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基金业绩

基金费率

投资组合

基金概况

财务数据

华商稳固添利债券A(000937)

2020-07-17     0.90200.0000%
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
2020-06-301,344.450.00103.860.000.001,213.120.0038.740.00
2020-03-311,576.790.00128.930.000.001,420.720.0038.010.00
2019-12-311,685.340.00557.100.000.001,108.150.0036.330.00
2019-09-302,344.860.001,150.640.000.001,198.700.0035.940.00
2019-06-303,365.550.001,547.720.000.002,148.710.00172.070.00
2019-03-312,942.310.002,550.060.000.001,173.380.00163.590.00
2018-12-314,969.690.003,948.870.000.002,334.090.00341.450.00
2018-09-302,076.460.001,817.190.000.00634.490.0088.180.00
2018-06-302,135.860.00305.690.000.001,756.710.0098.730.00
2018-03-312,481.430.00392.940.002,894.431,853.640.00127.900.00
2017-12-314,454.450.002,775.830.0012,146.961,992.200.00157.090.00
2017-09-304,972.150.002,022.580.0017,160.302,999.400.00120.330.00
2017-06-3010,796.660.001,022.300.0042,521.835,000.700.00292.620.00
2017-03-3112,240.530.001,033.050.0038,811.106,048.700.00307.480.00
2016-12-3113,511.790.001,455.850.0043,523.281,000.800.00241.590.00
2016-09-3070,396.410.006,045.420.00129,542.3321,512.700.001,127.040.00
2016-06-3087,958.910.0025,030.630.00128,312.9744,009.700.002,246.570.00
2016-03-31134,672.420.006,490.880.00828,850.395,001.500.002,414.380.00
2015-12-31178,052.570.0041,297.260.00528,794.8936,300.900.004,477.270.00
2015-09-3068,034.330.0016,291.970.00245,920.6011,899.200.001,876.900.00
2015-06-3040,473.540.0027,962.170.00279,078.533,018.600.003,834.500.00