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

工银7天理财债券A(485118)

2020-03-08     1.01710.0455%
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
2024-12-3193,754.640.00317.120.00171,551.1011,210.790.00197.390.00
2024-09-3090,782.820.00199.520.0094,602.365,038.200.000.850.00
2024-06-3091,610.120.00340.170.00232,802.517,132.480.00508.250.00
2024-03-31302,685.290.002,711.550.00239,907.3927,594.660.0015,824.790.00
2023-12-31122,404.910.002,185.540.00132,510.4920,398.180.004.070.00
2023-09-30133,098.370.00739.200.0091,314.3821,323.070.001.050.00
2023-06-30154,629.680.00822.570.0041,097.0820,256.670.0030,987.100.00
2023-03-31404,297.370.00226.000.0040,877.2924,274.550.0035,806.500.00
2022-12-31477,555.010.0010,353.490.0020,241.9920,403.780.00111,235.420.00
2022-09-30250,506.360.0011,082.360.00163,832.0817,973.020.002,046.230.00
2022-06-30454,185.540.003,363.140.000.00128,532.340.00101,678.270.00
2022-03-31403,126.570.005,420.090.0051,599.0223,418.020.0043,190.700.00
2021-12-31322,665.290.009,124.880.0050,274.0014,331.110.0022,536.020.00
2021-09-30193,042.530.002,852.380.000.009,206.140.005,519.270.00
2021-06-30168,157.430.00690.590.000.0010,024.400.0020,806.840.00
2021-03-31128,022.970.0020,314.560.000.007,022.500.001,785.980.00
2020-12-31136,451.440.00165.530.000.007,986.800.001,533.480.00
2020-09-30151,379.900.00281.950.000.007,960.000.001,897.670.00
2020-06-30159,661.420.00477.170.000.008,972.100.001,833.140.00
2020-03-31184,717.880.001,489.390.0080,608.0010,112.400.004,019.020.00
2020-03-08186,736.830.0030,465.000.00120,740.9410,022.670.003,050.270.00
2019-12-31662,284.970.0041,711.430.00121,355.0634,069.600.006,661.630.00
2019-09-30690,784.990.0020,655.400.00111,276.8540,048.570.007,435.090.00
2019-06-30790,755.500.0046,717.470.000.0035,141.220.0025,708.880.00
2019-03-31891,011.810.0098,216.670.000.0030,029.820.0011,394.480.00