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基金业绩

基金费率

投资组合

基金概况

财务数据

创金合信货币A(001909)

2024-12-02     0.41820.0000%
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
2024-09-304,275,973.290.001,145,840.020.000.00363,187.200.00176,829.950.00
2024-06-304,192,402.710.001,090,973.320.000.00313,973.650.005,300.980.00
2024-03-314,015,700.690.00677,544.000.000.00495,570.170.00104,615.760.00
2023-12-313,178,547.140.00479,381.800.000.00697,306.070.00137,151.110.00
2023-09-303,383,406.920.00195,778.320.00837,488.30748,651.350.0024,228.060.00
2023-06-302,843,735.980.00249,985.500.00337,672.27994,149.480.005,077.310.00
2023-03-312,131,705.910.00468,114.160.00120,744.22382,438.200.002,268.670.00
2022-12-311,816,005.540.0090,971.630.00110,279.23361,316.900.001,711.130.00
2022-09-301,710,581.190.00137,502.370.00162,120.09375,189.310.007,889.660.00
2022-06-301,598,590.320.00137,746.850.00100,511.16114,638.560.0021,076.320.00
2022-03-311,359,937.850.00109,045.690.000.0029,656.670.002,907.920.00
2021-12-311,579,392.890.0068,488.250.0030,000.8363,026.860.003,981.400.00
2021-09-301,146,180.500.0028,852.430.00209,978.0268,043.100.003,522.750.00
2021-06-301,110,917.750.0023,636.830.00100,000.0064,073.770.005,361.710.00
2021-03-311,076,240.410.0024,290.820.00130,000.0057,999.890.006,994.930.00
2020-12-31857,259.450.0034,041.320.0030,000.0074,945.290.007,500.370.00
2020-09-30675,729.060.005,865.360.00349,763.5433,072.640.004,721.130.00
2020-06-30622,296.710.0020,108.930.000.0021,534.200.0017,147.100.00
2020-03-31569,675.810.0012,841.350.000.0033,119.290.008,437.060.00
2019-12-31636,412.150.0030,637.440.000.0034,395.830.003,449.560.00
2019-09-30311,331.150.0040,429.330.000.0019,117.850.001,039.040.00
2019-06-30242,472.250.0012,860.810.000.0018,429.020.004,361.420.00
2019-03-31534,340.310.005,665.810.000.0025,015.010.001,648.230.00
2018-12-31195,420.400.00522.700.000.0018,024.710.001,530.050.00
2018-09-30264,753.810.0010,489.890.000.005,003.040.00612.570.00