华夏稳享增利6个月滚动持有债C

(015717)公募债券型
1.1660 0.18%+0.0021
单位净值 [2025-09-30]
1.1660
累计净值 [2025-09-30]
       
净值估算 [2025-09-30   ]
  • 最近一月:0.85%
  • 最近一季:2.00%
  • 最近半年:2.60%
  • 今年以来:3.14%
  • 最近一年:4.57%
  • 最近两年:11.71%
  • 最近三年:16.87%
  • 成立以来:16.60%
  • 成立日期:2022-09-06
  • 基金经理:范义
  • 产品类型:契约型开放式
  • 最新份额:27.20亿
  • 申购状态:可以申购
  • 最新规模:267.36亿元
  • 投资风格:
  • 管理公司:华夏
各季度资产配置
季报日期 净资总值(亿元) 净资净值(亿元) 股票 债券 现金 其他
市值(亿元) 占净值比例(%) 占总值比例(%) 市值(亿元) 占净值比例(%) 占总值比例(%) 市值(亿元) 占净值比例(%) 占总值比例(%) 市值(亿元) 占净值比例(%) 占总值比例(%)
2025-06-30 267.36 263.81 14.59 5.53% 5.45% 249.52 93.24% 93.33% 2.66 1.01% 1.00% 0.59 0.22% 0.22%
2025-03-31 252.84 240.87 12.59 5.23% 4.98% 197.88 77.17% 78.26% 3.36 1.40% 1.33% 12.01 4.99% 4.75%
2024-12-31 188.42 177.12 9.37 5.29% 4.97% 175.80 92.88% 93.31% 1.18 0.66% 0.62% 2.07 1.17% 1.10%
2024-09-30 127.38 122.51 12.86 6.53% 10.09% 102.03 83.28% 80.10% 3.95 3.22% 3.10% 2.94 2.40% 2.31%
2024-06-30 68.09 66.97 3.86 5.77% 5.67% 62.55 91.72% 91.86% 0.25 0.37% 0.36% 1.43 2.14% 2.11%
2024-03-31 39.69 35.96 3.28 9.11% 8.25% 36.18 90.23% 91.15% 0.15 0.41% 0.37% 0.09 0.25% 0.23%
2024-03-30 39.69 35.96 3.28 9.11% 8.25% 36.18 90.23% 91.15% 0.15 0.41% 0.37% 0.09 0.25% 0.23%
2023-12-31 10.53 10.06 0.26 2.63% 2.51% 9.88 93.60% 93.88% 0.12 1.19% 1.14% 0.26 2.58% 2.47%
2023-09-30 0.65 0.62 0.02 2.81% 2.67% 0.54 80.98% 81.92% 0.10 15.82% 15.03% 0.00 0.39% 0.38%
2023-06-30 2.06 2.00 0.11 5.68% 5.52% 1.85 89.68% 89.96% 0.09 4.57% 4.44% 0.00 0.07% 0.08%
2023-03-31 2.48 1.93 0.13 6.57% 5.08% 2.04 76.76% 81.99% 0.28 14.65% 11.36% 0.04 2.02% 1.57%
2023-03-30 2.48 1.93 0.13 6.57% 5.08% 2.04 76.76% 81.99% 0.28 14.65% 11.36% 0.04 2.02% 1.57%
2022-12-31 9.96 9.96 0.00 0.00% 0.00% 6.16 61.82% 61.84% 0.20 2.04% 2.04% 0.00 0.00% 0.00%