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财务数据

嘉实稳元纯债债券A(003461)

2025-05-20     1.18730.0168%
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
2025-03-3176,877.710.007,562.380.000.0027,671.290.000.060.00
2024-12-3182,910.300.00260.500.000.0037,598.910.0012.370.00
2024-09-3083,508.320.002,282.310.0010,258.9515,836.660.000.140.00
2024-06-3083,098.620.00419.660.0010,224.4930,423.810.000.210.00
2024-03-3184,854.200.00174.380.0010,128.6419,974.650.0015.250.00
2023-12-3183,705.150.00118.390.000.0020,610.700.002.230.00
2023-09-3083,727.360.00149.550.0012,566.1911,302.720.000.720.00
2023-06-3083,159.480.009,567.800.002,073.3620,504.920.001.140.00
2023-03-3182,882.670.00397.310.0032,582.0614,790.770.003,035.080.00
2022-12-31140,823.960.0012,983.500.0019,316.2547,330.850.0031.750.00
2022-09-3021,729.430.002,914.190.0019,557.058,949.130.00545.310.00
2022-06-3014,597.930.005,008.130.0019,412.454,756.170.0011.590.00
2022-03-3144,065.090.002,534.630.0050,530.7910,924.580.00520.500.00
2021-12-3197,759.680.0013,976.090.0083,863.0019,524.580.001,882.880.00
2021-09-30105,752.380.0010,459.530.0063,441.5027,535.380.003,529.920.00
2021-06-3089,811.470.0017,607.690.00121,185.4015,514.680.001,322.470.00
2021-03-3162,528.490.003,838.040.00132,557.2912,905.810.00893.710.00
2020-12-3154,851.680.002,029.900.00164,150.6514,744.240.00944.440.00
2020-09-3054,575.940.002,036.610.00147,771.6114,521.190.00891.680.00
2020-06-3054,400.700.003,383.520.00261,442.9218,001.600.001,382.780.00
2020-03-3154,185.700.001,333.010.00235,342.5320,864.670.001,237.250.00
2019-12-3153,193.890.001,450.950.00267,140.5018,415.800.001,421.190.00
2019-09-3052,776.580.00446.860.00310,831.2415,431.120.001,122.600.00
2019-06-3052,132.830.001,101.290.00310,964.0713,880.170.001,236.050.00
2019-03-3151,677.920.001,447.150.00252,977.1816,177.210.001,364.950.00