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基金业绩

基金费率

投资组合

基金概况

财务数据

汇安短债债券C(006520)

2024-11-22     1.06630.0000%
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
2024-09-307,623.610.001,305.420.000.005,118.930.0012.760.00
2024-06-308,332.760.00118.410.000.007,135.550.00103.160.00
2024-03-318,995.740.00137.930.000.009,176.570.0012.910.00
2023-12-319,343.380.00229.190.000.008,139.910.008.190.00
2023-09-3011,256.780.0096.250.000.004,079.930.002.300.00
2023-06-3011,645.860.00117.760.000.005,104.920.003.560.00
2023-03-3112,518.020.00107.700.000.007,986.070.0011.140.00
2022-12-3113,310.650.00100.460.000.007,951.240.006.240.00
2022-09-3019,016.090.00113.480.000.004,046.950.0014.860.00
2022-06-3023,598.880.00144.170.000.008,097.700.00104.390.00
2022-03-3128,704.700.00175.650.0010,272.754,071.160.00259.690.00
2021-12-3126,386.760.00315.540.0010,017.002,999.700.00458.000.00
2021-09-3027,920.610.0060.460.0020,025.002,003.800.00525.230.00
2021-06-3019,261.450.001,801.990.0010,006.001,010.100.00584.960.00
2021-03-3119,708.040.002,038.060.000.000.000.00501.080.00
2020-12-3133,492.760.00137.510.0023,292.973,012.600.00618.200.00
2020-09-3054,750.440.00603.530.0023,393.075,041.600.00818.850.00
2020-06-3075,340.760.001,126.120.000.005,052.000.001,439.210.00
2020-03-3198,404.480.00253.570.0017,493.7611,326.900.002,610.090.00
2019-12-3195,148.290.00219.170.0017,405.3411,318.500.003,275.230.00
2019-09-3018,420.210.00216.730.0010,060.001,315.600.00349.330.00
2019-06-3022,031.770.00287.890.0030,108.002,206.420.00553.380.00
2019-03-3130,380.380.0069.630.0030,166.002,011.400.00681.530.00
2018-12-3157,017.450.000.000.000.000.000.000.000.00