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基金业绩

基金费率

投资组合

基金概况

财务数据

华安安心收益债券A(040036)

2024-11-22     0.9480-0.1054%
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
2024-09-306,290.810.004,004.601,221.890.001,016.700.000.480.00
2024-06-306,717.64918.70631.284,166.810.001,012.410.005.550.00
2024-03-316,920.431,024.74506.954,433.540.001,033.330.000.830.00
2023-12-317,316.241,260.93482.684,853.620.001,023.840.00101.180.00
2023-09-308,164.571,125.51840.585,820.960.001,016.780.0063.020.00
2023-06-308,879.251,171.151,265.484,486.960.003,035.730.004.060.00
2023-03-319,651.831,377.861,721.513,350.450.004,114.030.0077.210.00
2022-12-3110,406.261,775.651,844.18676.880.006,143.290.0019.640.00
2022-09-3012,946.182,200.264,652.92283.920.006,363.160.004.220.00
2022-06-3013,477.972,558.716,926.04174.530.006,288.040.00187.390.00
2022-03-3114,293.752,628.787,665.54175.150.006,397.280.00217.960.00
2021-12-3119,742.773,415.009,103.22626.720.006,270.180.00422.890.00
2021-09-309,555.29448.508,998.7848.130.00721.470.0076.130.00
2021-06-309,781.581,867.495,916.51887.690.002,030.850.00176.140.00
2021-03-3111,017.631,379.604,897.271,264.332,008.004,034.860.00152.330.00
2020-12-3114,707.122,762.737,236.87988.392,017.004,036.900.00518.660.00
2020-09-3014,516.952,600.516,096.672,261.322,037.004,027.920.00125.890.00
2020-06-308,557.691,099.364,977.37969.672,049.001,844.190.00160.920.00
2020-03-318,625.601,622.503,864.46686.614,069.002,195.590.00333.590.00
2019-12-318,432.691,630.213,780.211,446.424,050.003,052.460.00338.660.00
2019-09-3010,171.961,818.704,165.101,720.544,043.003,052.520.00120.360.00
2019-06-308,416.041,325.254,658.85239.334,093.002,009.500.00208.260.00
2019-03-317,161.40581.753,300.05766.409,532.202,015.100.00338.340.00
2018-12-318,349.971,350.251,020.921,041.929,544.404,091.900.00633.940.00
2018-09-3016,893.702,519.78184.983,603.9034,835.801,002.400.00254.620.00