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基金业绩

基金费率

投资组合

基金概况

财务数据

博时安心收益定开债券C(050128)

2021-03-23     1.01300.0000%
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
2020-12-319,019.160.001,232.410.003,880.008,026.000.00392.800.00
2020-09-309,010.440.00559.260.004,850.007,005.300.00369.050.00
2020-06-309,004.460.00128.040.005,820.007,983.900.00317.350.00
2020-03-318,942.940.001,590.630.006,790.009,179.700.00307.140.00
2019-12-318,945.370.00270.310.0056,550.404,622.440.00404.070.00
2019-09-308,804.810.00359.160.0064,420.003,609.480.00400.030.00
2019-06-308,661.230.00607.770.0072,563.206,597.000.00350.560.00
2019-03-318,477.550.00247.810.0048,047.203,728.680.00289.920.00
2018-12-3113,239.740.00339.670.0077,638.404,368.500.00564.870.00
2018-09-3013,227.790.00435.290.0090,702.703,261.820.00466.380.00
2018-06-3013,306.700.00639.220.0094,573.704,320.500.00307.030.00
2018-03-3113,069.680.00141.030.0084,003.003,187.860.00157.450.00
2017-12-31159,011.430.002,212.450.00276,152.546,674.700.003,260.580.00
2017-09-30160,667.600.008,740.360.00755,125.6032,681.400.004,432.170.00
2017-06-30159,532.010.004,265.580.00754,653.7015,546.000.002,587.880.00
2017-03-31158,494.210.00855.050.00632,555.100.000.001,753.150.00
2016-12-31343,895.680.0046,376.680.00863,249.3015,000.3063,937.505,668.980.00
2016-09-30354,535.910.0097,029.290.00871,045.10274,324.7091,832.448,781.470.00
2016-06-30342,330.400.0075,174.630.00911,312.70164,947.8790,072.146,436.410.00
2016-03-31340,520.190.001,786.740.001,204,675.86165,501.50104,173.395,379.770.00
2015-12-3128,798.700.00781.500.00254,891.7521,478.242,777.491,476.900.00
2015-09-3027,587.220.003,300.030.00255,788.5020,699.960.001,258.570.00
2015-06-3026,235.900.003,293.830.00220,276.4213,074.920.00891.550.00
2015-03-3125,355.360.003,370.490.00203,433.437,442.800.00534.810.00
2014-12-3119,629.300.001,494.150.00123,262.132,470.860.001,792.390.00