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基金业绩

基金费率

投资组合

基金概况

财务数据

前海开源货币B(001871)

2024-11-29     0.63610.0000%
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
2024-09-30483,753.590.00285.730.000.0036,352.270.002,327.880.00
2024-06-30519,707.010.0013,458.490.000.0025,490.020.0080,572.010.00
2024-03-31777,450.890.0070,718.660.000.0039,836.450.0010,933.510.00
2023-12-31665,586.630.00113,053.920.000.0031,717.690.0041,883.470.00
2023-09-301,063,437.710.0092,971.740.000.0042,955.620.0049.150.00
2023-06-30828,732.590.0052,917.920.000.0033,662.540.006,283.240.00
2023-03-31855,578.360.00103,440.620.000.0032,041.400.0060,007.420.00
2022-12-31744,322.430.00188,108.050.000.0027,048.380.0041,765.950.00
2022-09-301,041,769.710.00139,105.660.000.0030,433.070.004,730.730.00
2022-06-301,247,813.600.00123,342.580.000.005,097.050.0072,734.350.00
2022-03-311,185,581.490.0054,357.900.000.0048,083.340.0030,257.780.00
2021-12-31841,485.720.00236,947.680.000.0018,000.280.0086,816.660.00
2021-09-301,050,258.440.00124,146.050.000.0028,990.260.00950.770.00
2021-06-30978,401.980.00125,707.680.000.0051,035.720.00128,110.660.00
2021-03-311,149,709.260.00241,148.590.000.0049,949.770.0023,573.190.00
2020-12-311,294,776.280.00145,543.680.000.0065,986.980.004,927.580.00
2020-09-301,321,961.860.00305,925.310.000.0093,961.320.0025,552.770.00
2020-06-301,139,418.770.00242,236.420.000.0036,067.800.0011,368.590.00
2020-03-311,103,118.130.00151,870.350.000.0089,993.680.004,911.960.00
2019-12-311,444,846.410.00248,515.710.000.0080,119.710.003,173.680.00
2019-09-301,096,180.180.00351,007.870.000.0048,888.250.002,558.690.00
2019-06-301,188,872.610.0066,390.270.000.0031,848.440.005,751.320.00
2019-03-311,795,480.710.00228,669.500.000.0071,877.820.0012,277.170.00
2018-12-311,375,089.200.00233,996.950.000.0074,881.410.008,668.150.00
2018-09-302,152,111.190.00452,757.430.000.00106,998.260.009,376.130.00