交银定期支付月月丰债券C

(519731)公募债券型
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(%)
2026-03-310.290.230.0417.32%13.94%0.1958.46%66.55%0.0623.90%19.25%0.000.32%0.26%
2025-12-310.210.210.0414.77%17.22%0.1781.80%79.46%0.002.24%2.17%0.001.19%1.15%
2025-09-300.760.640.1117.59%14.79%0.5363.32%69.15%0.1116.42%13.81%0.000.02%0.02%
2025-06-300.290.220.014.60%3.47%0.1849.34%61.81%0.0420.39%15.37%0.0625.67%19.35%
2025-03-310.120.120.003.14%3.14%0.1080.11%80.15%0.0216.73%16.70%0.000.02%0.01%
2024-12-310.120.120.018.79%8.95%0.1082.01%81.87%0.015.42%5.41%0.003.78%3.77%
2024-09-300.210.210.0210.19%10.62%0.1783.64%83.24%0.016.15%6.12%0.000.02%0.02%
2024-06-300.320.320.0513.96%14.27%0.2681.72%81.42%0.014.31%4.30%0.000.01%0.01%
2024-03-310.340.340.0411.28%11.96%0.2881.67%81.03%0.012.61%2.59%0.000.01%0.02%
2023-12-310.390.390.0511.52%11.92%0.3486.44%86.05%0.012.02%2.01%0.000.02%0.02%
2023-09-300.750.580.0712.74%9.87%0.4752.07%62.82%0.1730.01%23.28%0.000.02%0.02%
2023-06-300.820.680.1014.70%12.23%0.5561.06%67.58%0.1420.23%16.85%0.011.07%0.89%
2023-03-310.770.670.0812.53%11.01%0.5567.76%71.66%0.1014.51%12.75%0.000.01%0.02%
2022-12-310.740.650.0811.95%10.61%0.5369.04%72.50%0.0914.43%12.81%0.000.00%0.01%
2022-09-300.550.550.000.13%0.13%0.1527.27%27.21%0.010.99%0.99%0.3971.61%71.67%
2022-06-300.120.120.0213.13%13.71%0.1083.20%82.65%0.003.66%3.63%0.000.01%0.01%
2022-03-310.120.120.0211.49%12.07%0.1084.30%83.75%0.014.20%4.17%0.000.01%0.01%
2021-12-310.150.130.0213.96%12.60%0.1170.47%73.35%0.0110.54%9.51%0.002.06%1.86%
2021-09-300.130.130.0110.35%11.11%0.1182.67%81.97%0.015.52%5.47%0.001.46%1.45%
2021-06-300.150.150.0213.71%14.42%0.1281.58%80.91%0.013.86%3.83%0.000.85%0.84%
2021-03-310.280.220.0416.01%12.53%0.2274.49%80.03%0.012.92%2.29%0.016.58%5.15%
2020-12-310.270.250.0510.53%18.04%0.2183.07%76.09%0.013.68%3.37%0.012.72%2.50%
2020-09-300.290.290.012.35%2.33%0.2483.29%83.39%0.013.44%3.42%0.001.24%1.24%
2020-06-300.320.310.049.68%13.78%0.2582.14%78.42%0.026.95%6.63%0.001.23%1.17%
2020-03-310.370.320.014.39%3.86%0.2768.53%72.36%0.0515.87%13.94%0.011.95%1.71%
2019-12-310.350.330.039.09%8.49%0.3084.31%85.33%0.013.62%3.38%0.012.98%2.80%
2019-09-300.540.470.011.41%1.23%0.3967.82%71.89%0.012.28%1.99%0.0714.67%12.82%
2019-06-300.530.460.012.01%1.78%0.3869.20%72.80%0.0613.85%12.23%0.011.17%1.03%
2019-03-310.530.510.067.06%11.12%0.4283.93%80.26%0.036.18%5.91%0.012.83%2.71%
2018-12-310.510.500.000.00%0.00%0.4587.15%87.31%0.011.40%1.38%0.023.11%3.07%
2018-09-300.500.500.000.51%0.51%0.4182.29%82.39%0.011.46%1.45%0.012.66%2.64%
2018-06-300.540.530.035.15%5.04%0.4786.29%86.59%0.011.57%1.53%0.023.97%3.89%
2018-03-310.820.670.068.76%7.19%0.6777.14%81.23%0.046.35%5.22%0.057.75%6.36%
2017-12-310.760.750.067.35%8.38%0.6282.06%81.15%0.022.20%2.17%0.045.33%5.28%
2017-09-300.890.870.1311.73%14.08%0.7181.26%79.09%0.022.05%2.00%0.011.40%1.37%
2017-06-301.161.100.098.00%7.57%1.0589.45%90.02%0.010.62%0.58%0.021.93%1.83%
2017-03-311.311.290.138.87%9.93%1.0682.04%81.09%0.118.21%8.11%0.010.88%0.87%
2016-12-311.551.480.074.97%4.76%1.2579.72%80.56%0.127.77%7.45%0.010.82%0.79%
2016-09-301.161.090.2011.49%16.94%0.9183.71%78.55%0.043.45%3.24%0.011.35%1.27%
2016-06-300.730.460.0511.88%7.55%0.6071.96%82.18%0.0714.28%9.07%0.011.88%1.20%
2016-03-310.580.480.0612.90%10.61%0.4267.22%73.03%0.0918.28%15.04%0.011.60%1.32%
2015-12-310.880.520.0815.79%9.36%0.7168.62%81.40%0.0510.55%6.25%0.035.04%2.99%
2015-09-300.720.720.011.80%1.79%0.6792.56%92.58%0.033.64%3.63%0.012.00%2.00%
2015-06-300.900.620.0711.70%8.06%0.5136.97%56.55%0.3150.15%34.57%0.011.18%0.82%
2015-03-310.840.510.0510.46%6.38%0.6869.48%81.37%0.0916.93%10.33%0.023.13%1.92%
2014-12-311.260.990.077.11%5.56%0.9164.32%72.08%0.2525.25%19.76%0.033.32%2.60%
2014-09-300.930.630.0915.12%10.26%0.7979.25%85.92%0.011.63%1.11%0.034.00%2.71%
2014-06-301.801.150.032.60%1.66%1.6082.95%89.12%0.1311.51%7.34%0.032.94%1.88%
2014-03-311.641.380.021.73%1.46%1.5694.34%95.21%0.031.81%1.53%0.032.12%1.80%
2013-12-312.021.970.020.85%0.83%0.4319.61%21.32%1.4573.31%71.75%0.031.67%1.64%