基金累计净值: 1.0027
年度超越基准: +46.71
累计超越基准: +40.34
基金仓位:98.98%债券 1.02%现金
比上月同期增长:+2.66%
投资组合:
126003 07云化债 110 85.460 9,400.600 14.32%
126012 08上港债 80 91.640 7,331.200 11.17%
126010 08中远债 80 80.720 6,457.600 9.84%
010215 02国债15 80 101.848 8,147.840 12.41%
126001 06马钢债 60 91.510 5,490.600 8.36%
010503 05国债(3) 100 101.052 10,105.200 15.39%
115001 钢钒债1 100 88.300 8,830.000 13.45%
010115 21国债(15) 90 102.379 9,214.110 14.04%
总现金: 671.26