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　　10月，中美元首会面、央行重启国债买卖，债券市场走出结构性修复行情；10年国债新券在1.75-1.85%区间内波动，10年国开、30年国债下行幅度相对较大，信用利差压缩、曲线走平。11月，央行买债规模弱于预期；制造业PMI荣枯线下小幅回升、非制造业有所承压，但基本面短期对市场影响可控，全月市场波动率小幅下降；月末万科宣布寻求债券展期，信用债等级利差走阔。12月，机构行为持续是定价主因，银行部分监管指标压力引发市场热议，存款活期化与资产端久期拉长的不匹配放大负债端情绪；在财政政策预期升温、市场降息预期收紧的共同作用下，债市波动率加大、宽幅震荡后定价中枢上移，收益率曲线持续陡峭。 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　　本基金在严格控制风险的基础上，采取积极的组合策略和严格的资产选择原则进行投资运作。我们严格控制组合久期，持仓以短端信用债为主，同时阶段性参与市场反弹机会，努力在控制好回撤的同时提升收益。","lastUpdated":"2026-03-09T14:04:49.039Z","fund":{"_id":3000000021131,"__csrcFundId":14269,"stockCode":"021131","masterFundShortName":"大成稳康6个月持有期债券","fundSecondLevel":"bond","stockType":"fund","areaCode":"cn","market":"a","tickerId":21131,"currency":"CNY","masterFundFlag":1,"status":"normal","exchange":"jj","shortName":"大成稳康6个月持有期债券A","lastUpdated":"2025-01-01T23:59:47.246Z","name":"大成稳康6个月持有期债券型证券投资基金","pinyin":"dcwk6gycyqzqxzqtzjj","fundCollectionId":4000050090000,"setUpAssetScale":1202845449.09,"setUpDate":"2024-09-18T16:00:00.000Z","setUpShares":1202845449.09,"inceptionDate":"2024-09-19T16:00:00.000Z","followedNum":1,"managers":[{"stockCode":"8801476145","stockType":"fund_manager","exchange":"fm","tickerId":260818173940,"name":"朱浩然"},{"stockCode":"db20768419","stockType":"fund_manager","exchange":"fm","tickerId":618201520,"name":"方锐"}]},"announcement":{"linkText":"大成稳康6个月持有期债券型证券投资基金2025年第3季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1376429","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed3817fea5b3eb053e1fd","date":"2025-06-29T16:00:00.000Z","stockId":3000000021131,"sao":"2025年上半年经济平稳开局，开年以来，新旧动能切换初见成效，微观信心改善，基本面亦呈现积极信号，出口增速在较高基数下维持增长，社融信贷不弱；但经济缺乏上行弹性、开年以来边际逐步放缓的现状未发生明显改变。货币政策方面，上半年来节奏呈现松紧切换，一季度随着基本面的预期转暖、政策重心逐步转向“防风险、防空转、稳汇率”；二季度降准降息、LPR和存款利率下调落地，货币政策回归“适度宽松”基调。财政政策方面，财政支出整体发力靠前、但财政收入增长偏弱，国债及地方债供给节奏相对靠前。债券市场则在货币政策节奏变化、市场偏好轮动和全球秩序重构的事件性驱动下，进入高波动震荡状态。1月中下旬、3月中下旬是上半年内主要的胜负手切换节点，其余时间内债券市场多为趋势性震荡表现，结构性机会挖掘的重要性亦有提升。 　　具体到组合操作方面，本基金在严格控制风险的基础上，采取积极的组合策略和严格的资产选择原则进行投资运作。积极参与利率波段交易机会，努力获取资本利得增厚收益；积极挖掘利率债新券投标、信用债超调后曲线骑乘、非活跃利差压缩等结构性机会。同时，严格控制回撤，久期操作层面不过度激进，避免组合的净值出现太大波动。","declarationDate":"2025-07-20T16:00:00.000Z","lastUpdated":"2026-03-09T14:04:49.037Z","mo":"展望下半年，全球视角看，贸易摩擦的不确定性仍在，美国本土需求今年以来也出现走弱，未来外需的不确定性持续上升。国内方面，考虑到上半年整体经济表现略高预期，预计下半年可供等待观察的空间仍然较大，若不发生大的需求冲击，预计后续经济表现将延续往年的“前高后低”趋势。货币政策方面，二季度以来央行的宽松态度较为明显，当前汇率对货币政策的掣肘已逐渐消退，下半年政策的目标或逐渐从“稳汇率”向“稳经济、稳通胀”变化。财政政策已完成靠前发力，展望后续、财政政策将进入一个发力后的观察期，如何用好存量部署成为关键。同时，下半年市场对各行业“反内卷”政策的预期升温；若“反内卷”政策持续推进，短期内或呈现工业产成品价格抬升但制造业投资受制约、信贷增速减缓的可能，这需要财政增大对于消费的支持力度、进而逐步改善经济内生动力，政策组合拳的预期仍在。 　　展望下半年，我们认为债券收益率震荡下行的长期趋势将延续。