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

招商添裕纯债A(006489)

2024-12-03     1.1904-0.0084%
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
2024-09-30581,062.540.009,474.340.00152,430.42522,398.670.002.270.00
2024-06-30580,105.590.009,240.840.00123,364.12581,868.000.0029.290.00
2024-03-31573,271.390.0014,351.910.0031,318.52596,416.310.001.770.00
2023-12-31565,869.060.002,496.300.0061,640.48576,313.8129,983.561.900.00
2023-09-30559,752.560.001,336.970.0061,016.60571,296.7717,581.831.100.00
2023-06-30557,601.060.00475.080.0050,036.59575,395.292,044.880.110.00
2023-03-31549,286.130.00528.890.000.00532,733.300.000.090.00
2022-12-31540,854.940.00497.630.000.00514,143.0312,073.830.080.00
2022-09-30548,386.670.007,577.930.0020,250.65443,082.4432,000.580.070.00
2022-06-30539,678.360.003,264.390.000.00446,479.5420,516.8224,269.430.00
2022-03-31533,858.780.001,976.810.000.00495,303.308,290.880.000.00
2021-12-31531,208.510.00873.150.000.00522,663.702,026.006,277.140.00
2021-09-30519,127.260.001,518.940.000.00504,087.100.009,230.390.00
2021-06-30514,561.500.00493.450.000.00483,715.002,101.7011,183.640.00
2021-03-31505,216.910.0018,155.800.000.00454,054.4010,053.508,134.560.00
2020-12-315,129.330.00103.700.000.005,008.500.0037.380.00
2020-09-3042,147.760.002,321.570.000.0039,279.000.00578.590.00
2020-06-30110,585.750.001,574.330.000.0096,702.900.001,686.320.00
2020-03-31135,772.240.003,861.250.000.00111,162.100.001,988.640.00
2019-12-31133,227.860.005,080.320.000.00113,557.900.002,828.110.00
2019-09-30101,832.460.001,269.050.000.0092,259.100.001,725.130.00
2019-06-30110,855.870.0014,940.000.000.0094,294.700.001,656.790.00