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基金费率

投资组合

基金概况

财务数据

长信纯债一年定开债券A(519973)

2024-11-15     1.06430.2071%
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
2024-09-30153,076.740.006,385.290.00584,023.8475,043.600.000.850.00
2024-06-30152,648.770.00875.970.00538,803.8174,618.540.000.740.00
2024-03-31143,608.940.001,468.830.00125,643.1538,831.360.0036,255.730.00
2023-12-3131,430.750.00604.980.00115,930.9117,078.660.000.510.00
2023-09-3031,060.140.00217.670.00118,495.1115,228.360.000.750.00
2023-06-3030,766.440.001,284.610.00135,923.104,048.730.000.270.00
2023-03-3130,230.250.00174.270.00121,482.322,993.630.000.170.00
2022-12-3132,375.200.002,790.500.0056,109.473,060.490.000.830.00
2022-09-3032,373.880.00132.550.0093,519.693,057.523,149.110.810.00
2022-06-3031,744.040.00234.680.00167,491.023,526.463,077.631.050.00
2022-03-3131,259.760.002,655.630.00167,437.941,982.753,037.790.250.00
2021-12-3126,105.240.002,130.350.00142,292.005,592.000.00570.140.00
2021-09-3025,847.420.002,222.110.00158,493.806,122.400.00610.490.00
2021-06-3025,400.190.00104.150.00168,022.303,018.600.00625.070.00
2021-03-3124,954.480.001,220.070.00183,646.291,006.400.00597.120.00
2020-12-3130,725.490.00226.300.00171,047.9210,091.900.00456.450.00
2020-09-3030,466.200.00517.220.00267,673.290.000.00970.930.00
2020-06-3030,271.860.00333.840.00299,272.520.000.001,060.910.00
2020-03-3130,260.100.00378.230.00341,918.930.000.001,710.320.00
2019-12-3139,605.380.00431.590.00382,204.051,910.490.00901.130.00
2019-09-3039,025.720.00496.390.00445,055.002,228.800.001,161.050.00
2019-06-3038,466.730.001,445.210.00416,014.250.000.001,239.680.00
2019-03-3138,192.340.002,561.800.00440,866.813,078.000.001,319.030.00
2018-12-3147,695.800.00500.550.00420,048.889,144.300.001,610.400.00
2018-09-3046,124.110.00620.340.00537,599.455,051.400.001,616.940.00