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基金业绩

基金费率

投资组合

基金概况

财务数据

国联安增顺债券C(008881)

2024-12-02     1.09140.1376%
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
2024-09-30110,800.080.0010,544.830.000.0010,430.549,279.200.770.00
2024-06-30111,088.710.005,209.410.000.0013,399.059,316.050.120.00
2024-03-3110,557.160.00218.060.000.0010,211.690.0040.230.00
2023-12-3110,468.780.001,133.150.000.009,257.210.000.110.00
2023-09-3010,417.840.001,194.200.000.009,239.650.000.250.00
2023-06-3010,390.530.001,214.810.000.009,193.010.000.810.00
2023-03-3110,280.590.00921.380.000.009,122.230.000.090.00
2022-12-3120,537.240.00826.670.000.0019,634.690.00100.120.00
2022-09-3020,541.370.00428.260.000.0023,739.730.000.680.00
2022-06-3020,351.080.00429.470.000.0025,930.770.000.760.00
2022-03-3120,666.930.00595.330.000.0019,504.350.0030.390.00
2021-12-3120,593.060.00966.590.000.0019,329.600.00307.550.00
2021-09-301,690.760.00466.150.007,767.17307.740.0019.890.00
2021-06-302,970.840.001,212.360.0013,237.400.000.0051.140.00
2021-03-313,230.940.001,599.350.0010,815.660.000.0077.880.00
2020-12-314,275.490.00996.700.0010,404.961,456.720.0072.130.00