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基金业绩

基金费率

投资组合

基金概况

财务数据

财通兴利12月定开债券发起(008678)

2024-11-29     1.16490.2323%
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
2024-09-3095,137.320.00976.940.00631,088.5217,780.620.000.470.00
2024-06-3094,916.020.00598.900.00707,418.0618,010.540.000.450.00
2024-03-3192,876.880.00248.190.00753,740.0219,981.380.000.470.00
2023-12-3190,421.170.00416.480.00764,637.848,352.750.000.250.00
2023-09-3088,442.120.0087.410.00575,808.948,397.210.000.810.00
2023-06-3090,792.210.00269.000.00591,660.1412,526.250.000.810.00
2023-03-3188,881.190.004,084.460.00504,109.9412,278.840.000.130.00
2022-12-3187,278.720.008,976.730.00282,550.3553,429.370.000.000.00
2022-09-3087,616.230.005,027.220.00342,541.6736,813.420.000.000.00
2022-06-3086,804.620.005,016.740.00302,347.5738,421.690.000.320.00
2022-03-3185,898.290.0016,954.350.00307,208.6723,971.750.000.800.00
2021-12-3185,164.820.0014,710.150.00256,878.4023,450.000.001,256.040.00
2021-09-3084,237.880.0025,782.650.00176,533.5013,179.300.001,089.540.00
2021-06-3082,519.090.0030,841.430.00216,083.1033,023.700.002,019.410.00
2021-03-3181,013.150.0028,469.240.00249,307.2032,644.500.001,906.230.00
2020-12-3179,866.560.0028,279.830.00293,625.9032,503.300.001,786.390.00
2020-09-3078,944.710.0024,523.650.00301,414.0026,378.500.001,081.190.00
2020-06-3080,470.330.0021,144.950.00196,522.0037,422.100.002,041.450.00
2020-03-3181,680.120.0020,105.570.0054,455.000.000.00494.200.00