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

华安添鑫中短债C(007020)

2025-05-23     1.17170.0000%
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
2025-03-31343,399.070.009,428.960.00641,532.0558,231.700.002,440.620.00
2024-12-31337,222.700.005,260.060.00920,048.96106,654.180.00540.840.00
2024-09-30288,436.020.0013,746.750.00634,547.4081,182.170.001,570.660.00
2024-06-30422,873.960.006,614.990.001,064,422.7324,308.050.00339.990.00
2024-03-31311,260.580.00933.440.00892,909.81120,092.950.00517.440.00
2023-12-31461,223.090.0040,222.310.001,212,360.0655,718.550.003,896.320.00
2023-09-30312,827.830.00818.670.00922,281.0922,614.280.002,036.160.00
2023-06-30352,150.640.00930.850.00982,549.5861,876.030.002,879.220.00
2023-03-31274,302.290.00427.250.00460,467.9733,709.470.00804.410.00
2022-12-31362,244.010.0031,551.360.00282,367.1540,689.620.001,331.560.00
2022-09-30282,559.070.0016,581.190.00341,231.3531,706.110.002,751.180.00
2022-06-30327,217.480.0019,482.060.00746,329.0755,984.970.001,661.790.00
2022-03-31252,114.990.0015,692.260.00581,936.1232,264.270.003,358.840.00
2021-12-31450,157.370.0045,275.150.00692,343.0039,477.204,909.505,615.230.00
2021-09-30317,414.290.0010,435.510.00666,966.0032,262.900.006,081.210.00
2021-06-30427,875.100.003,896.320.00316,945.5042,004.100.005,787.370.00
2021-03-31597,209.490.00830.050.0030,296.0048,216.300.0012,471.720.00
2020-12-3161,116.610.00612.430.0030,316.003,008.500.002,795.390.00
2020-09-3052,180.390.00551.110.009,994.003,015.900.001,274.030.00
2020-06-3027,349.150.00109.720.0010,041.002,000.600.00392.540.00
2020-03-311,089.830.00522.420.000.00626.840.00223.260.00
2019-12-314,370.610.00705.440.000.005,228.620.00177.820.00
2019-09-30645.340.0066.920.000.00500.730.00121.960.00
2019-06-301,032.170.00444.590.000.00520.180.00109.470.00
2019-03-3111,956.090.0034.730.0010,801.921,866.640.00247.310.00