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基金业绩

基金费率

投资组合

基金概况

财务数据

国泰鑫享稳健6个月滚动持有债券A(011653)

2024-11-22     1.1074-0.3599%
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
2024-09-3020,560.562,608.304,078.96135.9623,999.988,847.380.0029.330.00
2024-06-3012,525.592,339.231,844.78413.1324,233.936,214.010.0048.830.00
2024-03-3112,010.052,216.66897.13554.1827,701.006,160.160.0039.540.00
2023-12-3111,593.091,552.66844.06600.3227,476.026,202.590.005.080.00
2023-09-305,140.01522.551,076.29255.5227,234.760.000.002.260.00
2023-06-305,231.73374.64322.47466.1741,074.900.000.0040.890.00
2023-03-316,650.50512.081,561.82444.9730,526.80361.010.0017.380.00
2022-12-312,635.64180.821,089.73460.980.00923.780.001.600.00
2022-09-305,725.62520.691,640.201,107.052,033.70716.080.0032.010.00
2022-06-305,800.89516.201,808.151,017.762,063.150.000.0050.130.00
2022-03-3110,969.92741.101,277.611,303.1551,269.940.000.002.680.00
2021-12-3111,305.79642.00930.38792.1460,179.500.000.00128.100.00
2021-09-3023,760.611,347.641,493.302,332.14175,643.500.000.00334.150.00