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光大保德信安瑞一年债券C(010601)

2025-01-14     1.12270.7719%
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
2024-09-3013,930.321,540.66179.922,350.41102,399.642,035.860.001,071.980.00
2024-06-3015,349.202,070.73172.772,919.85102,072.052,028.210.001.900.00
2024-03-3116,710.252,704.97360.433,017.54132,306.212,027.380.0074.980.00
2023-12-3118,309.693,628.72344.262,397.48132,299.525,124.340.0036.110.00
2023-09-3020,027.673,980.76273.042,125.72164,774.893,032.730.007.260.00
2023-06-3022,633.664,440.38365.922,451.95174,432.893,083.720.002.530.00
2023-03-3125,200.604,175.86423.37661.73214,320.223,061.810.007.010.00
2022-12-3131,754.236,140.82269.322,330.28276,604.946,116.620.0099.810.00
2022-09-3035,655.636,172.761,455.542,309.56327,175.265,055.680.0012.660.00
2022-06-3048,823.409,597.731,729.542,913.40387,845.896,102.030.00185.690.00
2022-03-3157,263.119,293.652,208.886,328.54391,460.476,059.840.00472.350.00
2021-12-31112,697.918,595.6017,341.67829.66618,597.006,012.100.009,098.160.00
2021-09-30224,110.7040,003.9315,339.7017,806.641,233,669.0025,103.200.003,828.780.00
2021-06-30222,023.8437,364.6117,095.0227,212.41250,758.000.000.002,964.690.00
2021-03-31217,382.3726,755.9716,349.8615,747.49249,842.001,000.101,004.502,064.650.00