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基金概况

财务数据

华夏可转债增强债券C(012887)

2025-04-01     1.34490.6059%
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
2024-12-31179,326.0564,784.4213,163.55148,179.480.000.000.00853.020.00
2024-09-30199,004.2167,432.3515,291.54160,859.550.000.000.006,684.160.00
2024-06-30209,630.2775,271.0116,884.06169,738.610.000.000.00143.710.00
2024-03-31194,379.8171,400.4515,464.55156,382.180.000.000.001,974.840.00
2023-12-31265,971.46102,937.7518,877.64213,321.950.000.000.002,495.870.00
2023-09-30247,274.09102,897.9617,358.21197,755.760.000.000.0058.690.00
2023-06-30301,161.69130,860.9518,792.02243,851.810.000.000.002,786.980.00
2023-03-31133,489.3258,413.019,651.30106,481.080.000.000.00307.400.00
2022-12-3192,609.9146,992.297,310.3374,884.140.000.000.00258.760.00
2022-09-30146,485.9355,513.139,532.33117,700.120.000.000.001,175.370.00
2022-06-30189,304.5571,279.5613,535.92151,327.060.000.000.00590.110.00
2022-03-31186,530.8580,427.9015,004.12149,566.950.000.000.002,038.480.00
2021-12-31247,819.3365,307.4016,382.51199,510.170.000.000.003,067.390.00
2021-09-30230,465.8046,465.0012,910.12184,459.750.000.000.001,246.360.00