基本资料
投资组合
财务数据
基金公告
民生加银瑞怡3个月定开债券(020297) |
净值:
1.0512
|
日增长率:
0.08%
|
累计净值:1.0862 | 2026-02-06 |
|
|
||||
| 报告期 | 股票占净比(%) | 债券占净比(%) | 现金占净比(%) | 净资产(元) |
| 2025-12-31 | - | 106.01 | 1.48 | 4,026,121,565.38 |
| 2025-09-30 | - | 136.72 | 4.61 | 5,732,231,633.86 |
| 2025-06-30 | - | 111.45 | 6.91 | 6,068,577,990.31 |
| 2025-03-31 | - | 115.72 | 7.50 | 5,566,243,222.54 |
| 2024-12-31 | - | 110.64 | 7.64 | 5,419,436,298.74 |