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基金业绩

基金费率

投资组合

基金概况

财务数据

诺安增利债券A(320008)

2024-11-20     1.60700.1870%
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
2024-09-302,525.91201.541,137.450.0018,405.620.000.0047.760.00
2024-06-302,527.20328.52581.90110.2818,013.22163.910.003.120.00
2024-03-311,999.53219.471,251.90568.220.000.000.0084.140.00
2023-12-312,044.16114.34161.922,158.640.000.000.005.790.00
2023-09-302,711.7689.68282.022,728.062,061.590.000.0021.090.00
2023-06-303,385.630.00131.632,781.562,053.89248.910.004.210.00
2023-03-314,837.680.002,412.652,532.572,040.980.000.00338.670.00
2022-12-312,927.120.00290.102,791.254,611.740.000.0011.300.00
2022-09-303,081.180.00299.072,714.604,681.010.000.0026.810.00
2022-06-303,560.880.00611.062,412.434,655.500.000.0034.300.00
2022-03-313,225.25591.7896.511,521.3011,707.49187.000.0061.970.00
2021-12-313,347.97554.74289.24269.9925,442.580.000.0084.230.00
2021-09-303,947.28772.53336.24670.2628,593.520.000.00107.120.00
2021-06-304,700.65840.47457.37766.6629,740.860.000.0069.760.00
2021-03-314,348.00800.37408.234,022.623,831.960.000.0034.320.00
2020-12-315,262.22517.29443.945,185.323,818.9251.320.0048.350.00
2020-09-305,363.53610.52365.344,072.491,003.40203.800.00364.370.00
2020-06-303,301.29366.03101.562,751.650.00190.390.00194.300.00
2020-03-313,936.30429.83238.283,123.870.00191.530.0023.510.00
2019-12-312,749.37355.30157.631,780.010.00453.820.00241.630.00
2019-09-302,286.37240.02296.571,202.440.00535.850.0013.330.00
2019-06-302,379.32266.53289.711,236.460.00597.590.0080.580.00
2019-03-312,572.35250.85527.901,661.50836.22168.860.0018.770.00
2018-12-317,003.63189.70386.291,996.031,427.61733.960.00118.410.00
2018-09-307,130.570.00589.251,797.531,405.10729.250.00419.830.00