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基金费率

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创金合信鑫日享短债债券C(006825)

2024-12-10     1.21130.0248%
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
2024-09-301,053,285.790.008,522.680.00630,796.46649,899.950.005,727.800.00
2024-06-301,151,216.050.00449.330.00664,257.96719,157.880.009,609.280.00
2024-03-31953,378.350.00426.800.00865,562.28416,881.370.0011,692.070.00
2023-12-31696,838.370.004,301.340.00398,130.59282,381.410.004,139.930.00
2023-09-30591,829.070.00490.770.00530,360.59239,988.660.002,696.410.00
2023-06-30603,926.350.006,438.840.00924,384.41250,876.110.004,893.860.00
2023-03-31583,895.690.0029,093.340.00922,671.23133,466.660.001,927.370.00
2022-12-31481,355.700.0053,267.830.00837,916.746,245.620.002,139.360.00
2022-09-30953,564.570.00106,200.160.001,708,492.49126,118.820.002,166.250.00
2022-06-301,019,620.460.0068,150.591,351.061,611,386.5335,993.310.004,211.130.00
2022-03-31769,385.420.0040,482.190.00786,527.7113,492.100.005,753.060.00
2021-12-31445,107.880.0019,895.10483.00167,676.009,015.200.0010,622.390.00
2021-09-30176,176.580.004,070.770.00168,419.0014,988.000.009,704.420.00
2021-06-3014,055.890.001,576.334.7080,408.700.000.00530.100.00
2021-03-3115,054.760.001,380.5863.4178,202.390.000.00548.560.00
2020-12-3120,596.270.001,735.21112.3292,703.950.000.00459.410.00
2020-09-3029,300.510.002,906.6198.01139,688.970.000.00660.290.00
2020-06-3036,913.420.003,168.1394.96171,939.473,026.200.00911.510.00
2020-03-3146,637.540.00970.7199.85258,018.405,505.660.001,711.270.00
2019-12-3141,620.880.001,081.40114.35254,441.872,148.190.001,498.320.00
2019-09-3036,097.550.00893.8370.51247,506.822,006.000.00915.060.00
2019-06-3050,961.720.00937.7474.79287,866.382,999.100.001,155.170.00
2019-03-3161,517.970.001,244.1758.60254,071.283,204.720.005,949.410.00