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基金业绩

基金费率

投资组合

基金概况

财务数据

兴全稳泰债券A(003949)

2024-12-02     1.18280.1524%
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
2024-09-301,289,325.300.00104,251.750.007,519,960.53570,042.167,595.853,946.290.00
2024-06-301,840,408.210.0092,141.730.008,752,013.04651,943.177,624.8532,350.340.00
2024-03-311,785,188.710.0016,642.430.007,972,459.29937,163.0611,625.8647,657.050.00
2023-12-311,801,302.540.002,392.670.005,274,898.971,209,376.987,342.7711,736.740.00
2023-09-301,631,773.780.0027,627.170.003,598,834.391,317,771.407,246.17188.730.00
2023-06-301,806,876.520.007,196.280.004,648,235.521,304,782.837,304.2818,981.170.00
2023-03-311,911,280.120.0023,193.530.004,959,279.491,498,743.207,146.3922,389.160.00
2022-12-311,805,579.470.006,637.980.005,804,029.571,323,802.557,709.3025,886.980.00
2022-09-302,526,134.570.0010,408.330.005,797,818.192,010,801.428,740.563,846.880.00
2022-06-302,208,177.820.0016,313.740.006,915,325.151,779,241.578,704.632,608.660.00
2022-03-311,732,882.610.006,838.230.005,903,261.291,194,217.418,608.0241,445.870.00
2021-12-312,228,791.130.006,936.260.006,378,004.651,159,161.7015,624.40116,594.100.00
2021-09-301,821,128.640.003,537.780.004,243,907.671,344,470.3143,825.1539,827.040.00
2021-06-301,377,661.060.0010,868.680.002,579,482.461,013,504.060.0030,396.660.00
2021-03-31955,148.770.009,629.440.001,666,606.35615,458.200.0024,328.680.00
2020-12-31609,555.060.0031,590.640.00875,822.26339,248.992,004.4015,908.990.00
2020-09-30602,780.560.005,268.500.00845,290.35357,251.950.0043,864.080.00
2020-06-30635,247.680.001,322.490.00869,970.00323,789.800.0016,640.830.00
2020-03-31505,755.970.0010,366.240.00572,191.86179,845.500.0017,329.210.00
2019-12-31524,300.020.001,484.320.00627,942.81235,055.880.0012,877.780.00
2019-09-30425,818.020.001,897.350.00582,432.83223,340.100.005,118.340.00
2019-06-30331,397.210.004,853.250.001,107,242.58229,302.700.006,933.670.00
2019-03-31548,259.130.002,993.450.002,519,121.07301,168.200.0012,553.120.00
2018-12-31534,810.420.003,126.800.001,689,121.53334,151.000.007,171.210.00
2018-09-30496,401.510.0082,583.600.00233,891.82282,156.400.009,937.760.00