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基金费率

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基金概况

财务数据

东方永兴18个月定期开放债券A(003324)

2026-01-29     1.3602-0.0367%
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
2025-12-31233,154.710.004,935.850.00970,069.9640,295.31506.69290.520.00
2025-09-30231,797.640.004,488.040.00954,861.8713,114.63504.5520.550.00
2025-06-30231,968.270.003,010.710.001,623,939.0118,177.2128,958.6515.200.00
2025-03-31229,271.390.005,399.900.00738,811.0834,044.015,574.356.880.00
2024-12-31229,144.820.0022,470.840.00953,477.4612,271.46512.431,710.570.00
2024-09-30225,125.370.003,570.650.00787,885.7422,525.36505.264.580.00
2024-06-3042,569.090.00195.280.0053,008.104,550.63505.403,226.390.00
2024-03-3112,717.510.00132.230.0026,701.120.00505.990.540.00
2023-12-3112,456.180.00600.330.0061,196.800.00498.870.690.00
2023-09-3012,303.860.00396.530.0088,416.680.00495.670.450.00
2023-06-3012,095.440.00224.830.00107,325.930.00312.690.640.00
2023-03-3111,939.620.00256.430.00101,110.910.000.000.800.00
2022-12-3111,650.120.00119.010.00104,740.380.000.000.380.00
2022-09-3013,866.320.0081.770.0057,433.110.000.000.270.00
2022-06-3013,211.420.00209.040.0057,824.920.000.000.250.00
2022-03-3113,056.200.00398.190.0062,213.371,049.130.000.570.00
2021-12-3112,959.370.00235.790.0065,140.001,030.200.00248.240.00
2021-09-3012,814.410.0074.420.0055,961.501,028.800.00201.690.00
2021-06-3012,654.970.00247.980.0045,687.001,033.600.00217.550.00
2021-03-3122,481.280.00204.430.00161,193.20987.801,007.50563.030.00
2020-12-3121,733.400.00503.150.00183,567.000.001,001.301,224.950.00
2020-09-3022,431.880.00305.810.00205,406.731,180.460.00782.690.00
2020-06-3022,311.850.00383.040.00200,262.83985.40504.35892.740.00
2020-03-3122,174.330.001,160.440.00210,911.37980.30520.251,200.910.00
2019-12-3121,607.480.00307.170.00215,476.05997.900.002,306.470.00