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基金业绩

基金费率

投资组合

基金概况

财务数据

招商招瑞纯债发起式C(002520)

2025-01-27     1.15850.1037%
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
2024-12-3199,394.860.00453.570.00215,012.3373,414.100.002.610.00
2024-09-30154,829.960.001,687.070.00164,280.4889,019.240.002.440.00
2024-06-30154,572.220.00375.680.00226,920.1274,399.430.001.770.00
2024-03-31152,982.710.00589.350.00225,547.5574,321.120.00133.630.00
2023-12-31151,401.520.00471.420.00223,337.0740,853.0133,093.582.570.00
2023-09-30155,560.910.00650.230.00151,829.9838,703.2233,061.110.700.00
2023-06-30154,827.910.00456.120.00154,097.1938,650.4939,220.630.950.00
2023-03-31152,779.910.00551.150.00143,348.4033,485.4930,657.901.290.00
2022-12-31151,488.160.00293.910.00121,911.2849,844.692,937.281.770.00
2022-09-30152,312.300.00322.880.00122,789.2044,098.523,002.835.130.00
2022-06-30150,259.980.00390.640.00114,066.7359,128.550.001.620.00
2022-03-31148,930.970.003,383.510.00103,422.1539,928.500.001.260.00
2021-12-31155,284.470.003,438.590.00101,760.0041,391.100.002,909.030.00
2021-09-30153,887.180.00293.450.00181,368.0014,032.700.002,495.360.00
2021-06-30151,868.010.00307.500.00198,154.0014,857.000.002,486.070.00
2021-03-31150,513.720.00337.790.00198,138.0015,109.690.002,632.140.00
2020-12-31150,150.360.00364.570.00218,436.0014,787.600.002,703.810.00
2020-09-30240,807.830.00444.270.00369,677.0013,093.000.004,214.350.00
2020-06-30311,092.660.001,199.690.00403,524.0016,037.500.005,584.480.00
2020-03-31312,819.210.001,379.650.00388,653.0015,095.500.004,960.970.00
2019-12-31314,333.090.00510.210.00291,141.0030,017.200.005,203.960.00
2019-09-30313,572.300.00658.070.00241,100.0030,861.800.005,758.470.00
2019-06-30312,416.390.00365.590.0081,056.0030,862.100.006,994.600.00
2019-03-31314,159.610.001,265.390.0081,144.0021,383.900.004,411.740.00
2018-12-31310,976.280.00195.270.0080,856.0060,425.700.003,354.870.00