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

嘉实稳泽纯债债券C(016241)

2026-02-13     1.06250.0094%
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
2025-12-31251,728.090.00165.230.000.00142,593.390.001.630.00
2025-09-30395,248.430.0055,002.560.0070,549.95167,425.290.007.920.00
2025-06-30547,259.690.0030,503.650.0092,648.82387,945.140.0027.300.00
2025-03-31443,121.210.00173.160.00144,596.57287,256.380.00108.150.00
2024-12-31490,605.950.0080,912.100.00175,351.48358,557.800.00126.930.00
2024-09-30557,058.500.0053,834.100.00175,390.17132,439.263,030.5874.400.00
2024-06-30768,448.010.0076,511.340.00384,486.46120,800.950.00414.400.00
2024-03-311,099,764.320.003,572.510.00381,846.96321,989.770.003,381.360.00
2023-12-31981,630.160.0022,526.720.00699,159.55265,008.070.00416.770.00
2023-09-30812,291.420.00231.770.00291,245.67240,647.560.005,397.920.00
2023-06-30502,397.260.00190.000.00394,444.30105,376.310.004,165.930.00
2023-03-31287,964.520.005,647.810.00411,424.3856,579.100.0017.010.00
2022-12-31177,114.060.00117.810.00532,082.7930,583.960.001.380.00
2022-09-30236,296.570.0010,193.770.00420,009.1999,946.510.002,958.470.00