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

创金合信尊隆纯债债券C(013951)

2026-01-30     1.03020.0000%
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
2025-12-31199,167.640.00265.980.0071,644.39237,830.150.001,746.730.00
2025-09-30100,407.220.007,364.750.0083,523.8795,896.360.001,209.590.00
2025-06-3061,094.170.005,287.500.0060,129.7559,601.570.003.610.00
2025-03-3151,893.120.008,120.750.0042,273.8646,005.720.002,504.890.00
2024-12-3152,524.530.003,195.120.0066,101.6926,623.270.0030.590.00
2024-09-3051,160.620.002,972.780.0067,485.8425,445.390.000.640.00
2024-06-3051,095.910.001,220.990.0032,041.1825,533.520.001.880.00
2024-03-3150,449.600.00197.220.0030,376.6631,405.620.0048.340.00
2023-12-3149,740.440.00491.740.0048,478.4924,580.610.00100.170.00
2023-09-3049,992.120.004,300.120.0079,759.2720,739.770.000.140.00
2023-06-3049,561.920.00204.750.00128,796.0920,739.660.000.170.00
2023-03-3150,348.400.00211.710.00159,600.2610,275.780.001.410.00
2022-12-3149,372.820.00307.550.00160,897.526,051.410.001.180.00
2022-09-3050,983.200.00483.290.00183,252.116,176.640.000.010.00
2022-06-3021,026.620.001,536.6327.4550,469.423,174.150.000.020.00
2022-03-3120,380.770.001,341.7964.5452,573.293,128.340.000.310.00
2021-12-3120,150.040.001,384.6427.4959,414.000.000.00346.220.00