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基金费率

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基金概况

财务数据

平安惠信3个月定开债C(012441)

2025-01-27     1.04410.1247%
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
2024-12-3181,485.720.003,891.080.00339,957.5711,687.893,077.0217.230.00
2024-09-3082,481.970.002,218.700.00398,942.562,229.660.0036.940.00
2024-06-30123,877.100.003,018.240.00292,129.2112,658.980.003.920.00
2024-03-31121,351.840.004,296.260.00430,889.430.000.004.160.00
2023-12-3171,213.130.002,250.250.00325,499.354,242.9625,799.92324.320.00
2023-09-3070,120.800.004,475.490.00201,433.254,191.498,835.3784.050.00
2023-06-3071,509.420.002,468.470.00132,449.5023,873.401,052.854,090.740.00
2023-03-31141,904.040.0050,697.280.000.0063,274.170.000.000.00
2022-12-31173,601.100.0010,077.530.000.00204,210.270.000.000.00
2022-09-30172,553.260.005,589.540.000.00179,649.070.000.000.00
2022-06-30173,967.520.0010,187.920.000.00167,356.430.000.000.00
2022-03-31306,054.310.002,175.670.000.00298,146.150.000.000.00
2021-12-31305,435.440.0074.830.000.00387,313.550.007,389.550.00
2021-09-30401,479.570.005,884.910.000.00395,943.700.005,493.760.00