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财务数据

中银招利债券C(007753)

2024-12-02     1.07530.1677%
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
2024-09-30382,754.2129,459.6736,041.7711,484.651,291,967.70193,637.780.0018,077.080.00
2024-06-30351,519.0240,440.4624,527.9215,736.121,515,618.05156,850.365,264.6430.800.00
2024-03-31355,263.0642,985.7414,292.4333,001.081,812,168.19113,282.145,155.393,060.780.00
2023-12-31432,093.2240,008.2522,714.9728,678.991,962,726.39200,224.840.006,537.170.00
2023-09-30457,298.5939,135.554,764.8110,141.122,142,695.44266,717.440.0038.100.00
2023-06-30552,021.3739,576.034,459.022,446.052,122,914.28353,901.240.00294.520.00
2023-03-31578,612.7689,658.1428,677.816,255.731,984,459.62328,604.140.00650.870.00
2022-12-31587,517.5782,828.0119,971.067,008.421,828,305.76370,935.340.0024,580.740.00
2022-09-30589,480.5458,337.0219,681.66127.701,423,976.22443,299.960.0010,530.400.00
2022-06-30142,125.3420,860.052,198.641,942.88469,338.2470,463.260.004,667.030.00
2022-03-31116,830.199,552.735,120.821,655.27457,828.0817,791.3829,604.4814,207.030.00
2021-12-3170,203.096,300.501,531.46707.47352,800.0019,549.6015,206.301,648.070.00
2021-09-3039,729.472,481.671,613.921,814.79261,662.0011,259.202,991.00723.060.00
2021-06-3039,664.674,648.351,720.602,303.01281,177.009,200.700.00598.430.00
2021-03-3141,834.462,730.89581.184,976.90321,140.005,013.400.00746.380.00
2020-12-3149,937.107,105.299,674.587,632.00329,731.205,946.600.00497.650.00
2020-09-3064,455.869,033.25970.467,410.37378,368.5018,812.400.001,698.310.00
2020-06-30101,532.3914,236.941,638.548,985.53585,661.805,726.600.004,332.920.00
2020-03-31171,975.436,488.914,554.313,347.58846,744.1445,366.510.003,920.090.00
2019-12-31258,355.2531,123.452,740.1018,696.941,106,809.2647,665.990.003,412.820.00