中美博弈的历史进程提速，外需不确定性仍在，国内财政政策已经基本完成靠前发力的目标，货币政策仍有继续宽松的理由与空间，债券市场的主要矛盾尚未发生变化。短期内政策预期的升温或带来市场风险偏好的扰动变化，但中长期视角下经济仍缺乏大幅度的向上弹性；考虑当前收益率逐步逼近前低，市场波动可能上升，因此，组合需要在追求收益的同时严格控制风险。","fund":{"_id":3000000021131,"__csrcFundId":14269,"stockCode":"021131","masterFundShortName":"大成稳康6个月持有期债券","fundSecondLevel":"bond","stockType":"fund","areaCode":"cn","market":"a","tickerId":21131,"currency":"CNY","masterFundFlag":1,"status":"normal","exchange":"jj","shortName":"大成稳康6个月持有期债券A","lastUpdated":"2025-01-01T23:59:47.246Z","name":"大成稳康6个月持有期债券型证券投资基金","pinyin":"dcwk6gycyqzqxzqtzjj","fundCollectionId":4000050090000,"setUpAssetScale":1202845449.09,"setUpDate":"2024-09-18T16:00:00.000Z","setUpShares":1202845449.09,"inceptionDate":"2024-09-19T16:00:00.000Z","followedNum":1,"managers":[{"stockCode":"8801476145","stockType":"fund_manager","exchange":"fm","tickerId":260818173940,"name":"朱浩然"},{"stockCode":"db20768419","stockType":"fund_manager","exchange":"fm","tickerId":618201520,"name":"方锐"}]},"announcement":{"linkText":"大成稳康6个月持有期债券型证券投资基金2025年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1346403","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed3817fea5b3eb053e1fc","date":"2025-03-30T16:00:00.000Z","stockId":3000000021131,"sao":"2025年1季度，经济平稳开局。开年以来，新旧动能切换初见成效，微观信心改善；基本面亦呈现积极信号，社融信贷不弱，少数城市二手房及土地成交结构性亮眼，PMI回到荣枯线以上。随着基本面的预期转暖，货币政策大体保持平稳，并未进一步降准降息。财政政策方面，国债、地方债供给有所加快；海外方面，“对等关税”的不确定性升温，汇率及外需压力仍存。　　基本面变化伴随市场风险偏好的边际抬升，本季度债券市场波动有所加大，走出了不同于往年的态势。年初至2月末，基本面回暖、资金面压力持续抬升的影响下，10年期国债小幅震荡上行、收益率曲线表现熊平。3月初至中旬，“两会”预期内落地、央行延续相对紧平衡的态度，债券市场不断修正去年底过度透支的降息预期，10年期国债上行至本季度内高点，曲线整体走陡。3月中旬后，随着央行公开市场净投放、MLF中标方式调整等变化的出现，市场预期央行态度边际好转，跨季配置力量提前释放，收益率重回下行通道。　　本基金在严格控制风险的基础上，采取积极的组合策略和严格的资产选择原则进行投资运作。在1-2月严格控制产品回撤，同时在3月中下旬积极配置，努力把握收益率下行机会。","declarationDate":"2025-04-21T16:00:00.000Z","lastUpdated":"2026-03-09T14:04:49.034Z","fund":{"_id":3000000021131,"__csrcFundId":14269,"stockCode":"021131","masterFundShortName":"大成稳康6个月持有期债券","fundSecondLevel":"bond","stockType":"fund","areaCode":"cn","market":"a","tickerId":21131,"currency":"CNY","masterFundFlag":1,"status":"normal","exchange":"jj","shortName":"大成稳康6个月持有期债券A","lastUpdated":"2025-01-01T23:59:47.246Z","name":"大成稳康6个月持有期债券型证券投资基金","pinyin":"dcwk6gycyqzqxzqtzjj","fundCollectionId":4000050090000,"setUpAssetScale":1202845449.09,"setUpDate":"2024-09-18T16:00:00.000Z","setUpShares":1202845449.09,"inceptionDate":"2024-09-19T16:00:00.000Z","followedNum":1,"managers":[{"stockCode":"8801476145","stockType":"fund_manager","exchange":"fm","tickerId":260818173940,"name":"朱浩然"},{"stockCode":"db20768419","stockType":"fund_manager","exchange":"fm","tickerId":618201520,"name":"方锐