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

东方红稳添利纯债A(002650)

2025-02-14     1.1135-0.0808%
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
2024-12-31129,240.520.006,126.120.00102,458.01135,166.720.00117.490.00
2024-09-30138,956.000.0013,822.480.00274,611.78130,851.740.008,274.820.00
2024-06-30153,942.790.0014,492.530.00284,310.95104,005.910.00129.980.00
2024-03-31186,474.710.005,034.370.00851,100.29105,938.140.00739.470.00
2023-12-31244,159.520.0019,256.230.001,204,585.86113,885.270.00362.060.00
2023-09-30284,787.630.0021,398.700.001,410,504.81147,748.180.00181.150.00
2023-06-30332,668.810.0028,104.990.001,440,566.44166,811.940.0031.120.00
2023-03-31326,097.150.005,752.620.001,465,750.85152,220.410.0020,005.410.00
2022-12-31380,407.010.006,941.170.001,842,720.85157,067.180.003,508.210.00
2022-09-30657,860.960.009,507.000.002,512,526.88214,344.310.0045.950.00
2022-06-30696,479.210.003,885.770.002,947,533.01228,915.640.001,141.180.00
2022-03-31789,315.420.003,177.670.003,012,624.96269,005.060.006,941.440.00
2021-12-31955,977.790.0033,105.270.003,077,200.60332,763.200.0016,827.840.00
2021-09-30881,065.460.0031,613.610.003,372,741.42281,872.060.0020,753.490.00
2021-06-30698,944.330.0021,016.430.002,857,437.72229,390.280.0014,053.810.00
2021-03-31470,796.860.009,207.800.002,366,179.70197,799.220.008,591.520.00
2020-12-31331,945.880.006,133.820.001,627,475.66143,931.470.0011,477.130.00
2020-09-30360,827.910.009,421.940.001,887,332.63162,908.160.0010,755.030.00
2020-06-30348,926.940.0010,875.190.001,985,321.4097,858.880.009,722.140.00
2020-03-31341,019.780.001,741.060.001,565,425.3880,724.140.005,199.080.00
2019-12-31222,744.340.005,423.530.001,004,699.2539,885.880.004,798.850.00
2019-09-30156,860.970.009,362.000.00839,607.7319,456.050.002,671.600.00
2019-06-30104,932.800.003,579.280.00606,294.3026,597.800.003,091.690.00
2019-03-3176,413.480.001,851.380.00613,418.6622,717.420.001,491.090.00
2018-12-3154,261.320.002,096.910.00402,107.3516,162.220.002,462.060.00