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基金费率

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南方崇元纯债债券C(010354)

2024-11-20     1.16010.0259%
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
2024-09-30473,258.820.0046,671.250.00727,311.12475,918.460.00411.320.00
2024-06-30468,084.150.0033,613.500.00707,349.38448,442.590.001,231.860.00
2024-03-31367,864.060.009,111.410.00552,754.09419,713.180.00743.110.00
2023-12-31123,705.280.002,120.970.00265,284.1779,732.450.005,814.690.00
2023-09-3078,053.910.002,165.550.00254,615.2175,474.070.0029.960.00
2023-06-3073,864.090.001,470.970.00178,737.6568,708.050.001,358.370.00
2023-03-3156,582.130.001,084.490.00154,453.8841,747.720.00390.520.00
2022-12-3147,589.810.001,641.270.00177,846.0931,709.240.00171.860.00
2022-09-3051,647.320.004,567.940.00154,706.3520,683.780.001,241.130.00
2022-06-3033,330.810.003,639.280.00195,577.4415,427.670.001,671.410.00
2022-03-3132,647.500.003,427.450.00209,370.7813,565.070.00107.570.00
2021-12-3131,269.610.001,205.080.00162,209.8612,911.160.00650.590.00
2021-09-3021,497.320.002,956.560.00171,852.625,120.060.00453.930.00
2021-06-3024,420.050.002,875.400.00213,515.803,015.300.00430.910.00