行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

嘉实丰益信用定期债券C(001872)

2018-12-26     1.00400.0000%
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
2018-09-3011,334.930.00326.64791.4937,627.002,012.400.00271.820.00
2018-06-3011,276.800.0095.80133.7832,800.002,619.200.00308.380.00
2018-03-3111,251.570.00127.60579.8342,188.701,092.980.00370.290.00
2017-12-3111,188.79116.6499.26549.4542,621.700.000.00198.130.00
2017-09-3037,952.29835.051,740.691,970.3162,022.034,902.100.00897.940.00
2017-06-3037,952.20795.453,853.713,397.1771,065.991,931.200.00965.290.00
2017-03-3137,686.210.004,181.23313.1369,922.561,940.500.00732.420.00
2016-12-3137,581.720.00894.27110.6290,908.880.000.00544.730.00
2016-09-3019,183.570.001,370.22150.3264,571.112,029.400.00412.660.00
2016-06-3019,010.300.001,250.9544.9462,845.550.000.00440.580.00
2016-03-3118,994.100.002,025.10705.4275,257.122,065.200.00421.940.00
2015-12-3118,880.600.001,657.167.0081,476.352,084.200.00409.090.00
2015-09-306,333.340.001,013.880.0065,962.251,046.900.00173.450.00