融通稳信增益6个月持有期混合C012525
混合型基金R3 中风险
1.2618
单位净值
3.03%
日涨跌幅(2025-09-05)
1.2618
累计净值
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资产配置数据截止日期:2024-03-31
项目金额(元)占基金总资产的比例(%)
股票3,382,129.484.51
银行存款497,398.170.66
买入返售证券1,700,000.002.27
债券69,441,139.2692.54
其它资产17,916.100.02
合计75,038,583.01100.00
行业投资数据截止日期:2024-03-31
行业分类名称行业分类代码行业市值(元)占基金资产净值比例(%)
电力、热力、燃气及水生产和供应业D1,440,584.002.00
制造业C1,105,663.481.54
交通运输、仓储和邮政业G441,908.000.61
采矿业B393,974.000.55
股票持仓数据截止日期:2024-03-31
股票代码股票名称数量(股)公允价值(元)占基金资产净值比例(%)
600900.SH长江电力37,500934,875.001.30
688009.SH中国通号77,596436,865.480.61
600795.SH国电电力71,300360,065.000.50
601766.SH中国中车43,000293,260.000.41
601857.SH中国石油23,900236,132.000.33
600150.SH中国船舶6,200229,400.000.32
601006.SH大秦铁路30,300223,008.000.31
601872.SH招商轮船27,500218,900.000.30
600938.SH中国海油5,400157,842.000.22
000157.SZ中联重科17,800146,138.000.20
债券持仓数据截止日期:2024-03-31
债券代码债券名称数量(张)公允价值(元)占基金资产净值比例(%)
200212.IB20国开12200,00020,820,185.7928.97
210408.IB21农发08100,00010,387,163.9314.45
230407.IB23农发07100,00010,344,855.1914.40
112310204.IB23兴业银行CD204100,0009,946,800.2213.84
019723.SH23国债2070,0007,115,041.649.90