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

新华鑫日享中短债债券B(007912)

2024-11-20     1.06400.0000%
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
2024-09-3042,032.540.00629.500.0020,448.153,034.630.003.710.00
2024-06-3064,768.430.00615.140.0020,353.715,097.860.0029.580.00
2024-03-3176,192.160.00698.050.0010,573.795,087.630.00149.250.00
2023-12-3191,309.640.00737.020.0010,498.4215,249.440.00344.680.00
2023-09-30100,677.980.003,006.550.0020,835.9222,266.940.00489.610.00
2023-06-30130,199.270.001,241.380.0041,361.1725,280.510.001,830.230.00
2023-03-31150,703.810.00720.260.0074,608.0027,468.490.001,921.400.00
2022-12-31127,356.410.005,832.600.00289,369.7915,226.980.00415.990.00
2022-09-30294,081.200.007,141.860.00436,158.3328,438.360.00740.310.00
2022-06-30510,179.830.0011,876.870.00528,863.9566,790.560.002,579.300.00
2022-03-31195,550.370.006,890.990.00260,944.9428,645.330.0010,061.240.00
2021-12-31171,885.050.0012,590.180.00170,388.0016,092.400.006,056.980.00
2021-09-3096,323.210.005,591.950.00127,068.805,010.000.002,663.020.00
2021-06-30130,622.050.004,465.210.0068,898.004,991.600.002,293.930.00
2021-03-3172,358.840.001,425.600.0085,601.009,068.300.001,514.930.00
2020-12-31173,228.620.0010,403.350.006,114.0014,074.500.002,253.170.00
2020-09-30106,793.490.001,488.880.0036,326.007,011.200.001,786.140.00
2020-06-30158,826.830.0010,221.140.0046,869.0029,968.000.002,848.800.00
2020-03-3162,526.390.001,055.760.0036,735.0011,161.400.002,090.840.00
2019-12-3137,602.030.001,162.920.0040,342.007,089.000.0013,785.150.00