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基金业绩

基金费率

投资组合

基金概况

财务数据

兴银货币B(000740)

2025-05-20     0.41230.0000%
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
2025-03-31569,600.190.00143.830.000.0031,953.230.005.540.00
2024-12-31621,094.320.00132.920.000.0040,676.070.001,996.610.00
2024-09-30322,730.640.005,236.400.000.0020,859.710.0013.830.00
2024-06-30125,316.510.00176.120.000.006,511.880.005.550.00
2024-03-3113,188.230.00374.110.000.00823.090.0011.800.00
2023-12-3111,429.720.00477.200.000.001,031.310.006.230.00
2023-09-305,528.180.00521.500.000.001,026.280.005.600.00
2023-06-305,539.330.0034.080.000.001,030.230.005.440.00
2023-03-315,551.100.0054.330.000.001,014.700.005.440.00
2022-12-3110,600.390.0042.000.000.001,010.210.005.580.00
2022-09-3011,336.920.003,370.630.000.001,005.620.007.450.00
2022-06-3018,020.650.0061.390.000.002,241.520.009.730.00
2022-03-3119,323.460.0088.340.000.002,229.810.0012.590.00
2021-12-3120,117.520.003,169.050.000.000.000.0052.410.00
2021-09-3019,191.890.002,034.750.000.001,000.340.00121.580.00
2021-06-3019,252.660.005,031.170.000.002,001.360.0073.790.00
2021-03-3122,307.820.004,005.990.000.001,999.680.0069.480.00
2020-12-3131,654.670.007,083.190.000.001,000.040.0080.660.00
2020-09-3033,135.920.004,018.920.000.001,000.200.0060.990.00
2020-06-3052,776.820.003,394.580.000.003,006.910.00125.820.00
2020-03-31114,563.120.0011,098.310.000.009,030.740.00366.550.00
2019-12-31146,733.720.0010,097.460.000.0020,000.290.00639.850.00
2019-09-30308,987.190.0025,325.160.000.0026,012.520.001,356.250.00
2019-06-30557,605.830.0010,143.140.000.0058,524.860.001,936.610.00
2019-03-31499,197.650.0014,021.730.000.0047,624.360.001,756.420.00