| 基金全称 | 易方达裕祥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 | 易方达裕祥回报债券C | 成立日期 | 2016-01-22 |
| 基金代码 | 017420 | 总规模 | 201.80亿份 (2025-09-30) |
| 基金类型 | 债券型 | 总资产 | 330.74亿元 (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13 | 250413 | 9,000,000 | 903,475,726.03 | 2.78 |
| 25农发21 | 250421 | 7,700,000 | 773,093,290.41 | 2.38 |
| 24工行二级资本债01A(BC) | 232480061 | 6,700,000 | 672,430,356.16 | 2.07 |
| 25农发03 | 250403 | 6,500,000 | 650,946,328.77 | 2.00 |
| 25国开清发02 | 09250202 | 6,500,000 | 652,094,780.82 | 2.00 |
| 兴业转债 | 113052 | 0 | 390,511,495.47 | 1.20 |
| 晶澳转债 | 127089 | 0 | 135,830,025.67 | 0.42 |
| 上银转债 | 113042 | 0 | 127,145,562.95 | 0.39 |
| 希望转2 | 127049 | 0 | 118,120,611.58 | 0.36 |
| 闻泰转债 | 110081 | 0 | 112,394,507.62 | 0.35 |
| 天23转债 | 118031 | 0 | 93,703,874.78 | 0.29 |
| 和邦转债 | 113691 | 0 | 88,862,752.86 | 0.27 |
| 22沪杭优 | 112450 | 900,000 | 80,390,731.22 | 0.25 |
| 山路转债 | 127083 | 0 | 59,764,749.23 | 0.18 |
| 美锦转债 | 127061 | 0 | 53,942,900.53 | 0.17 |
| 绿动转债 | 113054 | 0 | 49,043,162.47 | 0.15 |
| 晶能转债 | 118034 | 0 | 36,198,356.79 | 0.11 |
| 嘉元转债 | 118000 | 0 | 37,004,308.34 | 0.11 |
| 天业转债 | 110087 | 0 | 33,248,902.38 | 0.10 |
| 艾迪转债 | 113644 | 0 | 25,928,549.44 | 0.08 |
| 精工转债 | 110086 | 0 | 21,521,884.79 | 0.07 |
| 华阳转债 | 128125 | 0 | 18,705,914.61 | 0.06 |
| 22葛洲优 | 180204 | 200,000 | 20,066,634.74 | 0.06 |
| 鲁泰转债 | 127016 | 0 | 19,255,168.65 | 0.06 |
| 顺博转债 | 127068 | 0 | 19,093,450.56 | 0.06 |
| 科顺转债 | 123216 | 0 | 19,691,438.15 | 0.06 |
| 神马转债 | 110093 | 0 | 15,123,108.04 | 0.05 |
| 重银转债 | 113056 | 0 | 15,709,026.25 | 0.05 |
| 友发转债 | 113058 | 0 | 15,837,985.67 | 0.05 |
| 双良转债 | 110095 | 0 | 17,616,970.53 | 0.05 |
| 浙矿转债 | 123180 | 0 | 17,476,259.80 | 0.05 |
| 常银转债 | 113062 | 0 | 16,347,499.33 | 0.05 |
| 温氏转债 | 123107 | 0 | 15,761,999.61 | 0.05 |
| 禾丰转债 | 113647 | 0 | 15,066,953.83 | 0.05 |
| 洪城转债 | 110077 | 0 | 14,491,443.65 | 0.04 |
| 蒙娜转债 | 127044 | 0 | 11,834,335.97 | 0.04 |
| 洁特转债 | 118010 | 0 | 12,123,624.07 | 0.04 |
| 大中转债 | 127070 | 0 | 9,257,611.24 | 0.03 |
| 锂科转债 | 118022 | 0 | 8,376,153.29 | 0.03 |
| 康医转债 | 123151 | 0 | 9,966,468.36 | 0.03 |
| 永22转债 | 113653 | 0 | 11,379,408.23 | 0.03 |
| 侨银转债 | 128138 | 0 | 8,563,271.51 | 0.03 |
| 裕兴转债 | 123144 | 0 | 10,803,284.75 | 0.03 |
| 旺能转债 | 128141 | 0 | 9,254,298.60 | 0.03 |
| 九强转债 | 123150 | 0 | 5,029,539.69 | 0.02 |
| 欧22转债 | 113655 | 0 | 7,142,918.38 | 0.02 |
| 本钢转债 | 127018 | 0 | 3,881,875.40 | 0.01 |
| 家联转债 | 123236 | 0 | 1,987,728.15 | 0.01 |
| 百畅转债 | 123175 | 0 | 2,160,147.46 | 0.01 |
| 海顺转债 | 123183 | 0 | 2,337,688.36 | 0.01 |
| 金23转债 | 113670 | 0 | 1,972,205.42 | 0.01 |
| 回天转债 | 123165 | 0 | 4,339,546.29 | 0.01 |
| 巨星转债 | 113648 | 0 | 1,996,870.29 | 0.01 |
| 宏图转债 | 118027 | 0 | 2,035,019.79 | 0.01 |
| 皖天转债 | 113631 | 0 | 3,731,197.59 | 0.01 |
| 龙大转债 | 128119 | 0 | 1,845,648.71 | 0.01 |
| 鸿路转债 | 128134 | 0 | 4,757,658.60 | 0.01 |
| 广联转债 | 123182 | 0 | 3,746,669.98 | 0.01 |
| 明新转债 | 111004 | 0 | 1,844,993.71 | 0.01 |
| 湘佳转债 | 127060 | 0 | 4,062,853.37 | 0.01 |
| 垒知转债 | 127062 | 0 | 4,752,545.93 | 0.01 |
| 冠宇转债 | 118024 | 0 | 2,022,640.97 | 0.01 |
| 盛泰转债 | 111009 | 0 | 3,651,427.97 | 0.01 |
| 奥维转债 | 118042 | 0 | 3,493,428.28 | 0.01 |
| 博22转债 | 113650 | 0 | 190,676.72 | 0.00 |
| 泰瑞转债 | 113686 | 0 | 988,548.28 | 0.00 |
| 大参转债 | 113605 | 0 | 937,426.72 | 0.00 |
| 宙邦转债 | 123158 | 0 | 341,307.88 | 0.00 |
| 亿纬转债 | 123254 | 0 | 1,226,124.96 | 0.00 |
| 卫宁转债 | 123104 | 0 | 31,161.27 | 0.00 |
| 起帆转债 | 111000 | 0 | 1,046,449.62 | 0.00 |
| 九典转02 | 123223 | 0 | 367,158.18 | 0.00 |
| 宏柏转债 | 111019 | 0 | 85,869.17 | 0.00 |
| 嘉益转债 | 123250 | 0 | 1,393,802.50 | 0.00 |
| 再22转债 | 113657 | 0 | 1,444,363.21 | 0.00 |
| 东亚转债 | 111015 | 0 | 325,723.78 | 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 |
| 2025 | 2025-01-16 | 2025-01-16 | 0.0400 | 2025-01-17 |
| 2024 | 2024-11-21 | 2024-11-21 | 0.0460 | 2024-11-22 |
| 2024 | 2024-07-15 | 2024-07-15 | 0.0460 | 2024-07-16 |
| 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 | ||||