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

南方润元纯债债券A/B(202108)

2024-11-20     1.23890.0000%
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
2024-09-30539,537.920.0064,673.950.00282,361.65486,277.290.002,185.060.00
2024-06-30574,207.100.0015,549.240.00183,337.11307,573.000.001,470.030.00
2024-03-31656,092.810.0041,766.020.00266,191.21361,966.020.0010,295.170.00
2023-12-31514,218.550.0083.670.00254,034.38331,636.590.0012,333.960.00
2023-09-30481,728.100.00466.690.00232,563.57464,723.770.0042.750.00
2023-06-30243,764.710.008,076.930.00256,126.78182,827.870.0066.690.00
2023-03-31266,688.670.001,610.880.00224,568.19216,333.210.001,405.290.00
2022-12-31229,657.430.0095.750.00262,283.81175,586.000.0039.000.00
2022-09-30212,966.030.00893.790.00209,301.15146,351.060.00119.160.00
2022-06-30205,314.550.001,645.130.00219,319.51138,509.670.00339.250.00
2022-03-31228,412.850.00448.430.00230,044.55172,992.040.00474.210.00
2021-12-31220,018.180.0013,183.410.00229,230.22131,914.900.004,049.740.00
2021-09-30193,463.050.0012,156.320.00229,027.93115,182.800.002,922.490.00
2021-06-3093,468.390.00871.470.00104,344.8849,147.500.001,192.930.00
2021-03-3133,686.060.004,644.800.0070,001.1111,977.600.001,923.030.00
2020-12-3123,421.300.004,766.890.0087,673.966,039.400.00814.170.00
2020-09-3025,952.680.00486.730.0073,513.7313,445.250.00494.990.00
2020-06-3026,820.790.00834.510.0090,945.868,522.440.001,052.120.00
2020-03-3139,731.050.001,022.000.00100,020.3214,763.140.001,207.430.00
2019-12-3137,157.750.001,020.860.00128,327.5011,150.570.001,645.900.00
2019-09-3044,325.740.001,152.280.00165,192.7310,644.190.001,629.140.00
2019-06-3037,987.410.00316.020.00160,657.7210,127.010.001,237.620.00
2019-03-3139,245.610.00170.990.00143,069.015,832.250.001,002.180.00
2018-12-3123,893.910.00295.910.0074,754.456,284.520.001,307.800.00
2018-09-3021,339.890.00260.010.00111,977.545,443.810.00452.200.00