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基金业绩

基金费率

投资组合

基金概况

财务数据

民生加银家盈6个月持有期债券C(009827)

2024-11-22     0.8004-0.2368%
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
2024-09-305,984.97737.413,492.08300.070.00999.520.0020.070.00
2024-06-306,330.841,188.643,209.30158.690.00500.440.000.730.00
2024-03-316,493.641,190.012,113.47275.700.000.000.000.890.00
2023-12-316,590.34782.901,771.01987.380.000.000.0041.410.00
2023-09-307,252.691,324.141,559.16870.480.000.000.004.000.00
2023-06-307,636.600.003,359.780.100.000.000.003.000.00
2023-03-318,504.571,650.945,378.551,933.300.000.000.00656.310.00
2022-12-319,000.611,788.066,839.451,694.270.00959.550.0049.070.00
2022-09-309,964.561,745.823,175.903,604.430.003,612.570.00653.410.00
2022-06-3011,558.792,280.582,745.325,135.8410,499.674,339.510.0043.560.00
2022-03-3111,181.741,581.285,405.921,163.8810,322.993,596.670.004.650.00
2021-12-3113,861.922,502.254,480.352,981.4629,612.002,001.400.00157.590.00
2021-09-3017,234.353,355.217,447.661,497.1051,390.412,001.200.00630.720.00
2021-06-3036,383.182,559.816,662.211,025.12215,536.810.000.001,498.350.00
2021-03-3157,576.796,877.837,308.464,216.90289,403.900.000.001,811.480.00
2020-12-31145,698.1114,493.5613,693.1510,455.53709,781.766,019.200.002,159.000.00