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基金费率

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基金概况

财务数据

鹏华丰实定期开放债券A(000295)

2024-11-22     1.10250.0181%
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
2024-09-30198,348.590.001,528.400.000.00174,277.8626,071.230.000.00
2024-06-30197,370.560.004,177.000.000.00179,504.3724,308.860.000.00
2024-03-31192,297.490.001,030.800.000.00173,261.0031,238.04335.200.00
2023-12-31189,870.350.001,058.680.000.00170,078.800.000.000.00
2023-09-30192,540.190.002,819.170.000.00173,172.390.000.080.00
2023-06-30198,760.320.003,966.950.000.00216,032.900.000.320.00
2023-03-314,404.280.003,090.790.000.000.000.0050.930.00
2022-12-314,845.660.00158.955,142.219,644.11456.800.00167.290.00
2022-09-305,043.040.00184.765,611.679,623.68456.030.001.400.00
2022-06-305,207.100.00122.544,060.5011,883.24452.880.001.250.00
2022-03-315,065.860.00239.923,099.6412,737.08458.050.000.430.00
2021-12-319,533.800.00171.582,846.5132,387.953,735.260.00327.520.00
2021-09-309,215.490.00233.902,493.7826,283.743,721.600.00304.970.00
2021-06-308,983.47161.27543.042,598.2326,099.083,702.530.0095.060.00
2021-03-318,727.050.00290.57405.4927,068.413,687.470.00246.270.00
2020-12-3158,293.800.002,326.8420,300.80608,876.8823,566.400.002,079.940.00
2020-09-3057,311.920.002,582.5012,898.76705,118.0126,196.770.001,385.390.00
2020-06-3058,178.150.002,079.856,561.20765,219.0328,044.000.00938.480.00
2020-03-3160,419.670.002,135.906,720.41635,506.9730,671.190.006,087.210.00
2019-12-3159,625.130.005,323.21136.64476,562.059,075.500.0027,213.680.00
2019-09-30100,805.980.003,978.5914.911,531,992.9027,380.160.003,750.050.00
2019-06-3098,483.780.004,272.242,048.591,492,632.6724,737.010.003,785.660.00
2019-03-31100,379.460.005,731.3597.801,502,856.7424,644.900.0013,901.930.00
2018-12-3199,748.350.002,698.77196.38637,847.961,300.810.001,645.960.00
2018-09-30130,676.850.002,706.3022,106.471,638,299.6530,185.200.002,501.410.00