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基金费率

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基金概况

财务数据

兴业纯债6个月定开债券A(005988)

2024-11-20     1.04600.0000%
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
2024-09-30119,074.270.0015,174.870.000.0097,953.380.000.000.00
2024-06-30119,078.940.009,317.170.000.00119,115.150.000.000.00
2024-03-31118,411.540.0015,589.420.000.00109,174.330.000.000.00
2023-12-31145,080.650.0066,769.610.000.00113,970.140.003.100.00
2023-09-3098,302.100.0012,663.850.000.00103,691.550.000.000.00
2023-06-3097,994.980.00240.190.000.00111,800.150.000.000.00
2023-03-3196,502.310.00194.400.000.00102,639.930.0011,413.050.00
2022-12-31100,677.250.00140.440.000.00105,389.060.000.000.00
2022-09-3065,897.840.00111.820.000.0085,524.940.000.000.00
2022-06-3064,922.600.00458.520.000.0065,466.930.000.000.00
2022-03-3164,365.980.00475.230.000.0073,292.620.000.000.00
2021-12-3164,088.950.00582.910.000.0071,683.100.001,466.320.00
2021-09-3063,079.140.001,973.040.000.0056,472.540.001,013.980.00
2021-06-3062,274.530.00215.040.000.0074,638.200.001,539.520.00
2021-03-3161,486.600.00635.070.000.0076,092.440.001,669.430.00
2020-12-3162,437.430.003,569.460.000.0079,224.980.002,608.550.00
2020-09-3062,799.090.00472.990.000.0072,826.080.001,329.620.00
2020-06-3064,157.610.00788.500.000.0058,587.270.001,036.420.00
2020-03-3164,233.670.001,248.700.000.0071,259.010.004,683.060.00
2020-02-1863,337.620.003,773.670.000.0054,824.090.001,370.430.00
2019-12-3162,574.810.007,468.750.000.0063,339.010.002,208.370.00
2019-09-3061,959.680.0015,471.790.000.0069,380.250.001,500.790.00
2019-06-3076,643.100.0012,387.340.000.0060,633.260.001,221.440.00
2019-03-3178,788.740.0014,626.480.000.0095,344.775,037.304,529.670.00
2018-12-3178,045.780.0014,140.650.000.0085,027.214,999.102,649.850.00