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基金业绩

基金费率

投资组合

基金概况

财务数据

信诚新双盈分级债券(000091)

2020-06-22     1.00000.0000%
资产配置
单位:万元
报告期 基金净值 股票 国债及现金 可转债 企业债 金融债 其他债券 其他投资 贷方余额
2020-06-30712.280.00849.170.000.000.000.000.250.00
2020-03-311,216.520.00183.0079.394,973.69516.900.0024.560.00
2019-12-311,236.090.00243.85243.364,251.89350.220.0017.270.00
2019-09-301,203.080.00361.24238.530.00715.840.0015.010.00
2019-06-301,248.330.00496.19231.03500.20514.640.0015.000.00
2019-03-311,389.340.00247.97669.701,760.50671.630.00132.810.00
2018-12-311,408.720.00345.1752.621,769.72922.280.0081.650.00
2018-09-301,395.300.00380.570.001,098.11946.150.0026.520.00
2018-06-301,539.460.00411.28144.632,252.23823.380.0047.510.00
2018-03-311,996.980.0013.43226.2711.771,600.960.0055.660.00
2017-12-312,287.500.0049.3843.7014.471,994.800.0050.130.00
2017-09-302,268.840.00137.80194.7819.031,998.400.0030.840.00
2017-06-302,439.840.0012.9421.0119.161,998.400.0012.050.00
2017-03-315,990.770.002,249.61160.2016,017.35997.000.00104.640.00
2016-12-3110,954.24107.50128.41431.54131,688.75949.700.00361.900.00
2016-09-3011,263.60103.101,616.66442.03144,377.633,059.600.00355.600.00
2016-06-3011,653.09114.40289.08426.31126,341.280.000.00265.400.00
2016-03-318,823.6096.10659.291,259.55101,045.780.000.00296.780.00
2015-12-3110,238.71125.00388.39985.09113,981.230.000.004,327.820.00
2015-09-309,721.8888.20584.73540.38204,374.280.000.00516.160.00
2015-06-3013,140.07847.131,759.773,426.02207,122.680.000.00489.910.00
2015-03-3161,710.682,791.541,306.2314,272.12836,133.930.000.002,391.330.00
2014-12-3186,323.870.001,998.9519,690.161,238,513.350.000.004,311.490.00
2014-09-3079,081.650.003,532.703,622.581,376,809.340.000.004,467.630.00
2014-06-30104,142.410.001,478.84614.471,524,374.490.000.003,928.600.00