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

招商添浩纯债A(008731)

2025-05-30     1.08600.0922%
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
2025-03-31411,600.700.0051,703.530.000.00287,982.645,046.380.110.00
2024-12-31413,907.670.008,644.760.00133,043.20311,895.290.002.090.00
2024-09-30405,510.330.008,065.350.00132,394.16337,686.590.003.240.00
2024-06-30403,285.160.00106.930.000.00369,074.050.002.860.00
2024-03-31153,508.360.001,175.700.00336,775.09101,468.160.000.600.00
2023-12-31159,236.670.001,339.720.00334,949.2460,214.0041,061.0910.520.00
2023-09-30159,575.230.001,301.660.00345,846.5950,903.5232,030.3019.180.00
2023-06-30159,162.320.001,737.610.00345,979.6162,192.1230,176.620.950.00
2023-03-31157,392.760.001,902.870.00347,665.4057,828.0129,757.491.030.00
2022-12-31155,685.420.001,483.520.00345,516.3760,947.2421,095.712.110.00
2022-09-30158,092.730.004,909.920.00420,921.5051,034.6917,794.0543.800.00
2022-06-30154,254.760.00588.430.00502,101.8449,739.8042,514.3128.550.00
2022-03-31151,576.940.001,400.960.00545,272.1237,628.4739,107.1835.390.00
2021-12-31150,312.010.001,176.340.00394,281.1849,191.0239,355.202,060.990.00
2021-09-30117.090.00116.930.000.000.000.003.580.00
2021-06-30116.970.00122.070.000.004.310.003.350.00
2021-03-3195.170.00121.060.000.009.750.001.900.00
2020-12-3150.970.0055.770.000.000.000.000.250.00