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招商添盈纯债C(006384)

2024-11-20     1.22870.0081%
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
2024-09-30132,166.850.0013,493.270.00164,260.1246,745.310.00607.520.00
2024-06-30147,435.310.0012,148.650.00196,580.2441,306.300.001,449.590.00
2024-03-31136,114.360.009,431.670.00194,596.1644,424.900.00242.720.00
2023-12-31134,342.450.007,622.060.00233,920.9821,488.2525,629.701,524.250.00
2023-09-30147,923.020.00996.890.00212,576.5830,991.3823,595.89253.240.00
2023-06-30128,040.750.006,309.970.00173,235.1335,232.7323,805.41482.120.00
2023-03-3191,531.240.00918.080.00182,244.1610,205.5523,358.4562.400.00
2022-12-3199,088.300.001,037.770.00161,399.1111,119.5121,945.03128.170.00
2022-09-30114,121.990.004,054.240.00142,628.2714,411.9313,424.72423.300.00
2022-06-3066,884.570.001,162.290.00112,302.346,082.3511,250.9930.800.00
2022-03-3159,454.120.00406.360.0091,323.914,068.878,181.60232.720.00
2021-12-3161,651.360.00738.070.0060,569.005,019.206,123.401,343.800.00
2021-09-3047,485.040.00265.520.0050,201.003,002.904,012.40781.460.00
2021-06-3036,259.720.001,229.820.0040,028.002,007.400.00485.330.00
2021-03-3130,371.950.001,114.050.0030,007.106,032.700.001,209.590.00
2020-12-3128,642.410.001,643.270.0068,408.914,972.800.00871.350.00
2020-09-3048,132.450.001,913.330.00108,491.302,002.200.001,001.110.00
2020-06-30127,528.230.008,775.200.00368,803.001,000.900.002,125.770.00
2020-03-31114,328.760.006,931.470.00304,104.460.000.001,901.770.00
2019-12-31107,591.810.00594.180.00300,222.0010,031.200.003,800.540.00
2019-09-30121,064.790.001,623.330.00272,289.0012,010.600.003,669.030.00
2019-06-30127,010.120.00919.210.00252,553.0025,004.200.002,839.770.00
2019-03-31178,196.980.003,151.730.00213,049.0010,138.500.002,262.910.00