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基金费率

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基金概况

财务数据

华宝宝丰高等级债券A(006300)

2024-11-20     1.05120.0095%
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
2024-09-3023,168.800.00216.370.000.001,541.830.000.650.00
2024-06-3023,103.820.00116.930.000.002,047.330.000.150.00
2024-03-3123,088.690.00391.040.000.001,015.510.0027.770.00
2023-12-3123,331.180.0092.550.0010,262.032,023.930.001.410.00
2023-09-3022,174.670.00121.680.0010,196.542,011.830.002.010.00
2023-06-3022,296.880.0087.370.0010,562.886,099.610.000.280.00
2023-03-3141,471.690.00134.970.000.0032,766.100.000.010.00
2022-12-315,172.500.00103.550.000.006,189.850.003.150.00
2022-09-3051,311.120.00104.830.000.0044,229.350.0011.970.00
2022-06-3065,809.040.0053.640.000.0064,943.450.006.550.00
2022-03-3194,841.530.00122.250.000.0094,977.730.000.240.00
2021-12-3192,806.990.005,564.250.000.0085,818.780.001,508.100.00
2021-09-30137,076.580.002,159.290.000.00142,546.530.002,495.780.00
2021-06-30153,214.470.00315.550.000.00150,471.540.002,518.840.00
2021-03-31254,771.940.00239.760.000.00225,680.640.003,861.530.00
2020-12-31293,709.910.00838.310.000.00248,476.030.006,484.670.00
2020-09-30302,861.500.001,295.150.000.00350,449.980.006,165.320.00
2020-06-30384,266.390.00525.490.000.00361,904.810.009,697.420.00
2020-03-31429,626.620.00186.660.000.00442,342.140.008,213.290.00
2019-12-31424,804.880.00130.670.000.00429,338.300.0010,216.990.00
2019-09-30365,538.720.00173.900.000.00437,710.500.007,600.980.00
2019-06-30425,585.930.00329.920.000.00476,741.400.008,012.500.00
2019-03-31444,541.770.0016,655.960.000.00493,793.200.009,882.620.00
2018-12-31500,380.940.001,157.680.000.00466,288.500.0010,689.000.00