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基金费率

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基金概况

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宝盈增强收益债券C(213917)

2024-11-20     1.30150.0307%
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
2024-09-30260,845.8824,455.6128,660.120.000.0058,441.97119,138.2615,807.570.00
2024-06-30226,067.6620,594.0092,723.930.0035,846.4470,873.7846,823.57187.980.00
2024-03-31181,475.4920,084.4167,130.640.0056,586.6435,249.2666,809.47368.630.00
2023-12-31109,229.9919,790.4417,093.240.0056,167.5325,923.4279,015.89182.140.00
2023-09-30103,397.6910,070.436,750.960.00122,652.0024,799.0042,133.118,009.920.00
2023-06-3036,908.596,442.375,509.810.00126,488.7112,675.615,062.259.170.00
2023-03-3147,651.047,233.405,564.170.00156,817.2817,668.235,149.2313.300.00
2022-12-3150,821.428,753.666,827.800.00246,661.4322,325.612,050.271,627.700.00
2022-09-3061,424.2710,101.073,709.961,385.57245,008.5218,341.8711,444.987.880.00
2022-06-3071,969.2512,938.958,032.091,357.62232,769.2720,515.315,286.96705.500.00
2022-03-31106,357.5619,570.456,694.851,016.56261,643.8742,045.5114,700.81985.330.00
2021-12-3152,983.129,738.284,903.441,074.29200,314.0015,269.000.00640.520.00
2021-09-3038,846.884,202.815,477.020.00112,160.0015,188.500.00576.540.00
2021-06-3011,791.481,264.222,029.610.0060,177.000.000.00170.460.00
2021-03-3112,529.252,404.411,199.330.0059,929.000.000.00122.000.00
2020-12-3111,317.012,047.56758.240.0060,744.000.000.00132.370.00
2020-09-303,443.78639.482,810.200.000.000.000.00146.980.00
2020-06-303,237.69615.292,079.20515.971,170.840.000.00110.950.00
2020-03-313,530.27556.432,802.70427.800.000.000.00187.940.00
2019-12-314,060.80755.18852.240.000.003,002.100.00114.920.00
2019-09-304,406.11645.09659.24208.270.002,996.700.00167.780.00
2019-06-304,367.32519.093,810.910.003,937.50979.500.00350.630.00
2019-03-3110,028.721,379.661,067.011,605.313,967.506,290.630.00424.820.00
2018-12-3113,142.230.00741.68599.1133,719.402,062.600.00262.690.00
2018-09-309,799.281,197.231,585.11617.0727,705.300.000.00173.490.00