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基金业绩

基金费率

投资组合

基金概况

财务数据

民生加银现金宝货币C(003792)

2024-11-20     0.44270.0000%
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
2024-09-301,110,679.350.00351,738.800.00150,625.5242,054.650.001,080.810.00
2024-06-301,658,822.180.00291,164.260.000.0047,443.720.008,632.180.00
2024-03-311,893,833.640.00309,177.600.000.00129,607.330.00343.370.00
2023-12-31985,093.180.00395,938.600.000.0043,056.330.001,885.740.00
2023-09-301,427,506.440.00212,990.390.000.0099,854.300.001,182.750.00
2023-06-301,835,862.550.00372,745.850.000.00129,093.850.002,808.530.00
2023-03-311,334,355.530.00370,422.190.000.0054,902.010.00149.280.00
2022-12-311,470,582.500.00276,859.660.000.0059,070.030.00134.010.00
2022-09-303,407,042.850.00467,644.070.000.00216,641.400.00221.180.00
2022-06-303,255,192.140.00431,147.150.000.00146,847.030.0020,201.630.00
2022-03-312,351,954.930.00378,858.650.000.00115,568.090.00530.620.00
2021-12-312,177,508.260.00320,095.590.000.00104,132.560.004,907.140.00
2021-09-302,263,214.070.00390,148.530.000.0084,210.330.005,528.010.00
2021-06-302,236,927.850.00285,184.940.000.00108,111.140.006,274.240.00
2021-03-311,361,136.330.00279,138.600.000.0046,991.460.006,955.480.00
2020-12-311,289,227.850.00334,560.430.000.0042,961.550.008,056.910.00
2020-09-301,238,746.230.00396,156.810.000.0041,984.870.0011,426.940.00
2020-06-301,639,375.660.00777,150.570.000.0067,213.750.0011,820.480.00
2020-03-312,767,689.740.001,030,121.380.000.00152,279.400.0025,267.130.00
2019-12-312,314,503.300.001,311,133.410.000.00123,020.650.0032,814.860.00
2019-09-302,866,544.120.001,897,120.240.000.00153,135.080.0026,300.870.00
2019-06-303,282,613.730.002,211,636.450.000.00245,478.590.0027,113.600.00
2019-03-313,418,959.010.001,975,660.520.0050,064.29182,920.160.0065,589.720.00
2018-12-313,771,426.080.001,727,916.370.0050,170.67318,504.720.0023,470.460.00
2018-09-304,826,631.620.001,903,028.470.0050,278.41303,349.790.0021,420.200.00