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基金业绩

基金费率

投资组合

基金概况

财务数据

前海联合永兴纯债C(007036)

2021-12-22     1.39640.0358%
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
2021-12-2264.560.0072.300.000.000.000.001.530.00
2021-09-3064.580.0072.740.000.000.000.001.110.00
2021-06-3064.230.00106.850.000.000.000.004.480.00
2021-03-31157,672.180.0065.650.000.00160,113.600.002,811.090.00
2020-12-31163,347.270.007,001.700.000.00163,181.400.003,349.190.00
2020-09-30160,912.970.007,049.800.000.00131,048.100.002,266.210.00
2020-06-30162,002.890.0093.430.000.00145,122.670.003,530.020.00
2020-03-31163,379.340.00153.610.000.00152,173.150.003,191.450.00
2019-12-31158,937.730.00205.010.000.00155,554.000.003,253.610.00
2019-09-30156,649.190.00129.230.000.00138,765.300.002,442.820.00
2019-06-30154,802.480.0061.100.000.00205,136.300.003,799.620.00
2019-03-31204,427.570.0025,109.750.000.00213,111.800.005,443.930.00