基金全称 | 国联安信心增长债券型证券投资基金 | 基金公司 | 国联安基金管理有限公司 |
基金简称 | 国联安信心增长债券A | 成立日期 | 2012-02-22 |
基金代码 | 253060 | 总规模 | 6.29亿份 (2025-06-30) |
基金类型 | 债券型 | 总资产 | 7.60亿元 (2025-06-30) |
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(%) |
23国债20 | 019723 | 472,520 | 48,157,788.48 | 6.78 |
25国债01 | 019766 | 390,000 | 39,171,888.49 | 5.52 |
19农发08 | 190408 | 300,000 | 31,686,295.89 | 4.46 |
24交行债02BC | 212480058 | 300,000 | 30,589,167.12 | 4.31 |
25青岛财通MTN001 | 102582179 | 200,000 | 20,030,106.30 | 2.82 |
利群转债 | 113033 | 0 | 14,728,381.72 | 2.07 |
艾迪转债 | 113644 | 0 | 12,762,246.67 | 1.80 |
双良转债 | 110095 | 0 | 12,592,877.31 | 1.77 |
中环转2 | 123146 | 0 | 12,442,718.54 | 1.75 |
立昂转债 | 111010 | 0 | 11,414,066.24 | 1.61 |
东南转债 | 127103 | 0 | 11,264,219.70 | 1.59 |
盛虹转债 | 127030 | 0 | 10,591,402.96 | 1.49 |
漱玉转债 | 123172 | 0 | 10,515,752.43 | 1.48 |
万顺转2 | 123085 | 0 | 10,075,974.61 | 1.42 |
冠宇转债 | 118024 | 0 | 9,886,399.04 | 1.39 |
奕瑞转债 | 118025 | 0 | 9,782,003.90 | 1.38 |
绿茵转债 | 127034 | 0 | 9,705,403.12 | 1.37 |
宏柏转债 | 111019 | 0 | 9,540,589.10 | 1.34 |
希望转2 | 127049 | 0 | 9,481,613.41 | 1.34 |
长海转债 | 123091 | 0 | 9,508,229.26 | 1.34 |
万凯转债 | 123247 | 0 | 8,896,302.25 | 1.25 |
岱美转债 | 113673 | 0 | 8,063,533.15 | 1.14 |
永22转债 | 113653 | 0 | 8,089,264.25 | 1.14 |
柳药转债 | 113563 | 0 | 7,988,945.39 | 1.13 |
绿动转债 | 113054 | 0 | 7,672,396.10 | 1.08 |
顺博转债 | 127068 | 0 | 7,495,311.66 | 1.06 |
再22转债 | 113657 | 0 | 7,352,668.24 | 1.04 |
天能转债 | 123071 | 0 | 7,213,242.64 | 1.02 |
天业转债 | 110087 | 0 | 7,048,530.85 | 0.99 |
海亮转债 | 128081 | 0 | 6,544,241.75 | 0.92 |
首华转债 | 123128 | 0 | 6,001,727.18 | 0.85 |
芯能转债 | 113679 | 0 | 5,642,926.68 | 0.79 |
风语转债 | 113643 | 0 | 5,363,406.00 | 0.76 |
精工转债 | 110086 | 0 | 5,427,246.71 | 0.76 |
韦尔转债 | 113616 | 0 | 5,271,794.11 | 0.74 |
恒逸转债 | 127022 | 0 | 5,187,542.74 | 0.73 |
蓝帆转债 | 128108 | 0 | 4,801,970.18 | 0.68 |
兴发转债 | 110089 | 0 | 4,383,858.61 | 0.62 |
旗滨转债 | 113047 | 0 | 3,988,378.53 | 0.56 |
温氏转债 | 123107 | 0 | 3,894,875.88 | 0.55 |
浦发转债 | 110059 | 0 | 3,893,143.98 | 0.55 |
金田转债 | 113046 | 0 | 3,389,108.28 | 0.48 |
国投转债 | 110073 | 0 | 3,367,897.12 | 0.47 |
科顺转债 | 123216 | 0 | 3,367,282.19 | 0.47 |
永东转2 | 127059 | 0 | 3,180,976.42 | 0.45 |
科利转债 | 127066 | 0 | 3,177,356.58 | 0.45 |
升24转债 | 113685 | 0 | 3,115,122.60 | 0.44 |
建工转债 | 110064 | 0 | 2,984,335.23 | 0.42 |
隆22转债 | 113053 | 0 | 2,900,569.32 | 0.41 |
