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基金业绩

基金费率

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基金概况

财务数据

博时民丰纯债债券A(003708)

2024-11-20     1.0439-0.0192%
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
2024-09-30103,068.630.008,089.740.00130,732.9022,743.850.000.000.00
2024-06-30102,840.300.009,902.220.00130,966.6618,780.480.002,074.750.00
2024-03-31101,829.550.004,201.290.00131,922.3526,795.170.000.270.00
2023-12-31100,539.220.006,413.970.00120,795.3623,743.980.000.370.00
2023-09-30100,952.990.00605.390.00133,101.2927,702.180.000.330.00
2023-06-30100,303.510.003,704.670.00121,878.0539,432.180.000.140.00
2023-03-31101,018.730.00531.940.0010,214.0823,467.710.000.000.00
2022-12-31179,093.540.00553.390.000.00202,883.310.000.570.00
2022-09-30182,051.320.003,978.300.000.00199,495.540.001.280.00
2022-06-30181,220.670.001,974.470.000.00243,274.750.001.610.00
2022-03-31180,922.100.009,933.090.000.00175,943.330.001.260.00
2021-12-31186,331.430.00368.210.000.00182,407.509,027.204,105.090.00
2021-09-30187,970.250.00457.470.000.00176,747.300.002,910.480.00
2021-06-30186,243.070.00363.360.000.00165,279.000.003,244.900.00
2021-03-31187,289.550.00379.400.0050,030.00189,422.450.003,686.170.00
2020-12-31186,660.850.00371.360.0050,105.00227,993.700.005,513.870.00
2020-09-30184,744.830.00451.760.0050,110.00203,119.250.003,454.870.00
2020-06-30185,561.060.00596.370.00100,655.00181,550.500.003,235.150.00
2020-03-31186,029.160.00402.150.00101,205.00201,824.300.004,292.920.00
2019-12-31181,747.410.00397.340.00100,920.00199,230.600.004,949.150.00
2019-09-30187,359.680.00446.550.00101,145.00211,311.350.003,615.890.00
2019-06-30185,783.720.00712.580.00209,240.00163,000.200.002,746.000.00
2019-03-31184,417.570.00704.080.00209,671.00154,620.450.003,535.690.00
2018-12-31182,248.310.00583.590.00208,866.00164,119.900.004,654.210.00
2018-09-30180,237.800.00394.300.00208,418.50131,192.250.003,148.700.00