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财务数据

嘉实纯债债券C(070038)

2025-02-07     1.33070.0150%
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
2024-12-31655,918.530.0015,961.090.00705,971.64372,839.6137,277.625,157.010.00
2024-09-30822,165.460.0095,102.250.00878,181.56407,911.570.00194.960.00
2024-06-30991,629.280.00138,785.690.001,043,295.87396,323.710.005,934.630.00
2024-03-31945,589.830.00146,860.090.00784,514.28364,810.280.002,672.810.00
2023-12-31815,223.720.0090,463.240.00707,870.76232,793.570.00425.680.00
2023-09-30603,834.120.0021,400.830.00719,650.43173,566.080.002,269.190.00
2023-06-30593,397.270.0014,100.080.00686,561.58218,141.050.0015.780.00
2023-03-31334,522.010.002,411.860.00422,823.5884,955.960.0013.150.00
2022-12-31230,180.820.007,515.990.00321,024.3825,550.840.005.560.00
2022-09-30601,769.940.0023,315.390.00471,362.81199,615.760.00343.290.00
2022-06-30355,840.460.0018,233.770.00502,229.0149,209.970.005,467.580.00
2022-03-31189,480.080.0013,088.960.00465,069.9325,155.160.0018.860.00
2021-12-31205,324.050.0016,716.070.00401,529.4448,797.500.004,378.090.00
2021-09-30182,092.930.0018,031.660.00371,339.7141,722.100.003,278.770.00
2021-06-30191,072.320.002,264.020.00613,578.8146,288.000.003,681.800.00
2021-03-31200,593.750.0065,929.770.00767,619.5124,141.900.003,690.160.00
2020-12-31286,893.610.0014,564.970.001,498,096.5520,760.050.007,175.670.00
2020-09-30331,921.430.0022,561.100.001,480,621.0618,970.600.007,701.560.00
2020-06-30244,170.340.0012,461.950.001,276,226.2627,104.820.006,342.280.00
2020-03-31276,503.790.0012,377.050.001,175,931.3439,197.720.006,269.020.00
2019-12-31175,244.040.002,916.000.001,125,068.1013,187.900.007,717.210.00
2019-09-30227,986.680.005,897.540.00868,554.8080,368.830.004,192.550.00
2019-06-30206,600.940.009,737.400.00980,942.6272,186.820.004,581.730.00
2019-03-31286,599.700.003,377.150.001,124,534.05106,174.750.007,239.900.00
2018-12-31254,683.300.002,603.750.00844,565.78102,502.110.008,045.940.00