国泰君安君得盛债券型证券投资基金

(952024)公募债券型
1.2746 0.39%+0.0067
单位净值 [2026-06-18]
1.6296
累计净值 [2026-06-18]
1.7327 -0.10%
净值估算 [2026-06-18 14:59]
  • 最近一月:1.17%
  • 最近一季:4.86%
  • 最近半年:5.90%
  • 今年以来:5.26%
  • 最近一年:7.45%
  • 最近两年:11.70%
  • 最近三年:7.80%
  • 成立以来:74.12%
  • 成立日期:2019-09-25
  • 基金经理:朱晨曦,朱莹
  • 产品类型:契约型开放式
  • 最新份额:8.47亿
  • 申购状态:可以申购
  • 最新规模:15.73亿元
  • 投资风格:---
  • 管理公司:上海国泰海通证券资产
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(%)
2026-03-3115.7312.315.0012.83%31.79%10.3484.00%65.72%0.372.99%2.34%0.020.18%0.15%
2025-12-310.520.470.098.47%17.55%0.4290.77%81.77%0.000.75%0.67%0.000.01%0.01%
2025-06-300.500.500.0815.76%15.96%0.4182.42%82.22%0.011.81%1.80%0.000.01%0.02%
2024-12-310.620.520.0815.24%12.75%0.5281.53%84.55%0.022.98%2.49%0.000.25%0.21%
2024-06-300.710.560.0814.38%11.49%0.6284.11%87.30%0.011.50%1.20%0.000.01%0.01%
2023-12-310.940.720.1216.59%12.67%0.8080.59%85.18%0.022.76%2.11%0.000.06%0.04%
2023-06-301.070.850.1518.18%14.40%0.8877.55%82.22%0.044.25%3.37%0.000.02%0.01%
2022-12-311.471.250.2419.40%16.55%1.1272.21%76.29%0.107.90%6.74%0.010.49%0.42%
2022-06-301.811.540.2918.96%16.07%1.4174.00%77.96%0.106.29%5.34%0.010.75%0.63%
2021-12-312.181.800.3318.57%15.39%1.6972.79%77.46%0.116.11%5.06%0.052.53%2.09%
2021-06-301.721.400.2517.85%14.52%1.3875.88%80.38%0.053.31%2.69%0.042.96%2.41%
2020-12-313.712.860.5017.53%13.52%3.0275.71%81.27%0.093.30%2.54%0.103.46%2.67%
2020-06-3011.119.530.869.03%7.74%9.1579.43%82.36%0.394.07%3.49%0.151.59%1.37%
2019-12-3117.2117.021.336.70%7.75%15.4290.61%89.59%0.070.42%0.42%0.392.27%2.24%