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基金费率

投资组合

基金概况

财务数据

红土创新货币B(004968)

2024-12-13     0.16710.0000%
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
2024-09-30145,618.070.003,121.010.0031,250.407,105.310.00966.280.00
2024-06-30215,202.230.006,319.430.000.0014,337.540.007,803.850.00
2024-03-31261,362.310.00163.640.00104,720.5628,792.290.00610.820.00
2023-12-31600,272.750.0030,992.030.000.0060,618.480.0012,865.160.00
2023-09-30287,313.510.0013,511.640.000.0012,295.570.001,300.230.00
2023-06-30342,432.190.0057.360.00103,733.9738,717.190.00650.640.00
2023-03-31368,300.500.00108.380.0093,415.1322,485.600.0018.730.00
2022-12-31502,134.230.0016,449.660.000.0047,011.010.0053,727.140.00
2022-09-30329,692.340.0010,201.030.000.0018,462.770.0084.200.00
2022-06-30419,221.240.007,286.230.000.0027,552.630.005,084.590.00
2022-03-31326,933.620.00337.180.00134,967.3418,250.880.002,364.570.00
2021-12-31508,978.470.0015,415.680.00242,077.8217,039.450.0035,384.750.00
2021-09-30334,691.710.007,208.080.000.0029,937.350.004,988.210.00
2021-06-30357,886.590.0015,608.080.000.002,999.960.004,620.730.00
2021-03-31543,373.650.002,106.540.0050,316.1226,006.420.003,255.310.00
2020-12-31477,173.790.0026,886.630.000.0042,155.340.009,307.630.00
2020-09-30346,173.270.009,000.710.000.0022,055.480.002,669.640.00
2020-06-30518,689.020.006,457.450.00171,466.3841,190.920.0014,026.630.00
2020-03-311,044,521.000.0024,086.890.0030,322.3033,063.120.0016,687.830.00
2019-12-31657,104.620.0032,327.450.0080,590.7133,223.690.006,012.860.00
2019-09-30440,953.960.0019,060.940.0010,106.529,034.880.003,398.700.00
2019-06-30599,460.740.0011,874.690.0060,654.4126,982.380.008,212.770.00
2019-03-31919,698.410.0019,875.080.000.0028,084.330.0061,046.670.00
2018-12-31720,249.820.0019,968.040.0030,262.7623,041.110.003,808.430.00
2018-09-30897,550.610.0022,999.620.000.0023,015.230.005,262.120.00