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

平安0-3年期政策性金融债债券C(006933)

2026-01-28     1.11530.0269%
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
2025-12-3116,536.030.001,066.080.000.0016,069.700.00119.360.00
2025-09-309,098.680.0052.030.000.009,749.370.00315.980.00
2025-06-301,963.580.00451.200.000.002,031.450.000.410.00
2025-03-3163,949.700.009,501.580.000.0066,779.600.0010.700.00
2024-12-31229,173.370.0017,839.760.000.00263,880.760.0061.120.00
2024-09-30253,254.580.0026,653.500.000.00322,783.940.0057.070.00
2024-06-30600,264.410.0065,277.750.000.00624,988.820.008,086.190.00
2024-03-31597,567.820.0074,723.940.000.00618,088.630.004.180.00
2023-12-31493,713.870.0064.400.000.00584,582.920.001.020.00
2023-09-30222,509.120.00387.000.000.00183,140.300.000.050.00
2023-06-3036,266.240.0088.530.000.0033,691.050.0041.800.00
2023-03-31119,220.310.0012.180.000.00146,383.470.000.000.00
2022-12-31606,286.040.0011.810.000.00538,834.640.000.240.00
2022-09-30236,552.880.00286.730.000.00237,171.380.0020.510.00
2022-06-30123,540.080.0093.520.000.00109,001.000.00312.240.00
2022-03-31187,392.140.0070.650.000.00156,016.920.0019.990.00
2021-12-31187,248.190.0084.320.000.00183,360.600.003,865.950.00
2021-09-30119,352.230.00609.780.000.0097,621.200.001,161.890.00
2021-06-3070,341.860.0024.280.000.0056,898.700.00755.720.00
2021-03-31100,427.130.005,303.480.000.00103,851.100.001,432.840.00
2020-12-31105,722.610.0016,015.510.000.0084,675.390.002,085.120.00
2020-09-3074,233.230.00263.690.000.0077,333.700.001,176.590.00
2020-06-30206,793.680.0010,154.390.000.00169,440.300.002,283.330.00
2020-03-31181,160.170.007,069.930.000.00170,249.700.002,408.800.00
2019-12-31266,069.420.003,408.320.000.00323,859.660.007,883.650.00