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基金费率

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基金概况

财务数据

华泰柏瑞丰汇债券C(000422)

2021-04-20     0.9975-0.0301%
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
2021-03-31470.450.00476.690.000.000.000.006.220.00
2020-12-316,696.600.00576.250.000.006,006.100.00135.260.00
2020-09-3014,497.810.001,018.370.000.0015,492.100.00408.310.00
2020-06-3031,988.920.005,148.300.000.0030,082.000.00507.610.00
2020-03-3167,414.970.0024.340.000.0079,058.200.00960.780.00
2019-12-3144,651.840.0015.210.000.0051,013.200.002,227.770.00
2019-09-30157,985.100.0016,126.150.000.00132,914.490.002,553.410.00
2019-06-30122,185.760.0018,102.760.000.00110,402.100.001,409.200.00
2019-03-31127,961.780.0010,091.190.000.00128,244.840.002,459.940.00
2018-12-311,762.850.0060.450.001,669.471,379.830.0034.000.00
2018-09-305,463.920.0087.710.001,627.862,356.980.00137.020.00
2018-06-305,440.080.00547.920.001,608.99298.130.0087.460.00
2018-03-315,759.580.00448.250.006,674.321,018.100.00129.170.00
2017-12-316,828.200.00497.880.001,792.23999.900.00132.790.00
2017-09-305,153.470.00383.0266.8511,793.201,985.100.00112.430.00
2017-06-307,798.970.00132.040.001,849.816,938.600.0087.510.00
2017-03-318,708.900.00367.840.001,891.467,995.200.00198.650.00
2016-12-319,467.390.00120.780.002,120.578,989.500.00181.390.00
2016-09-3046,142.360.00125.920.002,201.4143,152.300.00698.300.00
2016-06-3085,766.520.0014,718.400.002,156.6866,969.500.00840.130.00
2016-03-3114,329.630.0010,467.6113.3730,338.070.000.00178.480.00
2015-12-3118,574.770.0015,278.1213.3745,423.641,633.660.001,757.920.00
2015-09-3028,804.843,078.749,155.761,678.8665,009.999,382.750.00553.430.00
2015-06-3023,870.374,827.98340.632,289.6155,775.951,434.580.00683.160.00
2015-03-3152,891.36902.92534.506,489.7383,205.805,839.080.001,562.440.00