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万家鑫悦纯债C(006173)

2024-11-22     1.02540.1758%
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
2024-09-3066,535.530.0025,352.920.000.0060,450.180.000.000.00
2024-06-30112,156.670.0025,142.030.000.0089,130.660.005.010.00
2024-03-31143,408.190.0030,914.180.000.00143,352.190.003.440.00
2023-12-31231,600.960.00121.310.000.00230,551.460.000.880.00
2023-09-30380,796.690.0050,127.910.000.00392,727.640.001.410.00
2023-06-30343,979.120.0079.330.000.00331,175.660.0088.370.00
2023-03-31589,919.100.0016.980.000.00547,995.750.000.210.00
2022-12-31966,793.340.00131.060.000.00972,868.760.0010.830.00
2022-09-301,397,223.590.0042,081.140.000.001,568,863.800.002.800.00
2022-06-301,325,189.360.00409.990.000.001,418,074.820.005.740.00
2022-03-311,262,289.070.00498.370.000.001,403,299.950.002.820.00
2021-12-31924,179.150.00280.680.000.001,011,405.500.0020,120.300.00
2021-09-30542,388.560.00197.660.000.00528,926.300.007,208.390.00
2021-06-30177,056.670.00568.050.000.00188,699.100.002,439.320.00
2021-03-31124,016.560.00185.420.000.00151,994.200.002,143.470.00
2020-12-31243,300.180.00120.610.000.00261,351.600.004,169.040.00
2020-09-30289,012.530.00190.150.000.00251,997.700.002,878.620.00
2020-06-30360,134.900.00158.080.000.00345,374.700.005,107.900.00
2020-03-31281,856.600.00210.320.000.00354,280.000.006,270.180.00
2019-12-31204,110.770.00594.940.000.00231,537.650.004,072.440.00
2019-09-30172,605.060.00619.780.000.00149,927.000.002,044.950.00
2019-06-30211,785.130.00197.620.000.00221,805.500.004,460.970.00
2019-03-31180,641.120.00644.870.000.00176,907.600.003,162.790.00
2018-12-31180,644.660.00944.890.000.00175,970.400.003,788.990.00