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万家鑫璟纯债A(003327)

2024-11-22     1.20230.2084%
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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
2024-09-30137,155.870.0050,651.600.00182,682.12105,974.560.00100.220.00
2024-06-30187,818.150.0065,735.940.00884,905.7445,273.340.0025,312.710.00
2024-03-31402,619.710.00131,719.880.001,486,230.23150,413.790.00260.660.00
2023-12-31472,338.660.0068,046.260.001,485,192.36254,905.810.00124,014.060.00
2023-09-30827,066.250.00136,559.120.002,405,075.82509,976.720.0033,678.670.00
2023-06-30948,334.650.0077,831.400.003,643,555.43394,600.080.0096,296.030.00
2023-03-311,108,221.500.0060,985.990.004,532,657.27347,526.810.0015,788.970.00
2022-12-311,392,020.450.00116,855.320.005,257,254.40722,839.150.0020,900.300.00
2022-09-302,486,935.500.00306,389.020.008,610,088.411,512,543.630.005,861.910.00
2022-06-302,373,421.350.00185,838.360.009,308,276.091,114,080.720.00407,586.840.00
2022-03-313,035,445.950.00136,161.210.009,406,697.171,859,175.520.003,911.170.00
2021-12-312,690,569.740.00123,616.240.0012,820,527.00654,958.600.0030,566.320.00
2021-09-301,547,920.280.0073,219.520.006,737,696.5069,053.400.0028,223.860.00
2021-06-30919,173.040.0021,969.370.004,498,423.5073,261.770.00288,058.180.00
2021-03-31730,996.080.002,342.250.003,626,932.50268,588.350.0049,816.740.00
2020-12-31659,440.020.0022,007.090.003,535,268.40227,066.100.008,161.230.00
2020-09-30611,185.790.004,343.510.002,032,745.8077,900.600.006,081.830.00
2020-06-30785,737.600.0047,523.740.001,788,166.18208,627.000.0091,363.710.00
2020-03-31298,300.960.0033,041.360.001,317,679.14116,009.320.0015,267.360.00
2019-12-3161,343.360.005,987.350.00359,741.9824,383.340.004,206.290.00
2019-09-3048,460.510.001,835.270.00299,391.591,698.540.0013,905.340.00
2019-06-3021,620.800.003,527.120.00137,391.336,923.500.00445.160.00
2019-03-3120,609.670.00907.680.00131,968.501,170.120.001,826.660.00
2018-12-3120,305.180.00150.980.00136,421.861,054.620.00219.750.00
2018-09-3010,163.040.00187.370.0066,691.405,565.700.00170.430.00