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基金业绩

基金费率

投资组合

基金概况

财务数据

诺安天天宝货币A(000559)

2024-12-10     0.42540.0000%
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
2024-09-3010,448,182.770.006,410,349.720.0030,599.030.000.006,712.440.00
2024-06-3010,574,863.950.006,402,409.170.00131,903.910.000.003,008.250.00
2024-03-3110,163,198.560.007,377,961.030.00639,837.4724,406.460.0018,261.620.00
2023-12-319,531,188.570.006,406,690.480.000.00202,282.260.0019,627.320.00
2023-09-309,721,304.490.004,971,985.340.000.00192,264.780.0031,062.840.00
2023-06-309,996,102.690.006,085,830.030.000.00122,207.350.0044.850.00
2023-03-319,490,423.570.005,910,903.810.000.0071,300.540.00162.040.00
2022-12-317,862,617.420.005,827,411.480.000.00134,166.390.00421.880.00
2022-09-307,408,264.650.006,204,245.750.000.0019,967.520.00958.890.00
2022-06-306,292,750.970.003,582,238.940.000.005,087.140.005,067.060.00
2022-03-316,098,364.430.003,445,823.620.000.00100,982.900.0046.790.00
2021-12-315,890,316.650.003,630,607.010.000.00193,340.110.0038,932.040.00
2021-09-305,575,602.100.003,302,127.780.000.00156,361.430.0038,666.640.00
2021-06-305,877,526.420.002,757,714.150.000.00188,583.580.0036,196.640.00
2021-03-315,167,814.860.003,125,169.150.0050,000.00209,003.480.0036,720.930.00
2020-12-315,116,250.610.002,882,602.930.0050,000.00204,137.730.0028,664.820.00
2020-09-305,337,482.420.002,570,048.160.0050,000.00196,239.450.0018,562.460.00
2020-06-304,746,933.520.001,904,152.000.000.00104,199.600.0016,312.820.00
2020-03-314,815,068.850.002,075,271.100.000.00173,172.600.0029,850.410.00
2019-12-314,488,756.650.002,050,276.800.000.00182,304.420.0020,662.960.00
2019-09-304,405,149.270.002,293,203.930.000.00109,774.180.0017,851.440.00
2019-06-304,398,125.720.002,094,585.780.000.00102,314.670.0021,412.830.00
2019-03-314,542,547.480.002,288,235.430.000.00146,900.260.0026,525.240.00
2018-12-313,565,960.530.002,331,683.780.000.00176,843.030.0017,440.450.00
2018-09-301,246,297.330.00730,808.350.000.0048,015.880.005,470.360.00