(资料图片)
7月3日,太平丰润一年定开债发起式最新单位净值为0.9592元,累计净值为0.9592元,较前一交易日上涨0.23%。历史数据显示该基金近1个月上涨0.66%,近3个月下跌0.26%,近6个月下跌0.49%,近1年下跌3.67%。该基金近6个月的累计收益率走势如下图:
太平丰润一年定开债发起式为债券型-混合债基金,根据最新一期基金季报显示,该基金资产配置:股票占净值比19.92%,债券占净值比119.32%,现金占净值比0.73%。基金十大重仓股如下:
该基金的基金经理为甘源,甘源于2021年11月18日起任职本基金基金经理,任职期间累计回报-4.3%。期间重仓股调仓次数共有22次,其中盈利次数为10次,胜率为45.45%。(重仓股调仓收益率按重仓股调入调出当季的季度均价估算而来)
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