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基金业绩

基金费率

投资组合

基金概况

财务数据

东海祥苏短债A(008578)

2024-12-02     1.15300.0434%
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
2024-09-30399,614.840.00242.390.00184,326.25104,699.700.00750.710.00
2024-06-30452,588.660.00561.250.00331,381.83201,465.680.006,586.510.00
2024-03-31524,424.320.001,028.700.00486,563.08155,248.430.004,426.360.00
2023-12-31439,735.480.002,276.120.00530,553.0173,749.0151,140.806,823.060.00
2023-09-30240,424.230.00367.750.00181,971.8324,817.000.001,506.720.00
2023-06-30213,729.400.001,057.270.0085,371.5012,643.820.001,894.250.00
2023-03-31248,913.970.009,061.710.0059,382.176,008.550.002,195.530.00
2022-12-3169,119.140.009,236.810.0091,261.290.000.0050.230.00
2022-09-30110,090.760.002,840.090.00145,212.394,064.690.00172.030.00
2022-06-3050,128.770.002,904.640.0090,366.501,993.850.003,781.270.00
2022-03-315,211.850.001,228.350.0020,793.420.000.0040.160.00
2021-12-315,288.970.002,589.480.0020,175.970.000.00420.850.00
2021-09-30445.010.0070.840.004,320.670.000.0010.500.00
2021-06-30442.410.0035.550.003,573.469.020.007.520.00
2021-03-314,922.180.005,067.600.000.000.000.00153.750.00
2020-12-3121,269.480.009,286.450.0045,863.002,999.400.00399.980.00
2020-09-3023,306.320.001,572.800.0060,600.003,994.200.00341.040.00
2020-06-3029,932.860.002,774.750.00173,670.005,499.950.00796.240.00