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基金业绩

基金费率

投资组合

基金概况

财务数据

太平日日金A(003398)

2025-04-07     0.25590.0000%
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
2024-12-3166,972.390.0010,037.070.0010,190.256,174.220.00789.920.00
2024-09-3069,428.080.0012,579.380.000.0013,342.450.003,408.310.00
2024-06-3059,478.830.0010,303.660.000.0010,154.260.00300.630.00
2024-03-3171,524.750.0012,518.170.000.008,514.660.00428.060.00
2023-12-3163,623.010.004,575.330.000.005,104.550.001.310.00
2023-09-3058,847.970.00299.130.000.005,071.970.0014.650.00
2023-06-3054,235.620.00338.130.0010,413.516,109.820.006.440.00
2023-03-3151,845.400.00429.050.000.005,056.690.0010.110.00
2022-12-3158,067.130.004,383.790.000.001,018.820.002.490.00
2022-09-3055,393.500.00392.610.000.003,990.100.002.410.00
2022-06-3064,845.240.00362.350.000.004,000.000.001,659.690.00
2022-03-3164,748.020.00503.070.000.004,095.280.005.360.00
2021-12-3165,852.550.004,420.730.000.000.000.005,858.120.00
2021-09-3067,644.690.004,504.070.000.000.000.0058.110.00
2021-06-3069,895.690.001,107.970.000.009,009.520.002,081.200.00
2021-03-31126,229.540.004,158.620.000.0010,015.361.00413.800.00
2020-12-31159,935.650.003,696.620.000.005,500.881.101,473.580.00
2020-09-30123,603.340.001,886.290.000.008,211.6975.38176.680.00
2020-06-30183,904.490.0015,249.810.000.008,221.46424.35584.520.00
2020-03-31186,544.490.0016,629.720.000.003,808.16205.8612,362.770.00
2019-12-31214,937.950.0015,583.570.000.000.000.006,223.590.00
2019-09-30265,507.740.0015,668.660.000.000.000.00404.870.00
2019-06-30320,867.150.0027,775.060.000.000.000.00204.400.00
2019-03-31382,467.720.0032,162.330.000.000.000.00448.990.00
2018-12-31578,044.970.00125,878.520.000.000.000.001,213.850.00