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基金费率

投资组合

基金概况

财务数据

国投瑞银顺臻纯债债券C(011007)

2024-12-13     1.10420.1451%
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
2024-09-30209,945.390.00170.970.000.00195,598.9120,514.121.250.00
2024-06-30208,840.780.00131.860.000.00225,741.3120,243.070.030.00
2024-03-31206,244.450.00175.630.000.00225,164.9819,851.9710.100.00
2023-12-31203,731.220.00158.430.000.00219,111.6920,421.140.740.00
2023-09-30211,397.060.00198.320.000.00238,175.230.000.000.00
2023-06-30210,451.770.00174.610.000.00237,551.920.000.010.00
2023-03-31208,014.380.00296.480.000.00219,576.620.000.010.00
2022-12-31217,471.260.001,742.160.000.00177,248.250.000.000.00
2022-09-30217,284.850.001,113.660.000.00198,425.830.000.030.00
2022-06-30213,956.170.00254.240.000.00257,585.850.000.500.00
2022-03-31211,556.530.00830.330.000.00234,610.050.000.450.00
2021-12-31323,360.040.0052,945.780.000.0089,887.260.002,927.400.00
2021-09-3019,638.780.001,322.280.000.0020,422.670.00222.840.00
2021-06-3019,512.230.001,202.390.000.0016,036.610.00288.680.00