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基金业绩

基金费率

投资组合

基金概况

财务数据

招商招利1个月期理财债券A(000808)

2020-02-27     0.38860.0000%
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
2024-09-3036,568.710.002,002.520.000.0011,270.260.001.840.00
2024-06-3037,839.610.00478.480.000.0017,403.860.003.630.00
2024-03-3138,478.150.00434.890.000.0022,471.430.0014.320.00
2023-12-3139,235.720.00561.560.0030,912.7518,346.560.0017.930.00
2023-09-3040,547.290.002,481.460.000.004,044.210.004.710.00
2023-06-3041,941.170.00164.690.0031,484.0611,151.860.001.730.00
2023-03-3142,941.380.00174.910.0031,254.547,049.540.003.140.00
2022-12-3143,988.330.00201.250.000.003,022.880.003.460.00
2022-09-3047,592.290.00183.310.000.003,084.320.0011.410.00
2022-06-3047,728.430.00143.600.000.003,058.810.0025.280.00
2022-03-3148,485.280.0098.660.000.003,061.460.0015.100.00
2021-12-3150,261.190.00129.470.000.003,001.700.00498.850.00
2021-09-3052,168.690.00115.870.000.003,000.400.00461.190.00
2021-06-3055,596.150.00134.560.000.004,000.000.00440.210.00
2021-03-3159,264.100.00633.670.0019,079.504,006.400.00645.950.00
2020-12-3165,310.560.008,834.860.0039,126.007,034.300.00643.260.00
2020-09-3071,444.270.002,886.530.0050,060.0013,025.900.00917.780.00
2020-06-3089,997.180.002,871.950.00156,825.805,007.500.001,554.630.00
2020-03-31139,729.100.00517.110.0010,111.006,527.450.001,782.120.00
2020-02-27156,675.370.004,257.300.0010,051.128,510.950.001,207.610.00
2019-12-31192,244.920.0055,801.720.0010,091.1112,507.140.001,282.250.00
2019-09-30213,916.410.0026,129.100.000.0011,052.190.001,620.050.00
2019-06-30256,093.660.0053,680.950.000.0015,131.420.001,896.380.00
2019-03-31464,469.450.00142,183.030.000.0071,509.510.003,194.110.00
2018-12-31508,037.500.00119,205.090.000.0079,073.330.005,141.240.00