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基金业绩

基金费率

投资组合

基金概况

财务数据

光大保德信尊盈半年债券发起式A(001968)

2026-01-21     1.07340.0466%
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
2025-09-3054,323.020.0077.730.00224,828.196,091.300.000.350.00
2025-06-3054,347.720.00179.720.00206,809.319,128.360.003.170.00
2025-03-3153,838.860.00332.600.00216,167.0210,056.750.004.760.00
2024-12-3154,001.820.00493.880.00270,813.7917,288.010.001.870.00
2024-09-3053,380.540.002,343.790.00423,187.890.000.000.470.00
2024-06-3053,260.650.00286.890.00407,748.040.000.000.710.00
2024-03-3152,792.470.00462.670.00413,801.590.000.000.840.00
2023-12-3152,306.420.00248.630.00411,334.660.000.00602.330.00
2023-09-3051,980.230.00640.790.00294,563.300.000.002.830.00
2023-06-3051,498.340.00347.210.00377,835.630.000.001.270.00
2023-03-3150,997.210.00223.740.00233,679.460.000.001.380.00
2022-12-3150,369.220.00356.090.00243,152.220.000.001.780.00
2022-09-3050,941.810.00306.430.00153,633.860.000.001.730.00
2022-06-3050,499.210.00112.900.0041,301.890.000.001.980.00
2022-03-3149,955.480.00450.130.0072,104.933,010.100.003.820.00
2021-12-3150,581.180.00562.910.00243,256.000.000.001,115.210.00
2021-09-3049,960.390.00152.730.0071,037.000.000.00656.860.00
2021-06-30207,422.110.00375.870.00644,668.80129,263.700.003,817.020.00
2021-03-31205,648.280.00167.500.00687,358.80119,535.8010,634.253,657.580.00
2020-12-31203,970.150.00134.080.00719,959.90129,745.500.005,017.270.00
2020-09-30201,779.390.0097.360.00754,994.40114,385.700.005,022.080.00
2020-06-30202,028.610.00253.160.00802,002.30116,279.400.003,900.560.00
2020-03-31208,230.060.00286.730.00725,972.4094,929.700.003,665.590.00
2019-12-31204,226.280.00115.840.00724,880.1091,225.500.004,089.890.00
2019-09-30205,553.970.00304.010.00720,699.8097,713.300.005,066.430.00