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基金业绩

基金费率

投资组合

基金概况

财务数据

中海瑞利六个月定期开放债券(000316)

2021-03-16     0.84160.0000%
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
2021-03-16526.810.00530.640.000.000.000.001.950.00
2020-12-31599.550.00409.1091.270.00100.830.0034.980.00
2020-09-309,654.090.002,958.881,830.200.003,873.300.00165.060.00
2020-06-309,613.930.00522.180.000.008,941.910.00218.170.00
2020-03-3155,342.120.00266.610.0020,117.0033,438.410.001,142.700.00
2019-12-3159,940.380.00486.070.0020,072.0018,024.770.00573.240.00
2019-10-231,657.010.001,668.000.000.000.000.0030.060.00
2019-09-302,020.390.001,698.550.000.000.000.0098.310.00
2019-06-302,456.350.0055.640.001,000.002,000.800.0054.220.00
2019-03-312,450.360.0026.610.00999.302,245.220.0085.420.00
2018-12-313,601.370.0067.680.004,497.752,973.580.00117.430.00
2018-09-303,584.260.00231.310.002,994.302,981.430.0079.670.00
2018-06-305,414.230.0045.940.0016,989.852,121.430.00121.200.00
2018-03-315,366.260.00323.030.0019,118.401,098.020.00158.290.00
2017-12-3115,231.040.00921.450.0069,435.650.000.005,670.290.00
2017-09-30179,604.480.0027,187.172,493.98538,740.3510,003.500.003,575.470.00
2017-06-30178,820.540.0029,411.633,148.82964,462.8210,017.500.004,089.580.00
2017-03-31544,956.030.00266,187.144,225.662,422,027.7716,035.703,826.407,519.470.00
2016-12-31544,337.760.0062,444.133,957.024,580,996.3016,045.903,924.0013,268.650.00
2016-09-30806,169.110.0030,906.627,543.536,380,244.4055,138.000.0021,033.390.00
2016-06-30783,892.120.0034,441.549,051.823,842,015.8819,982.600.0011,024.300.00
2016-03-31238,412.190.0014,066.9511,482.263,368,920.340.000.004,650.810.00
2015-12-31234,333.870.007,542.888,898.811,974,861.906,040.800.0085,245.520.00
2015-09-3064,528.970.002,000.172,312.711,040,947.653,012.600.003,117.830.00
2015-06-3062,927.520.002,808.991,305.611,114,347.903,018.300.002,592.010.00