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基金业绩

基金费率

投资组合

基金概况

财务数据

南方双元债券C(000998)

2024-12-02     1.17460.1279%
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
2024-09-3018,387.200.00712.964,155.9321,057.7310,280.090.00157.160.00
2024-06-3019,632.640.002,308.203,942.3940,569.798,337.440.001.270.00
2024-03-3124,607.18495.301,974.435,192.9645,418.139,349.570.0028.280.00
2023-12-3126,653.390.002,193.575,423.3354,011.7013,339.240.0055.910.00
2023-09-3028,204.390.002,542.115,476.2553,712.8615,237.350.005.810.00
2023-06-3030,377.710.00723.755,343.5865,281.8018,592.640.0040.360.00
2023-03-3131,637.930.00551.814,745.4985,394.7519,462.220.0085.720.00
2022-12-3139,299.160.001,019.563,686.73157,426.1617,670.270.0027.610.00
2022-09-30126,457.690.0022,459.2013,032.06843,244.4337,583.280.00377.890.00
2022-06-30276,330.200.0016,909.1534,125.041,617,587.41134,286.120.00136.320.00
2022-03-31400,689.960.0016,569.1734,267.192,040,352.02179,936.950.001,527.110.00
2021-12-31715,849.140.0013,487.7366,150.291,573,493.06426,672.960.0016,652.270.00
2021-09-30473,156.140.008,405.5935,200.111,423,277.97298,448.020.008,094.520.00
2021-06-30181,426.890.005,123.1713,840.20696,777.0775,206.900.0016,252.750.00
2021-03-3127,654.890.003,130.502,574.50150,343.376,221.610.001,826.720.00
2020-12-3121,131.250.001,745.691,847.00131,581.892,102.970.002,762.790.00
2020-09-3015,314.790.00304.091,496.79110,391.291,557.050.00448.780.00
2020-06-305,339.61105.86361.19146.217,022.553,757.800.001,192.630.00
2020-03-315,461.260.00526.230.0019,719.893,185.750.00105.260.00
2019-12-315,884.610.001,153.56884.135,051.303,304.140.0097.340.00
2019-09-307,032.230.00480.63767.3150,733.001,207.400.00398.180.00
2019-06-307,714.060.00226.77352.6263,159.51419.810.00315.200.00
2019-03-318,025.590.00490.8088.3473,745.25419.620.00167.470.00
2018-12-316,605.740.00141.75331.6271,172.57351.540.00146.960.00
2018-09-305,846.510.00140.35316.4234,468.061,807.450.001,130.300.00