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基金费率

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基金概况

财务数据

招商招乾3个月定开债发起式C(003270)

2024-11-20     1.11030.0000%
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
2024-09-30487,533.090.0029,667.670.001,632,029.40144,237.580.00788.570.00
2024-06-30485,937.490.0014,879.180.001,862,384.73138,520.840.00784.970.00
2024-03-31480,291.810.004,751.350.001,926,344.43104,820.390.00963.200.00
2023-12-31475,410.530.001,101.380.001,781,558.6433,635.5599,403.74945.480.00
2023-09-30471,841.300.001,464.570.001,541,210.5957,956.9066,998.691,017.370.00
2023-06-30469,327.350.001,808.340.001,174,312.5367,559.7878,324.88953.240.00
2023-03-31364,330.620.001,047.340.00626,567.6284,273.5353,339.88982.290.00
2022-12-31360,613.880.004,473.120.00760,088.36126,967.6852,809.491,044.830.00
2022-09-30367,801.410.0010,000.840.00703,911.16136,960.1453,905.031,050.440.00
2022-06-30362,427.990.006,275.740.00751,280.01148,772.1453,975.038,201.910.00
2022-03-31356,119.920.0026,393.110.00880,779.83159,816.4553,425.054,974.960.00
2021-12-31357,217.330.004,204.660.00858,830.50152,304.7024,453.306,570.630.00
2021-09-30352,935.190.001,068.980.00820,598.8393,469.4011,107.005,262.250.00
2021-06-30349,026.260.00795.760.00560,723.5073,337.103,051.906,998.480.00
2021-03-31367,590.480.001,274.820.00559,504.5078,052.403,023.105,204.550.00
2020-12-31363,681.710.001,215.810.00567,307.6063,883.302,964.006,428.070.00
2020-09-30379,629.190.001,686.280.00574,254.90113,396.242,961.006,257.400.00
2020-06-30399,488.180.00735.910.00578,363.00170,615.400.008,491.700.00
2020-03-31433,834.780.00642.550.00558,473.18124,465.000.005,400.940.00
2019-12-31426,448.590.00590.710.001,007,871.0051,694.500.008,569.000.00
2019-09-30422,252.590.00786.950.00998,847.0053,035.800.007,661.660.00
2019-06-30416,083.520.001,629.420.00964,267.00105,838.650.008,024.920.00
2019-03-31429,136.030.001,634.530.00932,433.00106,004.000.006,830.720.00
2018-12-31425,191.330.001,454.970.00563,169.50164,393.450.007,424.380.00
2018-09-30419,167.650.0025,112.820.00540,175.00156,215.450.005,896.350.00