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基金费率

投资组合

基金概况

财务数据

中加纯债定开债券C(004912)

2024-11-20     1.00000.0000%
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
2024-09-30859,451.180.0058,528.850.002,865,596.80355,370.570.0036.840.00
2024-06-30869,928.390.0049,717.730.002,632,778.83477,296.000.0016.080.00
2024-03-31872,057.520.00182.790.002,204,759.97469,181.050.005.700.00
2023-12-31868,558.910.00199.340.001,755,004.29729,199.920.009.100.00
2023-09-30881,256.390.00753.520.001,966,739.51625,932.170.006.260.00
2023-06-30883,198.020.002,096.230.001,857,105.35785,955.530.0012.820.00
2023-03-31881,209.110.004,935.820.001,724,119.78705,909.220.0030.770.00
2022-12-31880,596.330.00579.150.001,745,106.57940,845.320.0023.780.00
2022-09-30890,466.460.00483.440.001,055,421.411,020,382.040.008.250.00
2022-06-30882,105.890.0019,132.220.00185,364.371,004,155.580.002.180.00
2022-03-31874,550.210.0030.390.00183,669.601,055,584.750.003.370.00
2021-12-31881,982.460.0063.870.00183,068.00943,912.600.0018,539.370.00
2021-09-30877,918.300.0061.960.00283,180.001,017,231.500.0018,575.070.00
2021-06-30870,950.590.0078.570.00181,274.00961,859.900.0017,862.360.00
2021-03-31859,896.610.00176.060.00180,792.00971,067.300.0013,841.820.00
2020-12-31876,212.250.0077.750.000.00935,281.300.0020,980.080.00
2020-09-30888,980.720.0072.930.000.00869,911.300.0015,502.930.00
2020-06-30691,813.110.0014,106.470.0010,018.00622,934.800.0011,826.010.00
2020-03-31694,411.950.0014,108.170.0010,092.00629,205.580.009,329.020.00
2019-12-31677,214.260.0021,119.080.0010,110.00617,796.790.0016,069.500.00
2019-09-30668,700.180.00322.980.0020,263.00652,275.970.0012,288.950.00
2019-06-30674,721.630.0099.800.0020,320.00629,825.060.0011,793.850.00
2019-03-31360,656.420.0032.390.0020,367.00291,326.610.005,441.180.00
2018-12-31357,099.710.0033.910.0020,308.00283,127.390.007,618.270.00
2018-09-30304,985.570.0038.850.00451,431.91183,314.900.005,916.230.00