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浦银安盛幸福聚益定开债券C(519327)

2021-07-06     1.05840.0567%
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
2021-06-303,883.680.00175.870.000.002,001.800.0032.560.00
2021-03-318,413.890.00837.440.0038,556.181,007.150.00159.710.00
2020-12-318,338.250.00862.490.0043,486.781,506.450.00163.280.00
2020-09-308,293.130.00114.220.0043,466.921,210.770.00127.020.00
2020-06-308,339.330.0073.430.0043,996.322,893.140.00134.900.00
2020-03-318,383.090.0064.130.0049,399.752,796.200.00198.550.00
2019-12-318,184.670.00173.460.0039,676.211,704.550.00155.000.00
2019-09-3018,285.530.00157.950.00110,304.666,073.700.00390.440.00
2019-06-3018,094.300.00182.640.00126,313.136,101.600.00515.510.00
2019-03-3117,941.680.00302.400.00145,148.327,121.900.00470.610.00
2018-12-3117,765.240.00137.190.00164,518.196,052.700.00469.390.00
2018-09-3017,494.810.0047.320.00168,171.671,029.100.00379.920.00
2018-06-3017,239.950.00188.260.00137,243.800.000.00342.380.00
2018-03-31350,677.850.004,397.070.001,735,575.2758,467.800.007,244.780.00
2017-12-31345,423.750.008,668.440.002,216,443.6717,275.500.009,748.510.00
2017-09-30346,324.880.002,150.030.001,970,696.6917,953.500.007,932.210.00
2017-06-30343,310.560.005,342.350.002,013,608.299,266.200.007,305.370.00
2017-03-31341,278.240.005,538.420.001,768,969.309,389.200.006,381.110.00
2016-12-31339,220.420.000.000.000.000.000.000.000.00