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基金业绩

基金费率

投资组合

基金概况

财务数据

华夏鼎顺三个月定开债券C(005365)

     0.00000.0000%
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
2024-09-30726,722.360.0038,904.370.001,269,434.17562,968.120.004,057.710.00
2024-06-30725,528.260.0020,551.970.00925,288.62719,398.370.004.760.00
2024-03-31716,556.580.0065,779.950.0030,017.49567,557.840.000.000.00
2023-12-31372,816.500.0072,814.560.000.00433,369.050.000.000.00
2023-09-30399,593.510.0020,546.590.000.00379,207.930.000.000.00
2023-06-30429,136.310.00111,265.270.000.00421,031.150.000.000.00
2023-03-31426,113.190.00389.560.000.00516,311.690.000.060.00
2022-12-31485,359.730.001,458.760.000.00543,513.960.000.060.00
2022-09-30516,364.660.0037,216.170.000.00571,451.470.000.000.00
2022-06-30510,606.120.00276.950.000.00567,817.080.000.000.00
2022-03-31484,411.600.00270.070.000.00535,827.840.000.000.00
2021-12-31494,161.320.00277.750.000.00674,276.600.0010,571.380.00
2021-09-30566,346.410.002,240.230.000.00667,346.300.007,479.140.00
2021-06-30154,064.500.00457.820.000.00210,754.900.003,809.860.00
2021-03-311,750.660.001,788.260.000.000.000.001.690.00
2020-12-3181,368.890.0010,753.180.00313,179.0026,175.010.001,306.830.00
2020-09-3080,488.990.00590.430.00313,501.0010,221.000.001,297.570.00
2020-06-3081,025.600.0016,771.510.00316,103.0034,807.300.001,745.210.00
2020-03-3181,449.340.00599.430.00295,506.0029,776.800.001,804.570.00
2019-12-3179,951.510.00460.350.00313,057.0012,176.600.001,537.230.00
2019-09-3083,025.150.00878.270.00323,538.0012,169.900.001,390.690.00
2019-06-3082,003.660.004,856.320.00362,672.007,071.400.001,421.280.00
2019-03-3181,459.940.00319.630.00231,468.0032,292.280.003,178.650.00
2018-12-3131,131.190.00149.650.000.0025,731.260.00664.280.00