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基金业绩

基金费率

投资组合

基金概况

财务数据

南方晖元6个月持有期债券C(011110)

2025-02-07     0.96240.1561%
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
2024-12-3113,338.26942.22783.74658.494,194.625,695.240.0022.110.00
2024-09-3013,698.641,181.31848.25300.6515,852.142,989.210.0035.080.00
2024-06-3011,788.47838.87652.83287.886,731.473,558.760.002.700.00
2024-03-3110,418.51719.39606.89287.387,243.625,219.050.0047.110.00
2023-12-3110,987.65872.47918.90741.267,180.235,168.760.005.920.00
2023-09-3011,283.031,424.031,215.08799.425,044.024,160.500.000.940.00
2023-06-3012,171.461,847.541,154.622,087.477,206.046,305.130.001.460.00
2023-03-3113,059.852,467.091,312.842,021.7518,384.405,252.820.001.840.00
2022-12-3113,462.342,017.192,475.162,078.5012,891.255,194.990.002.370.00
2022-09-3014,797.052,069.792,334.792,173.2023,437.155,252.680.0012.130.00
2022-06-3020,708.744,107.284,152.973,829.1534,588.386,192.830.00135.310.00
2022-03-3128,251.885,599.302,417.704,154.4557,444.468,499.090.00110.250.00
2021-12-3134,079.183,375.282,591.960.0058,144.2012,353.100.001,542.260.00
2021-09-3059,334.265,907.55502.120.00121,142.900.000.001,328.070.00