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

东吴悦秀纯债债券A(005573)

2025-05-21     1.09800.0000%
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
2025-03-3181,461.010.009,453.770.000.0066,726.860.008.610.00
2024-12-3187,167.450.0012,747.190.000.0083,105.020.001.400.00
2024-09-3081,809.890.0010,478.600.000.0082,850.190.001.570.00
2024-06-3093,756.370.003,756.650.000.00103,226.310.004.260.00
2024-03-3192,962.950.008,472.990.000.0097,481.430.0050.570.00
2023-12-31111,309.570.0019,288.030.000.00111,446.340.000.060.00
2023-09-30110,559.920.0075.160.000.00108,459.610.000.000.00
2023-06-30121,762.110.007.720.000.00130,335.780.000.000.00
2023-03-31195,879.660.0014,005.900.000.00173,272.830.000.000.00
2022-12-31244,540.930.0016.390.000.00286,356.660.001.000.00
2022-09-30288,205.790.0010,733.950.000.00277,599.690.000.030.00
2022-06-30287,077.540.0010,005.030.000.00334,345.050.000.010.00
2022-03-31419,226.020.00243.570.000.00414,384.680.000.010.00
2021-12-31537,082.900.00300.240.000.00461,734.800.009,428.770.00
2021-09-30236,140.850.0044.560.000.00216,163.500.003,391.430.00
2021-06-30203,889.630.00309.550.000.00186,004.470.003,188.940.00
2021-03-31151,994.220.005,352.930.000.00130,031.780.007,745.270.00
2020-12-31101,347.790.0021,087.520.000.0080,875.120.005,019.210.00
2020-09-30101,765.680.0011,748.870.000.0080,367.270.001,120.240.00
2020-06-304,524.500.001,786.46813.540.002,113.760.00104.520.00
2020-03-3111,603.740.003,310.831,535.840.005,890.120.00434.840.00
2019-12-3112,183.080.001,027.340.000.0010,940.530.00248.120.00
2019-09-30184,413.910.004,175.980.000.00203,746.380.003,110.530.00
2019-06-30251,165.170.0021,465.210.000.00259,655.850.005,273.490.00
2019-03-31292,454.480.002,173.490.000.00281,954.230.005,455.690.00