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基金费率

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基金概况

财务数据

信达澳银稳定价值债券A(610003)

2021-12-14     1.03210.0097%
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
2021-09-3062,704.460.0013,351.3931,077.1560,210.003,071.400.002,459.990.00
2021-06-3059,644.080.005,837.5839,456.73100,264.007,157.800.002,004.540.00
2021-03-3159,187.610.006,203.0419,122.14141,233.0013,209.500.003,257.660.00
2020-12-3161,592.570.0010,080.990.0082,056.0011,227.500.004,420.960.00
2020-09-3061,162.680.004,133.480.0082,152.0017,105.600.004,216.580.00
2020-06-3061,573.100.00150.140.0098,820.0229,747.100.003,129.490.00
2020-03-3161,881.550.00166.050.0099,464.7229,623.000.003,052.020.00
2019-12-3160,918.270.0035.740.0099,205.0025,274.000.001,471.480.00
2019-09-3071,021.150.00161.270.0098,937.2037,325.200.001,188.690.00
2019-06-3088,158.500.003,944.600.0098,497.8339,459.110.001,629.040.00
2019-03-31911.620.00569.990.000.20235.420.00134.660.00
2018-12-3116,880.430.0058.420.003,304.6018,167.000.00480.090.00
2018-09-3029,941.670.005,033.720.0011,169.2720,804.480.00517.620.00
2018-06-3038,479.000.002,564.060.0011,093.6729,542.920.00523.830.00
2018-03-3128,803.560.002,479.650.0015,830.3519,376.080.00551.360.00
2017-12-3128,320.7814.052,502.662,400.5129,050.2319,190.600.00640.100.00
2017-09-3028,966.8714.248,634.14375.8732,857.8722,331.210.001,071.300.00
2017-06-3045,362.1415.252,443.6292.2913,388.8332,654.680.00965.680.00
2017-03-3148,726.4014.256,378.661,264.7915,553.2232,270.620.001,146.780.00
2016-12-31255,208.7414.42124,171.0966.4021,711.28963.800.0010,352.510.00
2016-09-307,510.3013.952,252.2866.9316,228.453,075.500.00507.010.00
2016-06-307,261.8514.383,557.0776.9322,861.291,031.500.00123.240.00
2016-03-317,502.8413.28287.32140.9562,952.64500.300.00197.360.00
2015-12-319,116.2428.18604.52228.6528,440.645,340.530.00407.060.00
2015-09-308,662.8921.9151.540.0026,490.265,701.420.00283.970.00