国泰君安君得盈债券C

(952320)公募债券型
1.0789 0.37%+0.0041
单位净值 [2026-06-12]
1.1089
累计净值 [2026-06-12]
1.1077 +0.30%
净值估算 [2026-06-12 15:00]
  • 最近一月:-1.79%
  • 最近一季:1.83%
  • 最近半年:6.38%
  • 今年以来:5.66%
  • 最近一年:10.94%
  • 最近两年:12.35%
  • 最近三年:10.37%
  • 成立以来:10.65%
  • 成立日期:2021-01-28
  • 基金经理:刘晟,朱莹
  • 产品类型:契约型开放式
  • 最新份额:0.50亿
  • 申购状态:不可申购
  • 最新规模:30.54亿元
  • 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(%)
2026-03-3130.5423.919.6412.59%31.56%20.2584.68%66.30%0.602.51%1.97%0.050.22%0.17%
2025-12-3127.0920.738.7711.60%32.35%17.1382.67%63.26%1.195.72%4.38%0.000.01%0.01%
2025-06-300.890.800.157.67%17.18%0.6885.31%76.52%0.066.99%6.27%0.000.03%0.03%
2024-12-311.080.900.1719.37%16.10%0.8877.00%80.88%0.033.15%2.62%0.000.48%0.40%
2024-06-301.461.150.1916.23%12.76%1.2682.40%86.16%0.021.35%1.06%0.000.02%0.02%
2023-12-311.711.370.2316.82%13.52%1.4379.68%83.66%0.053.49%2.81%0.000.01%0.01%
2023-06-301.601.310.2317.87%14.71%1.3581.52%84.79%0.010.60%0.49%0.000.01%0.01%
2022-12-312.401.940.2713.87%11.19%2.0883.32%86.55%0.041.88%1.51%0.020.93%0.75%
2022-06-303.292.730.5018.24%15.16%2.6275.56%79.68%0.155.56%4.62%0.020.64%0.54%
2021-12-315.304.470.7717.18%14.48%4.3277.91%81.38%0.122.72%2.30%0.102.19%1.84%
2021-06-306.264.940.7314.86%11.73%5.1677.76%82.44%0.285.60%4.42%0.091.78%1.41%