行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

新华增怡债券E(013720)

2025-01-27     1.0740-0.5556%
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
2024-12-31134,073.6622,099.739,037.1165,525.91347,667.716,176.590.00191.430.00
2024-09-30123,397.8820,851.678,523.6068,029.24132,215.7214,973.390.0023.150.00
2024-06-30140,979.3317,215.3210,836.0944,689.17278,274.3523,659.51512.57863.750.00
2024-03-31162,187.4624,659.9911,729.9890,372.01101,803.714,094.741,008.934,386.270.00
2023-12-31367,957.5063,121.3335,502.5098,568.00540,044.4366,335.490.005,313.880.00
2023-09-30408,864.0555,623.9224,823.5261,614.64518,556.32131,143.040.003,708.960.00
2023-06-30405,991.5446,874.7226,187.94135,838.64456,507.1074,903.800.003,076.420.00
2023-03-31217,468.8233,691.7020,152.87113,415.79132,772.8429,650.990.00234.790.00
2022-12-31237,878.6329,490.5518,748.38108,921.57447,631.4555,181.460.001,965.470.00
2022-09-30276,909.2826,753.4223,455.8766,716.07666,329.3378,939.860.001,362.750.00
2022-06-30311,336.1647,144.2639,333.0263,434.67727,357.7490,703.600.0055.230.00
2022-03-31300,940.5826,644.5024,704.8230,437.651,570,218.1833,655.690.001,003.920.00
2021-12-31145,653.2514,829.9922,577.4927,528.42480,981.3821,078.400.001,197.020.00
2021-09-3022,600.391,752.708,428.885,436.6560,355.940.000.00192.880.00