行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

华夏鼎兴债券C(004638)

2018-12-12     4.74380.0232%
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
2025-12-31205,512.400.00379.920.00173,345.4742,274.260.000.260.00
2025-09-30102,808.290.00819.010.0052,156.4882,422.230.000.270.00
2025-06-30102,630.090.003,489.690.00197,206.4325,530.770.000.000.00
2025-03-31101,875.120.004,101.110.00197,628.8417,509.020.000.000.00
2024-12-31103,302.730.003,597.090.00217,986.498,133.720.000.000.00
2024-09-30101,977.800.004,023.760.00215,538.648,191.170.000.000.00
2024-06-30101,918.400.003,456.460.00219,456.0323,551.950.000.000.00
2024-03-31101,417.610.003,461.690.00218,233.6518,513.010.0055.890.00
2023-12-31101,184.500.003,723.390.0091,540.558,231.000.000.310.00
2023-09-30100,491.140.003,424.810.0021,125.976,147.070.00148.900.00
2023-06-30103,052.210.003,382.360.0020,838.1611,187.220.000.100.00
2023-03-31102,042.040.003,674.660.000.0011,224.910.000.000.00
2022-12-31100,657.510.003,369.180.000.0041,441.560.000.160.00
2022-09-30101,723.220.003,453.640.000.0026,952.530.000.340.00
2022-06-30102,356.030.00213.740.0020,814.7714,605.650.000.210.00
2022-03-31101,040.530.00116.050.0042,099.3814,785.960.000.000.00
2021-12-31100,598.350.00213.350.000.0040,892.200.001,604.530.00
2021-09-3060,122.780.00166.930.000.0038,303.500.001,383.460.00
2021-06-3059,486.780.00557.990.000.0036,311.400.001,369.370.00
2021-03-3160,536.790.001,285.520.000.0047,319.800.001,123.570.00
2020-12-3159,999.730.00237.260.000.0041,341.400.001,233.870.00
2020-09-3069,579.070.00102.310.000.0046,841.500.001,280.140.00
2020-06-30100,112.570.004,791.460.000.0088,447.600.002,367.280.00
2020-03-31100,702.240.005,757.780.0020,668.0057,805.400.002,014.450.00
2019-12-3150,243.060.00841.780.000.0020,822.000.001,007.060.00