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基金业绩

基金费率

投资组合

基金概况

财务数据

平安双季盈6个月持有债券C(012932)

2024-12-02     1.11110.1442%
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
2024-09-30290,151.990.0020,317.210.00416,966.5835,485.8511,381.07500.770.00
2024-06-30247,979.900.009,392.270.00341,615.2844,054.8721,846.521,948.560.00
2024-03-31165,851.340.002,304.000.00249,924.2735,505.6249,531.701,299.810.00
2023-12-3168,873.860.00575.290.00176,208.8331,232.493,110.32571.960.00
2023-09-3051,070.550.00608.310.00106,998.608,612.913,086.9182.400.00
2023-06-3035,782.460.00487.510.0066,181.873,056.190.00296.830.00
2023-03-3112,197.930.00634.400.0016,350.724,550.290.00143.720.00
2022-12-3110,132.060.002,943.770.007,041.864,930.990.002.930.00
2022-09-309,767.660.001,272.800.007,155.932,552.660.0013.060.00
2022-06-3010,367.670.00380.320.0015,159.004,591.960.002.810.00
2022-03-3122,432.800.008,545.050.0060,103.434,113.750.006.860.00