和邦转债 | 113691 | 0 | 2,706,293.84 | 0.38 |
苏利转债 | 113640 | 0 | 2,496,548.86 | 0.35 |
恒逸转2 | 127067 | 0 | 2,377,154.25 | 0.33 |
山路转债 | 127083 | 0 | 2,275,403.84 | 0.32 |
凯盛转债 | 123233 | 0 | 2,187,869.68 | 0.31 |
合兴转债 | 128071 | 0 | 2,000,221.23 | 0.28 |
恒邦转债 | 127086 | 0 | 1,901,474.79 | 0.27 |
中金转债 | 127020 | 0 | 1,847,063.01 | 0.26 |
爱迪转债 | 110090 | 0 | 1,871,338.36 | 0.26 |
天赐转债 | 127073 | 0 | 1,771,421.30 | 0.25 |
浙建转债 | 127102 | 0 | 1,771,422.33 | 0.25 |
天奈转债 | 118005 | 0 | 1,737,143.84 | 0.24 |
冀东转债 | 127025 | 0 | 1,647,975.74 | 0.23 |
立讯转债 | 128136 | 0 | 1,515,369.04 | 0.21 |
鲁泰转债 | 127016 | 0 | 1,477,500.28 | 0.21 |
通裕转债 | 123149 | 0 | 1,245,161.64 | 0.18 |
佩蒂转债 | 123133 | 0 | 1,249,879.45 | 0.18 |
华友转债 | 113641 | 0 | 1,259,075.34 | 0.18 |
大参转债 | 113605 | 0 | 1,219,841.92 | 0.17 |
鸿路转债 | 128134 | 0 | 1,142,254.79 | 0.16 |
长汽转债 | 113049 | 0 | 1,114,190.41 | 0.16 |
健帆转债 | 123117 | 0 | 1,142,215.62 | 0.16 |
希望转债 | 127015 | 0 | 980,141.92 | 0.14 |
立高转债 | 123179 | 0 | 884,936.49 | 0.12 |
宏发转债 | 110082 | 0 | 818,740.01 | 0.12 |
正海转债 | 123169 | 0 | 653,996.58 | 0.09 |
山玻转债 | 111001 | 0 | 634,586.88 | 0.09 |
宙邦转债 | 123158 | 0 | 609,496.58 | 0.09 |
大禹转债 | 123063 | 0 | 670,010.27 | 0.09 |
财通转债 | 113043 | 0 | 619,249.32 | 0.09 |
洽洽转债 | 128135 | 0 | 581,360.41 | 0.08 |
闻泰转债 | 110081 | 0 | 558,306.16 | 0.08 |
环旭转债 | 113045 | 0 | 589,697.40 | 0.08 |
晶能转债 | 118034 | 0 | 518,373.42 | 0.07 |
家悦转债 | 113584 | 0 | 69,074.38 | 0.01 |
名称 | 费率 |
基金管理费 | 0.35% |
基金托管费 | 0.10% |
销售服务费 | -- |
条件 | 认购费率 |
条件 | 申购费率 |
0.00万元 < 申购金额 < 100.00万元 | 0.60% |
100.00万元 ≤ 申购金额 < 300.00万元 | 0.40% |
300.00万元 ≤ 申购金额 < 500.00万元 | 0.20% |
申购金额 ≥ 500.00万元 | 1000.00元/笔 |
条件 | 赎回费率 |
7天 ≤ 持有期限 < 90天 | 0.03% |
持有期限 ≥ 3月 | 0.00% |
0天 < 持有期限 < 7天 | 1.50% |
年份 | 权益登记日 | 除息日 | 每份分红(元) | 分红发放日 |
2023 | 2024-01-05 | 2024-01-05 | 0.0298 | 2024-01-08 |
2022 | 2023-01-12 | 2023-01-12 | 0.0267 | 2023-01-13 |
2021 | 2022-01-20 | 2022-01-20 | 0.0683 | 2022-01-21 |
2020 | 2021-01-19 | 2021-01-19 | 0.0417 | 2021-01-20 |
2016 | 2017-01-19 | 2017-01-19 | 0.0250 | 2017-01-20 |
2015 | 2016-01-21 | 2016-01-21 | 0.0820 | 2016-01-22 |
2014 | 2015-01-22 | 2015-01-22 | 0.0200 | 2015-01-23 |
2013 | 2014-01-10 | 2014-01-10 | 0.0320 | 2014-01-13 |
2012 | 2012-05-22 | 2012-05-22 | 0.0130 | 2012-05-23 |
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 |