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基金业绩

基金费率

投资组合

基金概况

财务数据

金鹰年年邮享一年持有债券A(013263)

2024-11-22     1.0610-0.4036%
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
2024-09-3031,665.612,424.843,551.150.009,801.4814,520.850.00220.780.00
2024-06-3022,872.371,212.052,084.840.000.0011,051.470.00423.490.00
2024-03-3110,484.94421.4337.390.000.008,899.600.00190.900.00
2023-12-318,984.40186.063,479.980.000.007,910.980.001.830.00
2023-09-3013,102.231,328.43336.900.000.0015,472.060.00593.690.00
2023-06-3017,094.361,731.42291.810.005,156.5816,488.100.00322.930.00
2023-03-3124,337.372,792.172,750.190.00101,924.0513,384.580.005.830.00
2022-12-3134,535.153,449.4811,603.460.000.0029,372.640.00520.090.00
2022-09-3074,749.784,552.8418,198.300.000.0055,221.310.00115.860.00
2022-06-3075,079.347,146.782,382.870.0040,846.3658,782.430.001,006.130.00
2022-03-3172,404.514,725.611,326.670.0040,515.1545,524.040.0021.750.00