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基金费率

投资组合

基金概况

财务数据

中欧聚瑞债券A(005419)

2024-12-02     1.12070.1430%
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
2024-09-30295,712.820.0011,970.640.00997,034.49160,506.820.00158.390.00
2024-06-30293,304.110.0019,429.500.001,149,486.04171,909.800.0052.310.00
2024-03-31290,420.640.0015,529.500.001,261,088.95151,703.220.006.940.00
2023-12-31296,142.260.0014,074.340.001,338,032.20145,985.810.00196.520.00
2023-09-30194,164.690.001,659.860.00548,628.47114,677.080.002.710.00
2023-06-30193,607.940.00680.380.00415,888.39137,674.660.002.900.00
2023-03-31302,129.300.00563.390.00193,067.93235,009.020.009.980.00
2022-12-3163,063.140.002,207.010.00232,975.7226,344.160.001.280.00
2022-09-3088,009.210.003,664.240.00369,713.2845,016.140.00247.510.00
2022-06-3073,345.560.00892.85649.72223,955.3158,233.710.001.020.00
2022-03-31115,391.610.0097.310.00181,949.94107,011.160.000.900.00
2021-12-31147,718.390.00601.610.00179,576.00101,948.750.001,791.070.00
2021-09-30154,739.460.00238.780.00128,724.00161,471.380.002,414.850.00
2021-06-30114,763.540.008,958.640.00383,692.0092,972.600.002,327.640.00
2021-03-31102,498.870.007,765.490.00100,634.38104,838.800.00971.680.00
2020-12-31113,767.460.001,670.860.005,967.4884,455.000.001,389.850.00
2020-09-305,020.690.0074.040.0042,858.16994.700.0072.480.00
2020-06-305,150.230.00923.910.0043,263.67253.310.0054.400.00
2020-03-3116.830.000.130.000.0016.400.000.310.00
2019-12-3118.540.0018.160.000.000.000.000.400.00
2019-09-3018.580.0018.300.000.000.000.000.290.00
2019-06-3018.520.0018.340.000.000.000.000.190.00
2019-03-3118.530.000.910.000.0017.000.000.630.00
2018-12-3118.530.0018.540.000.000.000.000.000.00