| 基金全称 | 银华信用季季红债券型证券投资基金 | 基金公司 | 银华基金管理股份有限公司 |
| 基金简称 | 银华信用季季红债券C | 成立日期 | 2013-09-18 |
| 基金代码 | 010986 | 总规模 | 41.44亿份 (2025-09-30) |
| 基金类型 | 债券型 | 总资产 | 50.53亿元 (2025-09-30) |
| 资产分布 | 占总资产比例(%) |
| 股票 | 0 |
| 债券 | 0 |
| 现金 | 0 |
| 其他 | 0 |
| 债券名称 | 债券代码 | 数量(张) | 公允价值(元) | 占净资产比例(%) |
| 25农发21 | 250421 | 1,900,000 | 190,763,279.45 | 4.40 |
| 25农发20 | 250420 | 1,700,000 | 167,752,367.12 | 3.87 |
| 24招商局MTN003 | 102485437 | 1,000,000 | 101,269,490.41 | 2.34 |
| 24通城03 | 241700 | 1,000,000 | 100,479,112.33 | 2.32 |
| 25投控01 | 242742 | 1,000,000 | 100,098,838.36 | 2.31 |
| 上银转债 | 113042 | 0 | 29,744,967.21 | 0.69 |
| 兴业转债 | 113052 | 0 | 19,728,626.25 | 0.46 |
| 晶能转债 | 118034 | 0 | 9,975,232.05 | 0.23 |
| 希望转2 | 127049 | 0 | 9,193,263.59 | 0.21 |
| 华安转债 | 110067 | 0 | 6,983,909.42 | 0.16 |
| 升24转债 | 113685 | 0 | 6,839,320.51 | 0.16 |
| 洋丰转债 | 127031 | 0 | 6,976,109.86 | 0.16 |
| 闻泰转债 | 110081 | 0 | 6,639,196.58 | 0.15 |
| 国投转债 | 110073 | 0 | 5,900,403.36 | 0.14 |
| 乐普转2 | 123108 | 0 | 5,964,414.61 | 0.14 |
| 财通转债 | 113043 | 0 | 5,696,126.29 | 0.13 |
| 节能转债 | 113051 | 0 | 4,882,798.72 | 0.11 |
| 中特转债 | 127056 | 0 | 4,776,424.59 | 0.11 |
| 重银转债 | 113056 | 0 | 4,871,015.89 | 0.11 |
| 牧原转债 | 127045 | 0 | 4,777,099.05 | 0.11 |
| 燃23转债 | 113067 | 0 | 4,942,629.04 | 0.11 |
| 旺能转债 | 128141 | 0 | 4,328,258.49 | 0.10 |
| 常银转债 | 113062 | 0 | 4,494,884.99 | 0.10 |
| 晶澳转债 | 127089 | 0 | 4,115,861.88 | 0.10 |
| 柳工转2 | 127084 | 0 | 3,864,400.34 | 0.09 |
| 韦尔转债 | 113616 | 0 | 3,944,484.66 | 0.09 |
| 金田转债 | 113046 | 0 | 3,418,123.40 | 0.08 |
| 苏利转债 | 113640 | 0 | 3,304,407.53 | 0.08 |
| 道通转债 | 118013 | 0 | 2,557,328.37 | 0.06 |
| 湘佳转债 | 127060 | 0 | 2,058,917.92 | 0.05 |
| 蓝晓转02 | 123195 | 0 | 1,983,999.53 | 0.05 |
| 友发转债 | 113058 | 0 | 1,975,853.16 | 0.05 |
| 密卫转债 | 113658 | 0 | 2,150,857.69 | 0.05 |
| 天23转债 | 118031 | 0 | 1,900,666.61 | 0.04 |
| 岱美转债 | 113673 | 0 | 1,892,572.93 | 0.04 |
| 楚天转债 | 123240 | 0 | 1,756,897.54 | 0.04 |
| 弘亚转债 | 127041 | 0 | 1,763,285.77 | 0.04 |
| 绿动转债 | 113054 | 0 | 1,710,931.56 | 0.04 |
| 佳禾转债 | 123237 | 0 | 1,556,967.12 | 0.04 |
| 渝水转债 | 113070 | 0 | 1,390,846.95 | 0.03 |
| 信服转债 | 123210 | 0 | 1,389,210.13 | 0.03 |
| 奥锐转债 | 111021 | 0 | 1,264,087.40 | 0.03 |
| 奕瑞转债 | 118025 | 0 | 1,359,296.71 | 0.03 |
| 鹤21转债 | 113632 | 0 | 1,380,454.79 | 0.03 |
| 健友转债 | 113579 | 0 | 1,108,257.53 | 0.03 |
| 美诺转债 | 113618 | 0 | 922,472.85 | 0.02 |
| 韵达转债 | 127085 | 0 | 634,503.14 | 0.01 |
| 名称 | 费率 |
| 基金管理费 | 0.36% |
| 基金托管费 | 0.10% |
| 销售服务费 | 0.10% |
| 条件 | 认购费率 |
| 条件 | 申购费率 |
| -- | 0.00% |
| 条件 | 赎回费率 |
| 0天 < 持有期限 < 7天 | 1.50% |
| 持有期限 ≥ 7天 | 0.00% |
| 年份 | 权益登记日 | 除息日 | 每份分红(元) | 分红发放日 |
| 2025 | 2025-10-22 | 2025-10-22 | 0.0080 | 2025-10-23 |
| 2025 | 2025-07-14 | 2025-07-14 | 0.0060 | 2025-07-15 |
| 2025 | 2025-04-14 | 2025-04-14 | 0.0060 | 2025-04-15 |
| 2024 | 2025-01-13 | 2025-01-13 | 0.0085 | 2025-01-14 |
| 2024 | 2024-11-11 | 2024-11-11 | 0.0070 | 2024-11-12 |
| 2024 | 2024-08-14 | 2024-08-14 | 0.0063 | 2024-08-15 |
| 2024 | 2024-04-29 | 2024-04-29 | 0.0060 | 2024-04-30 |
| 2024 | 2024-01-31 | 2024-01-31 | 0.0060 | 2024-02-01 |
| 2023 | 2023-10-23 | 2023-10-23 | 0.0070 | 2023-10-24 |
| 2023 | 2023-07-13 | 2023-07-13 | 0.0050 | 2023-07-14 |
| 拆分日期 | 拆分比例 | 拆分类型 | 拆分前单位净值 | 拆分后单位净值 |
| 暂无拆分信息 | ||||