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基金业绩

基金费率

投资组合

基金概况

财务数据

富国纯债债券发起式C(100068)

2024-12-02     1.11770.1793%
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
2024-09-301,263,586.790.0052,402.450.001,121,689.55928,807.050.003,888.130.00
2024-06-301,274,009.450.0012,738.650.001,073,943.57852,959.760.00419.010.00
2024-03-31875,125.620.0036,489.200.001,036,909.55609,025.490.0030,522.110.00
2023-12-31442,907.160.0019,120.460.00927,437.17297,971.040.0017,035.900.00
2023-09-30386,708.320.005,611.610.001,029,736.97228,753.520.003,446.850.00
2023-06-30486,018.750.007,250.890.001,223,370.08283,416.660.008,163.600.00
2023-03-31384,349.680.005,587.990.001,221,084.69163,846.480.001,433.890.00
2022-12-31349,285.740.003,693.510.001,274,681.96142,531.760.00766.830.00
2022-09-30540,876.700.0018,033.790.001,398,165.16253,207.970.00570.550.00
2022-06-30431,419.490.0015,559.610.001,526,090.89137,876.290.001,695.760.00
2022-03-31283,161.330.004,480.350.001,050,664.44114,792.560.002,257.330.00
2021-12-31241,746.080.003,236.190.00965,853.39100,139.970.004,104.130.00
2021-09-30165,746.320.003,908.020.00782,908.6053,271.820.003,817.690.00
2021-06-30103,636.060.003,769.470.00440,309.4027,622.900.002,776.590.00
2021-03-3168,682.680.008,005.090.00406,653.2311,004.900.001,717.060.00
2020-12-3153,524.230.001,605.070.00314,634.069,974.100.004,106.690.00
2020-09-3048,182.590.00696.720.00305,367.926,622.690.002,099.050.00
2020-06-3059,644.220.00962.160.00433,654.969,913.220.002,346.630.00
2020-03-3152,744.020.006,706.660.00387,659.376,649.450.001,732.620.00
2019-12-3145,519.590.00449.520.00342,403.738,687.680.003,251.100.00
2019-09-3045,684.970.00418.060.00313,706.7013,642.540.002,073.140.00
2019-06-3024,195.170.00171.710.00177,532.618,454.890.00651.980.00
2019-03-3128,833.260.002,907.540.00183,813.759,152.260.00623.180.00
2018-12-3125,349.350.0016,912.340.0039,171.278,117.540.00520.090.00
2018-09-305,428.580.00229.500.0029,474.964,011.270.00152.900.00