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北信瑞丰鼎利债券C(005193)

2024-12-27     1.13250.2212%
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
2024-09-30407.9477.41159.35175.330.000.000.0048.070.00
2024-06-30463.6592.27211.21183.180.000.000.002.720.00
2024-03-31399.2280.94142.05228.850.000.000.000.900.00
2023-12-31836.00166.71515.86229.620.000.000.0020.230.00
2023-09-30122.9924.0333.6862.42101.930.000.002.010.00
2023-06-30155.9430.658.180.00100.56124.450.002.570.00
2023-03-315,091.090.00956.500.00938.204,063.600.002.130.00
2022-12-3133,524.33545.51921.01448.65173,075.164,091.630.0062.630.00
2022-09-3033,718.99545.48505.34468.19175,031.664,102.540.0013.880.00
2022-06-3033,731.27546.633,024.12395.95187,980.910.000.000.910.00
2022-03-3133,367.16517.502,690.66409.20197,242.931,058.590.001.230.00
2021-12-3134,870.85474.593,941.65315.72174,521.281,029.200.00572.330.00
2021-09-3034,450.03443.523,442.30348.07144,365.801,017.600.001,641.980.00
2021-06-3034,021.47375.512,162.29376.06143,832.781,314.710.002,591.240.00
2021-03-3133,623.35379.764,872.32405.82153,455.841,308.050.001,698.440.00
2020-12-3133,242.02241.273,016.81397.98194,770.50199.920.00632.810.00
2020-09-3033,905.826.652,833.36456.36155,354.991,407.620.00521.210.00
2020-06-303,935.19378.05253.30623.3316,681.711,439.920.0083.110.00
2020-03-313,991.81275.20434.81660.855,207.582,093.030.0048.040.00
2019-12-31339.680.0078.47255.3578.870.000.002.340.00
2019-09-30433.7813.40124.27293.6279.010.000.003.100.00
2019-06-301,067.590.00573.61537.4978.580.000.007.490.00
2019-03-311,258.020.0036.071,059.8878.87200.020.009.980.00
2018-12-311,649.110.0035.24817.69102.841,015.190.0032.490.00
2018-09-301,895.620.00311.89383.49892.641,106.290.0025.010.00