275.450.001,371.490.00
2021-12-315,061.420.00284.410.000.004,203.780.00597.630.00
2021-09-303,943.260.0061.350.000.004,008.800.0089.630.00
2021-06-308,536.670.00461.220.000.008,020.700.00105.470.00