"}]},"announcement":{"linkText":"大成稳康6个月持有期债券型证券投资基金2025年第1季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1276159","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed3817fea5b3eb053e1fb","date":"2024-12-30T16:00:00.000Z","stockId":3000000021131,"sao":"2024年，国内经济增长相对温和，出口表现稳健，投资、消费仍保持温和复苏状态；财政政策积极发力，但化债初期存在一定挤出效应、广义赤字实际增长有限；货币政策方面，央行多次重申支持性的货币政策立场，货币政策随着框架重塑、工具箱丰富将财政发力的配合更为紧密，但实际利率仍维持较高水平。整体来看，全年债市收益率下行趋势较为明显。　　年初至4月中下旬，存款利率调降引发的降息预期延续，两会政府工作报告设定的宏观目标未超市场预期，地方债新增供给节奏较缓导致债市供需失衡，10年国债从2.56%快速下行至2.23%附近。4月底至6月底，在央行频繁关注长债风险、“手工补息”严监管的双主线驱动和特别国债平稳供给、地产政策加码的核心影响下，10年国债小幅上行后、在非银机构资金宽松预期的支撑下缓步下行至2.21%。下半年，随着央行货币政策框架改革推进，隔夜正逆回购、借入卖出国债操作等多种创新工具相继推出，7月下旬超预期降息带动10年国债快速下行至2.13%。8月初至9月中下旬，央行对长端利率的关注从指导转向实操，债市经历利率债主导上行和信用债“负反馈”两轮调整，随后央行公开市场“买短卖长”， 10年国债下行至2.04%、收益率曲线转为陡峭化。9月底至年末，宏观政策明显加力，一揽子稳增长政策驱动下、市场风险偏好明显提升，股债跷跷板效应下债市“负反馈”压力再现；11月后，市场对逆周期政策预期逐步转稳、回归经济定价，配置型机构回归“抢配”思路，年末10年国债活跃券触及低点1.67%。　　回顾2024年，债市呈现信用风险缓释、低票息、波动加剧的新特征，利率定价走入新框架、新体系，机构行为的影响进一步加剧，利率脉冲式扰动频现且幅度加深，风险和机遇共存。　　本基金在严格控制风险的基础上，采取积极的组合策略和严格的资产选择原则进行投资运作。2024年基金主动管理组合大类资产配置，积极参与利率债机会，在市场存在机会的阶段提升组合久期和杠杆水平，努力增厚收益。","declarationDate":"2025-01-21T16:00:00.000Z","lastUpdated":"2026-03-09T14:04:49.031Z","mo":"展望2025年，我们认为宏观环境对于债券市场仍然相对友好，但全年来看资金利得的空间可能较2024年有所收窄。宏观层面，我们认为当前经济修复仍需要相对宽松的货币金融环境的支持，年内来看降息降准仍有一定空间，经济的转型升级也不是一撮而就的，因此低利率的环境预计仍将延续相当一段时间。不过考虑到当前债券收益率的水平已经处于历史低位，短期内进一步大幅下行空间相对有限；同时当前银行净息差也处于历史低位，资产端收益率的下行有赖于负债端成本的下行推动，其过程可能是相对缓和的。此外，国际环境的不确定性、财政发力的节奏和幅度，以及房地产市场修复的节奏，对于2025年的债市同样构成一定扰动。我们认为，相比于2024年，2025年回撤控制的重要性明显上升，如何在控制回撤的基础上抓住利率波段交易的机会，可能是2025年做好收益的关键。　　我们非常感谢基金份额持有人的信任和支持，我们将继续按照本基金合同和风险收益特征的要求，严格控制投资风险，积极进行资产配置，适时调整组合结构，力争获得与基金风险特征一致的稳定收益回报给投资者。","fund":{"_id":3000000021131,"__csrcFundId":14269,"stockCode":"021131","masterFundShortName":"大成稳康6个月持有期债券","fundSecondLevel":"bond","stockType":"fund","areaCode":"cn","market":"a","tickerId":21131,"currency":"CNY","masterFundFlag":1,"status":"normal","exchange":"jj","shortName":"大成稳康6个月持有期债券A","lastUpdated":"2025-01-01T23:59:47.246Z","name":"大成稳康6个月持有期债券型证券投资基金","pinyin":"dcwk6gycyqzqxzqtzjj","fundCollectionId":4000050090000,"setUpAssetScale":1202845449.09,"setUpDate":"2024-09-18T16:00:00.000Z","setUpShares":1202845449.09,"inceptionDate":"2024-09-19T16:00:00.000Z","followedNum":1,"managers":[{"stockCode":"8801476145","stockType":"fund_manager","exchange":"fm","tickerId":260818173940,"name":"朱浩然"},{"stockCode":"db20768419","stockType":"fund_manager","exchange":"fm","tickerId":618201520,"name":"方锐"}]},"announcement":{"linkText":"大成稳康6个月持有期债券型证券投资基金2024年年度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1257540","linkType":"PDF","source":"csrc_pdf"}}]}