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基金业绩

基金费率

投资组合

基金概况

财务数据

中邮定期开放债券C(000272)

2024-11-29     1.11900.1791%
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
2024-09-3054,056.820.00370.110.00357,171.0711,588.782,034.990.530.00
2024-06-3059,411.050.00348.430.00383,967.7513,933.190.000.510.00
2024-03-3144,909.910.00502.140.00293,737.6911,504.960.0033.870.00
2023-12-3135,148.460.00229.260.00238,489.786,265.960.000.520.00
2023-09-3034,804.930.00184.000.00218,072.867,244.700.000.740.00
2023-06-3031,482.170.00330.040.00211,456.854,223.510.000.730.00
2023-03-3131,235.220.00208.100.00200,324.813,146.370.000.660.00
2022-12-3139,056.720.00152.020.00257,401.630.000.000.500.00
2022-09-3033,741.220.00152.480.00209,118.010.000.000.480.00
2022-06-3028,253.890.00301.530.00138,011.010.000.000.250.00
2022-03-3129,074.340.00280.500.00158,568.630.000.000.050.00
2021-12-3127,305.220.00162.120.00172,954.001,024.000.00681.820.00
2021-09-3029,112.170.00156.050.00173,103.501,024.400.00589.220.00
2021-06-3025,915.600.00310.750.00178,184.000.000.00548.230.00
2021-03-3124,981.230.00147.580.00172,333.700.000.00486.830.00
2020-12-3125,350.110.00162.960.00173,342.610.000.00844.070.00
2020-09-3020,353.630.00153.490.00178,072.540.000.00693.610.00
2020-06-3021,540.500.001,887.830.00184,200.160.000.00674.070.00
2020-03-3122,686.470.001,907.810.00197,977.313,218.800.00567.740.00
2019-12-3131,735.620.002,761.390.00211,630.865,028.700.00767.350.00
2019-09-3031,108.160.006,323.580.00309,942.307,929.000.001,271.770.00
2019-06-3028,839.250.00357.210.00336,432.522,980.800.004,318.750.00
2019-03-3127,098.680.001,728.940.00383,736.270.000.001,066.900.00
2018-12-3197,153.900.0014,141.710.00759,248.925,156.500.004,971.610.00
2018-09-30158,646.850.002,451.260.001,142,423.9014,032.890.006,076.160.00