基金全称 | 易方达裕丰回报债券型证券投资基金 | 基金公司 | 易方达基金管理有限公司 |
基金简称 | 易方达裕丰回报债券C | 成立日期 | 2013-08-23 |
基金代码 | 016479 | 总规模 | 97.93亿份 (2024-12-31) |
基金类型 | 债券型 | 总资产 | 237.43亿元 (2024-12-31) |
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(%) |
24附息国债17 | 240017 | 14,300,000 | 1,497,204,948.37 | 8.37 |
24国开15 | 240215 | 14,000,000 | 1,479,069,698.63 | 8.27 |
21工商银行二级02 | 2128051 | 9,500,000 | 983,531,824.66 | 5.50 |
24国开05 | 240205 | 8,000,000 | 878,397,595.63 | 4.91 |
21交通银行二级 | 2128030 | 7,350,000 | 766,369,800.00 | 4.29 |
闻泰转债 | 110081 | 0 | 167,690,915.39 | 0.94 |
晶澳转债 | 127089 | 0 | 160,623,620.79 | 0.90 |
华友转债 | 113641 | 0 | 158,682,826.22 | 0.89 |
晶能转债 | 118034 | 0 | 92,836,805.16 | 0.52 |
G黄河优 | 260418 | 800,000 | 82,595,139.75 | 0.46 |
杭银转债 | 110079 | 0 | 77,458,579.58 | 0.43 |
博23转债 | 113069 | 0 | 69,326,094.09 | 0.39 |
22和闽优 | 112561 | 600,000 | 59,441,683.04 | 0.33 |
升24转债 | 113685 | 0 | 42,723,784.54 | 0.24 |
22吉电优 | 135755 | 400,000 | 42,020,278.68 | 0.24 |
国投转债 | 110073 | 0 | 40,783,003.51 | 0.23 |
南银转债 | 113050 | 0 | 38,837,488.11 | 0.22 |
双良转债 | 110095 | 0 | 33,607,009.10 | 0.19 |
23华兴优 | 199204 | 400,000 | 33,973,928.52 | 0.19 |
麒麟转债 | 127050 | 0 | 34,702,046.91 | 0.19 |
长汽转债 | 113049 | 0 | 32,557,803.23 | 0.18 |
信服转债 | 123210 | 0 | 31,495,801.14 | 0.18 |
重银转债 | 113056 | 0 | 29,866,916.70 | 0.17 |
G23XH优 | 199694 | 300,000 | 30,983,479.12 | 0.17 |
道氏转02 | 123190 | 0 | 27,913,986.41 | 0.16 |
财通转债 | 113043 | 0 | 28,099,878.86 | 0.16 |
翔丰转债 | 123225 | 0 | 25,965,901.54 | 0.15 |
永和转债 | 111007 | 0 | 24,797,649.06 | 0.14 |
康泰转2 | 123119 | 0 | 25,778,815.09 | 0.14 |
春23转债 | 113667 | 0 | 23,290,349.05 | 0.13 |
楚天转债 | 123240 | 0 | 23,140,874.11 | 0.13 |
G重庆优 | 112592 | 200,000 | 21,145,761.10 | 0.12 |
力诺转债 | 123221 | 0 | 19,465,964.43 | 0.11 |
百洋转债 | 123194 | 0 | 19,661,270.31 | 0.11 |
金23转债 | 113670 | 0 | 19,648,108.60 | 0.11 |
22葛洲优 | 180204 | 200,000 | 20,316,490.55 | 0.11 |
科数转债 | 127091 | 0 | 19,701,718.38 | 0.11 |
G中交泰A | 112887 | 200,000 | 18,899,556.98 | 0.11 |
23中公1A | 199670 | 200,000 | 20,472,876.71 | 0.11 |
22LJZ优 | 183386 | 200,000 | 19,506,912.15 | 0.11 |
永02转债 | 113654 | 0 | 18,602,361.13 | 0.10 |
精锻转债 | 123174 | 0 | 17,178,219.80 | 0.10 |
烽火转债 | 110062 | 0 | 18,413,448.16 | 0.10 |
盛虹转债 | 127030 | 0 | 18,320,605.92 | 0.10 |
华康转债 | 111018 | 0 | 16,012,963.44 | 0.09 |
金丹转债 | 123204 | 0 | 15,493,181.78 | 0.09 |
福立转债 | 118043 | 0 | 16,139,974.86 | 0.09 |
豪鹏转债 | 127101 | 0 | 16,458,952.45 | 0.09 |
利群转债 | 113033 | 0 | 14,264,619.76 | 0.08 |
龙大转债 | 128119 | 0 | 15,001,151.09 | 0.08 |
睿创转债 | 118030 | 0 | 13,549,356.45 | 0.08 |
浙建转债 | 127102 | 0 | 13,492,330.21 | 0.08 |
药石转债 | 123145 | 0 | 13,064,519.16 | 0.07 |
国泰转债 | 127040 | 0 | 11,695,358.36 | 0.07 |
广泰转债 | 127095 | 0 | 12,124,621.44 | 0.07 |
上声转债 | 118037 | 0 | 12,121,847.14 | 0.07 |
家悦转债 | 113584 | 0 | 11,602,386.76 | 0.06 |
贵燃转债 | 110084 | 0 | 10,779,686.58 | 0.06 |
友发转债 | 113058 | 0 | 10,622,880.59 | 0.06 |
柳工转2 | 127084 | 0 | 9,910,655.96 | 0.06 |
东南转债 | 127103 | 0 | 10,888,251.44 | 0.06 |
中旗转债 | 127081 | 0 | 9,733,574.37 | 0.05 |
牧原转债 | 127045 | 0 | 9,661,917.73 | 0.05 |
奥飞转债 | 123131 | 0 | 9,637,709.58 | 0.05 |
利民转债 | 128144 | 0 | 7,067,815.41 | 0.04 |
佳禾转债 | 123237 | 0 | 7,103,362.23 | 0.04 |
微芯转债 | 118012 | 0 | 7,141,744.73 | 0.04 |
大丰转债 | 113530 | 0 | 7,048,597.28 | 0.04 |
蓝帆转债 | 128108 | 0 | 7,739,231.08 | 0.04 |
凯盛转债 | 123233 | 0 | 7,603,685.81 | 0.04 |
佩蒂转债 | 123133 | 0 | 7,217,383.21 | 0.04 |
广联转债 | 123182 | 0 | 6,033,525.21 | 0.03 |
道通转债 | 118013 | 0 | 5,330,713.28 | 0.03 |
白电转债 | 113549 | 0 | 5,810,279.82 | 0.03 |
密卫转债 | 113658 | 0 | 5,666,748.39 | 0.03 |
冠盛转债 | 111011 | 0 | 4,909,626.92 | 0.03 |
润禾转债 | 123152 | 0 | 5,160,161.99 | 0.03 |
山玻转债 | 111001 | 0 | 5,115,498.25 | 0.03 |
强联转债 | 123161 | 0 | 4,997,838.25 | 0.03 |
中信转债 | 113021 | 0 | 4,295,001.66 | 0.02 |
神码转债 | 127100 | 0 | 3,469,090.57 | 0.02 |
常银转债 | 113062 | 0 | 537,849.19 | 0.00 |
名称 | 费率 |
基金管理费 | 0.40% |
基金托管费 | 0.10% |
销售服务费 | 0.40% |
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% |
7天 ≤ 持有期限 < 30天 | 0.50% |
持有期限 ≥ 30天 | 0.00% |
年份 | 权益登记日 | 除息日 | 每份分红(元) | 分红发放日 |
暂无分红信息 |
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 |