行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

中信保诚稳益C(003288)

2026-01-08     1.07930.0093%
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
2025-09-30161,463.070.0017,305.340.00421,507.0498,375.250.000.350.00
2025-06-30161,609.120.0043,889.290.00321,540.3590,937.900.001.870.00
2025-03-31161,086.940.0018,481.280.00393,265.7872,778.240.00999.590.00
2024-12-31161,273.620.0019,687.000.00349,428.8479,994.900.000.000.00
2024-09-30161,651.930.0017,074.440.00375,324.3277,643.450.000.070.00
2024-06-30161,360.780.005,424.670.00354,636.9286,527.280.000.120.00
2024-03-31159,755.360.001,531.850.00322,959.8593,406.920.000.050.00
2023-12-31158,129.360.007,446.540.00344,158.73114,422.870.000.000.00
2023-09-30162,856.000.003,401.620.00341,598.4589,089.460.000.000.00
2023-06-30161,953.580.003,394.830.00340,044.05121,416.500.000.220.00
2023-03-31160,096.100.0020,394.000.00332,763.63102,896.320.000.220.00
2022-12-31157,876.640.0010,281.890.00252,681.90124,221.330.000.200.00
2022-09-30161,903.460.0010,249.250.00255,880.05108,225.190.000.430.00
2022-06-30159,888.950.00267.490.00225,676.3592,211.930.001.450.00
2022-03-31157,767.310.00124.970.00184,126.6798,852.520.000.870.00
2021-12-31156,941.000.00139.160.00130,315.00101,988.900.002,734.610.00
2021-09-30160,159.860.00116.240.0020,096.0081,810.600.002,442.470.00
2021-06-30158,437.300.0047.000.0020,132.00131,782.400.003,192.740.00
2021-03-31156,605.050.00146.620.0020,136.00115,175.700.001,808.460.00
2020-12-31155,939.920.0077.730.0020,136.00136,805.600.002,146.380.00
2020-09-30156,453.450.0025,936.470.0020,136.00113,546.600.002,030.200.00
2020-06-30157,571.340.0035,953.070.0071,111.00110,423.800.002,062.050.00
2020-03-31158,323.180.0020,337.010.00762,481.0043,569.720.002,609.760.00
2019-12-31155,350.920.0010,688.800.00755,212.006,069.400.008,879.320.00
2019-09-30159,689.940.00810.430.00754,212.0029,187.500.002,786.820.00