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基金业绩

基金费率

投资组合

基金概况

财务数据

华宝双债增强债券C(011281)

2024-12-25     1.04200.0096%
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
2024-09-305,164.29939.52397.994,173.044,623.460.000.0030.470.00
2024-06-305,685.521,024.64391.624,435.105,077.390.000.0050.180.00
2024-03-316,498.561,009.16501.245,085.425,068.260.000.0024.870.00
2023-12-318,835.171,028.34632.256,704.665,025.110.000.002.130.00
2023-09-309,236.311,042.82606.796,598.954,988.90514.160.002.780.00
2023-06-3010,783.371,111.00741.157,290.440.00512.230.0035.520.00
2023-03-3111,970.041,384.54958.707,091.600.00509.340.004.950.00
2022-12-3111,131.111,028.89858.134,237.470.000.000.0027.640.00
2022-09-3012,268.89935.19994.914,291.830.000.000.005.870.00
2022-06-3015,848.701,508.702,230.275,902.630.000.000.0013.250.00
2022-03-3120,299.671,529.431,434.926,906.990.000.000.00380.870.00
2021-12-3127,433.041,912.18321.136,300.020.001,506.450.00437.350.00
2021-09-3044,221.27549.001,033.6810,171.120.003,396.390.001,105.230.00
2021-06-3069,758.592,882.592,902.0914,921.800.007,921.330.00640.600.00