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基金费率

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基金概况

财务数据

东方臻善纯债债券C(012612)

2024-12-02     1.01830.0885%
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
2024-09-30201,517.010.00399.880.00216,594.07143,117.710.002.110.00
2024-06-30313,370.950.001,143.820.00319,036.75154,892.990.001.920.00
2024-03-31311,288.130.001,853.220.00307,173.64118,770.060.0045.700.00
2023-12-31309,170.600.003,098.640.00407,652.5298,425.490.001.780.00
2023-09-30307,428.850.00125.550.00206,078.30121,629.200.006.000.00
2023-06-30305,903.450.00274.180.00224,822.88125,318.220.003.470.00
2023-03-31303,548.740.00151.560.00285,193.21105,692.420.002.650.00
2022-12-31342,283.900.00596.220.00152,177.8399,402.960.000.940.00
2022-09-30409,693.380.005,127.870.00417,849.26104,709.730.002.290.00
2022-06-30406,675.510.005,542.360.00624,503.2339,934.750.004.760.00
2022-03-31284,059.330.00145.170.00458,067.2316,310.890.001.690.00
2021-12-31282,903.340.00121.140.00202,240.0025,011.500.004,491.030.00