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基金业绩

基金费率

投资组合

基金概况

财务数据

长城悦享回报债券A(011897)

2025-01-24     0.88500.0905%
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
2024-12-3141,427.431,990.316,352.614,623.09175,919.300.000.0067.300.00
2024-09-3043,695.022,079.522,952.402,388.22215,963.780.000.00572.650.00
2024-06-3046,926.522,321.852,923.747,011.70226,297.680.000.0021.780.00
2024-03-3150,088.941,926.253,523.287,915.22296,103.610.000.00224.470.00
2023-12-3152,527.583,273.3011,415.099,497.56317,782.580.000.0042.460.00
2023-09-3057,972.674,558.728,006.327,472.07376,924.120.000.001,770.800.00
2023-06-3064,224.604,715.374,603.6212,665.09505,468.330.000.00448.010.00
2023-03-3174,916.2811,802.9714,534.3912,244.04449,843.210.000.00769.340.00
2022-12-3178,966.7315,079.855,243.5514,157.79519,362.090.000.00770.200.00
2022-09-3086,959.9212,887.015,879.8715,953.68509,583.860.000.00479.250.00
2022-06-30101,969.5520,151.096,922.9118,606.71590,470.470.000.002,321.820.00
2022-03-31107,131.3416,476.268,336.4920,293.78507,954.167,092.630.001,415.430.00
2021-12-31130,494.8325,379.2110,481.872,195.80732,192.879,018.500.002,660.050.00
2021-09-30145,412.1911,679.599,895.337,834.29730,961.849,008.300.001,285.880.00