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兴全恒益债券A(004952)

2024-12-25     1.3431-0.3635%
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
2024-09-30316,943.7145,181.015,254.56169,412.6980,938.93102,996.240.0015,022.510.00
2024-06-30326,748.1852,436.685,727.27198,511.82102,228.08139,998.600.002,510.680.00
2024-03-31376,277.6264,373.2922,497.89224,506.34152,992.70151,056.540.001,442.000.00
2023-12-31595,570.95116,332.0947,460.07275,907.02141,858.98200,762.820.00934.380.00
2023-09-30698,177.17133,741.1944,673.24282,161.58151,200.90185,378.030.001,687.880.00
2023-06-30615,441.22119,341.1830,806.22261,711.29103,298.79179,882.720.0019.610.00
2023-03-31590,037.97123,162.6623,990.54257,203.56216,624.87133,843.710.00244.890.00
2022-12-31576,139.10126,106.3827,152.50237,424.22230,993.74141,474.490.005,920.620.00
2022-09-30737,202.93120,987.9737,415.27208,928.75314,548.80148,969.570.00880.530.00
2022-06-30746,569.75131,586.6735,324.13185,227.66470,602.3185,327.060.003,862.860.00
2022-03-31716,851.27110,684.2333,621.93163,096.14654,806.0139,816.860.001,029.960.00
2021-12-31479,075.6483,121.2111,196.98146,278.27796,850.8031,102.900.0015,100.100.00
2021-09-30319,066.5475,062.008,202.72123,452.62713,512.8019,098.000.0020,302.260.00
2021-06-30312,028.5582,348.849,746.90126,142.80720,727.8020,055.200.003,380.520.00
2021-03-31369,329.0782,894.2310,616.96138,657.08668,610.7028,074.800.008,097.530.00
2020-12-31382,852.8887,629.7117,494.56156,992.80530,977.7042,093.700.009,429.020.00
2020-09-30359,866.7188,379.3515,734.79137,865.15521,742.4035,056.200.0011,841.650.00
2020-06-30282,897.1567,953.905,950.43119,729.74291,969.2029,263.300.004,396.720.00
2020-03-31253,168.6742,885.136,362.7085,308.31293,438.4026,676.800.003,815.260.00
2019-12-31127,337.6529,207.503,879.2661,573.81216,001.3010,268.100.002,336.320.00
2019-09-30117,364.3426,619.103,119.0644,606.34311,327.0010,249.100.005,975.230.00
2019-06-30101,038.1423,502.111,862.5245,227.48419,615.7510,381.000.002,667.570.00
2019-03-31106,307.9122,504.733,349.0241,023.14449,354.5811,406.700.006,931.400.00
2018-12-31129,377.2518,258.352,661.0131,733.73692,469.147,007.000.003,029.560.00
2018-09-30153,156.6720,722.935,852.2727,146.96779,133.717,028.400.003,760.790.00