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

大成添益交易型货币A(003252)

2024-11-27     0.53540.0000%
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
2024-09-30284,496.870.00105,789.640.000.0020,364.680.001,780.610.00
2024-06-30339,495.350.00256,026.370.000.0023,679.040.00206.110.00
2024-03-31345,806.090.00234,057.450.000.0024,775.190.001,288.230.00
2023-12-31324,157.100.00178,341.280.000.0019,534.400.005,660.120.00
2023-09-30361,884.110.00169,889.300.000.0015,221.130.00778.260.00
2023-06-30420,697.410.00108,340.620.0020,436.5315,231.090.00290.620.00
2023-03-31323,900.340.00127,336.350.0020,325.786,031.960.00412.460.00
2022-12-31451,735.510.0091,692.940.0020,216.237,048.180.00709.870.00
2022-09-30615,150.720.00385,049.840.0020,104.2312,616.230.003,550.590.00
2022-06-30639,926.330.00226,769.400.000.0011,726.900.00138.530.00
2022-03-31490,223.660.00183,982.640.000.0026,604.850.0015,145.780.00
2021-12-31486,185.560.00237,623.650.000.005,000.110.002,138.870.00
2021-09-30475,170.880.00151,176.100.000.0013,027.980.004,378.170.00
2021-06-30312,755.740.00100,106.940.000.0017,942.060.001,423.510.00
2021-03-31319,881.520.0053,388.990.000.0022,466.430.001,959.220.00
2020-12-31266,653.060.00105,939.310.000.0022,156.080.001,855.140.00
2020-09-30226,619.220.00106,503.960.000.000.000.001,149.350.00
2020-06-30268,110.880.0081,681.070.000.002,012.050.00376.310.00
2020-03-31256,119.660.007,654.020.000.009,499.230.00411.100.00
2019-12-31241,422.590.00183,790.180.000.0011,497.310.001,534.230.00
2019-09-30263,346.990.00127,147.800.000.009,520.760.001,114.810.00
2019-06-30279,709.580.0099,282.730.000.003,013.790.00335.510.00
2019-03-31300,487.850.00145,465.910.000.004,001.900.001,077.680.00
2018-12-31330,555.200.00224,160.220.000.0010,017.710.001,717.220.00
2018-09-30494,705.040.00260,864.090.000.0013,019.920.00876.790.00