行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

红土创新增强收益债券A(006061)

2025-01-27     1.32620.3177%
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
2024-12-31131,391.5925,018.638,443.6421,204.786,233.0949,516.420.002,000.430.00
2024-09-30130,624.4524,711.717,621.0240,788.9092,077.6430,696.756,236.421,237.770.00
2024-06-30134,878.1226,301.602,458.555,552.01106,912.5336,630.223,105.441,164.190.00
2024-03-31125,623.8825,051.912,562.5723,953.09102,824.7223,020.010.0045.820.00
2023-12-3189,580.3916,832.882,633.0823,950.8252,065.9828,719.630.00463.390.00
2023-09-30103,203.1316,465.292,237.4415,213.0393,969.1410,104.650.008,051.960.00
2023-06-3054,174.3910,767.02489.288,764.0243,081.973,036.660.0011.270.00
2023-03-3167,151.2413,425.20319.1214,303.15103,998.094,018.330.0021.920.00
2022-12-3173,502.4713,637.91815.3313,082.45123,368.777,087.330.0019.000.00
2022-09-30117,009.7822,800.236,496.8122,314.13134,570.7716,242.870.00142.040.00
2022-06-30113,769.6724,666.356,741.3026,568.13101,983.338,927.100.00158.460.00
2022-03-3177,175.9314,086.434,431.219,213.1110,123.02997.970.0026.690.00
2021-12-3122,041.754,444.431,369.002,451.5010,136.002,510.000.00222.390.00
2021-09-309,714.30986.09731.253,501.587,007.702,511.550.00143.310.00
2021-06-307,890.391,201.62559.803,833.200.000.000.0053.990.00
2021-03-318,405.501,089.17625.814,198.920.000.000.00163.900.00
2020-12-318,523.031,683.932,006.784,728.010.000.000.00182.180.00
2020-09-3017,407.203,400.66244.803,461.8020,068.00999.400.00233.440.00
2020-06-3027,463.835,200.08227.905,247.8440,404.001,401.120.00273.340.00
2020-03-3128,750.491,926.891,400.976,255.0460,744.00603.100.001,370.490.00
2019-12-3138,238.506,451.495,678.7710,372.0763,212.503,019.370.00394.820.00
2019-09-3059,949.160.0010,433.949,782.03333,394.802,751.600.00594.620.00
2019-06-3032,482.680.003,523.112,256.95137,782.500.000.00393.650.00
2019-03-3121,512.690.00375.301,469.38121,258.001,199.320.00423.890.00
2018-12-3120,966.250.0065.1682.0270,218.047,157.440.00284.290.00