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

招商安本增利债券A(014775)

2025-01-27     1.6545-0.1991%
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
2024-12-31219,486.8443,407.288,159.3661,832.01517,767.1337,551.230.0073.450.00
2024-09-30184,949.8743,757.457,421.4238,202.49492,054.4111,672.790.001,243.460.00
2024-06-30223,236.2539,126.151,536.2038,441.18789,342.7431,594.450.004,623.810.00
2024-03-31370,785.5774,187.911,821.6152,180.51972,538.6553,664.060.00855.540.00
2023-12-31610,648.47116,723.8932,886.4265,729.711,126,946.52107,315.8393,721.1322,691.320.00
2023-09-30869,917.59174,100.134,507.0362,112.35999,654.30271,926.3686,838.626,579.030.00
2023-06-30777,220.94108,683.2333,777.3232,330.11937,304.69280,866.8774,925.7056.520.00
2023-03-31629,567.4076,603.84765.3633,628.47586,637.81194,499.0995,144.3079.530.00
2022-12-31654,842.8483,233.062,247.5635,926.14495,956.97290,386.90107,746.18183.140.00
2022-09-30467,040.3791,730.391,900.0434,687.95538,870.75147,611.4197,721.9465.590.00
2022-06-30372,308.8573,232.372,401.1426,956.70575,461.68103,029.2751,859.843,881.310.00
2022-03-31423,673.2184,334.251,687.1416,142.16568,298.62107,047.1864,481.05413.510.00