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基金业绩

基金费率

投资组合

基金概况

财务数据

融通通源短融债B(001941)

2026-01-29     1.2148-0.0082%
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
2025-12-31395,515.210.0037,056.340.0058,060.0180,641.281,030.642,007.230.00
2025-09-3053,260.030.002,506.790.0042,925.8612,052.952,004.9819.160.00
2025-06-3045,507.970.002,385.550.0050,299.671,003.402,017.101,046.780.00
2025-03-3156,127.940.002,294.160.0038,624.822,044.280.0023.100.00
2024-12-31184,228.670.0030,543.840.0033,461.636,216.870.0038,310.460.00
2024-09-3011,355.710.00540.790.0036,088.851,018.530.00196.580.00
2024-06-3015,713.340.00414.970.0042,427.841,014.451,024.36580.540.00
2024-03-3114,931.830.00350.980.0028,296.451,021.241,072.85372.440.00
2023-12-31109,588.210.004,343.680.000.0020,262.530.006,793.290.00
2023-09-3011,577.480.001.160.006,258.971,013.950.00860.580.00
2023-06-3013,672.620.0025.030.0016,518.432,047.180.00453.780.00
2023-03-3127,751.910.00175.980.0039,746.382,034.922,027.27840.680.00
2022-12-3117,337.460.00443.870.0043,969.444,084.412,056.33293.310.00
2022-09-3017,253.840.001,195.180.0040,710.392,047.670.003.460.00
2022-06-3015,463.540.0073.630.0022,385.311,116.120.009.110.00
2022-03-3117,238.170.00152.710.006,919.301,821.900.00866.460.00
2021-12-3112,850.230.00140.320.0017,788.041,843.260.00208.420.00
2021-09-3011,575.730.0078.050.0010,018.00800.480.00202.740.00
2021-06-3060,786.380.0085.010.0010,067.009,007.500.001,615.500.00
2021-03-3151,785.330.001,129.790.006,090.009,034.000.00955.300.00
2020-12-3168,201.060.0065.670.006,151.0115,013.500.002,509.900.00
2020-09-3097,642.540.0096.640.0014,367.1110,032.300.001,752.580.00
2020-06-30145,488.290.00175.600.00128.4618,608.350.002,074.100.00
2020-03-31121,523.300.00209.000.004,735.5825,516.440.002,346.960.00
2019-12-31106,003.660.005,114.530.004,729.9924,180.800.002,103.890.00