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基金业绩

基金费率

投资组合

基金概况

财务数据

交银双轮动债券A/B(519723)

2026-09-18     1.06940.0187%
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
2026-06-30364,489.890.002,027.750.00183,999.9030,433.062,008.5382.640.00
2026-03-31364,771.630.001,579.820.00182,815.2332,528.010.00125.970.00
2025-12-31358,677.100.0095.270.00203,047.8950,581.420.0032.580.00
2025-09-30354,804.250.0082.600.00202,432.7545,443.340.0034.160.00
2025-06-30610,298.390.0091,013.030.0010,090.75153,363.180.0023.330.00
2025-03-3155,174.420.005,390.920.0020,188.1013,177.050.0016.820.00
2024-12-3167,535.470.0013,701.030.0030,483.2012,223.530.0026.620.00
2024-09-30194,242.500.009,261.530.00308,256.5939,403.350.00237.670.00
2024-06-30342,546.560.0030,264.010.00494,918.6237,760.540.00101.630.00
2024-03-31363,440.810.0011,833.250.00802,171.4935,790.670.0049.760.00
2023-12-31364,386.160.00911.270.001,011,495.2919,253.930.0037.090.00
2023-09-30412,277.220.00499.120.001,143,569.2521,326.070.007,296.820.00
2023-06-30471,282.640.001,125.100.001,092,294.3826,287.520.00297.450.00
2023-03-31487,103.580.002,971.920.001,219,655.1227,471.620.003,166.340.00
2022-12-31461,930.390.002,703.320.001,611,421.6827,361.970.003,324.500.00
2022-09-30891,526.340.0090,560.550.002,421,594.5446,467.330.0060.110.00
2022-06-30753,046.140.0046,373.080.002,276,515.2935,780.300.00442.300.00
2022-03-31701,677.490.007,141.200.002,090,105.8737,738.450.001,883.680.00
2021-12-31652,869.550.0014,928.360.001,690,702.0033,019.500.0021,614.120.00
2021-09-30523,305.120.00771.280.001,124,797.0050,483.900.009,395.680.00
2021-06-30381,103.820.00405.460.00458,308.0054,314.500.0010,309.970.00
2021-03-31320,064.060.001,636.060.00421,531.0021,033.300.006,081.270.00
2020-12-31287,531.760.003,107.400.00504,606.0023,062.200.006,724.500.00
2020-09-30322,060.260.00244.410.00422,019.0016,923.800.008,118.710.00
2020-06-30251,833.530.00799.610.00366,322.0013,565.200.005,632.620.00