华夏稳定双利债券A

(004547)公募债券型
1.0533 0.08%+0.0011
单位净值 [2026-04-22]
1.3481
累计净值 [2026-04-22]
1.0541 0.08%
净值估算 [---]
  • 最近一月:0.81%
  • 最近一季:0.49%
  • 最近半年:1.63%
  • 今年以来:1.56%
  • 最近一年:2.66%
  • 最近两年:3.97%
  • 最近三年:9.99%
  • 成立以来:33.98%
  • 成立日期:2017-04-14
  • 基金经理:张海静
  • 产品类型:契约型开放式
  • 最新份额:1.92亿
  • 申购状态:不可申购
  • 最新规模:5.92亿元
  • 投资风格:收益型
  • 管理公司:华夏基金
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(%)
2025-12-315.924.730.000.03%0.02%5.8097.49%98.00%0.102.04%1.63%0.020.44%0.35%
2025-06-3010.358.720.141.65%1.39%9.4189.25%90.94%0.799.07%7.64%0.000.03%0.03%
2024-12-3124.4523.440.160.69%0.66%23.7296.89%97.02%0.552.37%2.27%0.010.05%0.05%
2024-06-3032.5929.470.000.00%0.00%32.0798.23%98.40%0.321.10%0.99%0.200.67%0.61%
2023-12-313.852.780.000.00%0.00%3.8098.28%98.75%0.041.44%1.04%0.010.28%0.21%
2023-06-303.303.020.000.00%0.00%3.1896.27%96.58%0.020.52%0.48%0.103.21%2.94%
2022-12-312.792.760.000.00%0.00%2.4988.96%89.09%0.124.51%4.46%0.000.01%0.00%
2022-06-303.602.960.000.00%0.00%3.5397.45%97.90%0.072.34%1.92%0.010.21%0.18%
2021-12-314.063.220.000.00%0.00%3.7991.63%93.35%0.185.59%4.44%0.092.78%2.21%
2021-06-303.233.200.000.00%0.00%2.9992.48%92.55%0.185.52%5.47%0.062.00%1.98%
2020-12-314.353.690.000.00%0.00%4.1995.60%96.27%0.092.41%2.04%0.071.99%1.69%
2020-06-304.033.420.000.00%0.00%3.8394.20%95.08%0.082.30%1.95%0.123.50%2.97%
2019-12-314.613.590.000.00%0.00%4.4495.18%96.24%0.092.64%2.06%0.082.18%1.70%
2019-06-304.533.840.000.00%0.00%4.3896.15%96.74%0.030.89%0.76%0.112.96%2.50%
2018-12-315.294.110.000.00%0.00%5.1396.11%96.97%0.041.08%0.84%0.122.81%2.19%
2018-06-304.844.420.000.00%0.00%4.6896.54%96.83%0.051.06%0.97%0.112.40%2.20%
2017-12-318.888.470.010.15%0.14%7.8487.78%88.33%0.070.85%0.81%0.151.78%1.71%
2017-06-3011.599.850.353.59%3.05%10.7591.50%92.78%0.080.85%0.72%0.404.06%3.45%