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基金业绩

基金费率

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基金概况

财务数据

易方达增金宝货币A(001010)

2024-11-20     0.39530.0000%
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
2024-09-3011,349,450.930.008,696,247.070.000.0023,915.430.003.160.00
2024-06-3011,167,440.240.007,956,896.020.000.0088,336.600.00560.080.00
2024-03-3111,876,197.120.009,317,097.800.000.00686,095.280.003.420.00
2023-12-3110,717,462.260.008,960,193.100.000.00603,745.420.000.250.00
2023-09-308,866,286.540.005,489,494.200.000.00472,863.450.005.160.00
2023-06-309,897,041.570.007,838,189.920.000.00558,378.490.009.590.00
2023-03-318,018,544.100.005,882,567.630.000.00430,076.060.003.350.00
2022-12-314,617,456.710.002,234,977.630.000.00271,973.700.0026,556.360.00
2022-09-30709,107.080.0071,319.310.0010,529.2835,462.460.0077.940.00
2022-06-3056,288.170.005,068.060.000.003,065.240.0010.770.00
2022-03-3157,522.810.0014,281.040.000.002,039.630.0012.350.00
2021-12-3163,609.890.0018,369.900.0010,066.472,999.640.00378.980.00
2021-09-3066,729.390.0018,154.540.0030,254.064,001.140.00484.220.00
2021-06-3074,179.880.0031,183.720.000.005,992.470.00475.770.00
2021-03-3182,197.400.0033,147.910.002,022.194,999.130.00336.410.00
2020-12-3189,120.430.0045,282.170.000.001,992.920.00342.000.00
2020-09-30100,076.260.0038,316.140.000.007,008.730.005,306.840.00
2020-06-30123,970.120.0029,323.230.000.006,017.980.00284.730.00
2020-03-31148,229.720.0041,396.350.000.008,009.390.00986.460.00
2019-12-31174,745.080.0053,192.980.000.0010,025.900.001,151.410.00
2019-09-30235,538.560.0056,126.340.000.0012,036.670.001,139.650.00
2019-06-30348,293.480.00114,957.100.005,076.5118,064.340.001,449.540.00
2019-03-31520,665.980.00188,585.940.000.0041,093.080.004,715.410.00
2018-12-31651,804.140.00276,272.700.000.0036,016.410.008,371.200.00
2018-09-30908,306.560.00279,431.570.000.0020,905.630.007,474.410.00