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

易方达新鑫混合E(001286)

2025-01-27     1.47370.1904%
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
2024-12-31197,281.0520,008.357,679.364,525.07187,530.07106,381.442,031.862,584.330.00
2024-09-30183,581.8620,052.6128,662.301,966.53240,506.21101,437.000.001,978.500.00
2024-06-30200,287.2117,368.8116,880.792,481.07248,617.55117,248.350.001,422.060.00
2024-03-31131,139.0314,922.522,700.860.00213,684.0467,843.770.00409.580.00
2023-12-3194,670.5212,629.632,366.6645.3386,961.8150,373.810.00569.840.00
2023-09-30100,899.1312,973.821,505.16314.3776,348.7356,421.970.00355.620.00
2023-06-3087,348.1210,148.661,742.350.0067,653.3838,396.720.00212.230.00
2023-03-3181,352.599,969.11747.640.0077,882.1426,642.400.00340.610.00
2022-12-3185,790.9814,562.76932.8931.55118,112.8228,904.600.001,566.960.00
2022-09-30115,347.7912,610.34950.380.00195,397.8733,854.370.00157.900.00
2022-06-30114,506.2411,248.951,315.89595.33255,754.0112,882.180.002,670.790.00
2022-03-31117,320.2514,328.201,326.12472.59306,401.7211,800.160.00131.850.00
2021-12-31112,708.3916,692.642,547.82483.06341,211.5510,708.920.001,841.810.00
2021-09-30105,722.4816,041.241,867.15363.94349,862.925,603.660.001,490.360.00
2021-06-3095,559.5314,434.992,276.77346.40359,675.774,102.460.004,550.220.00
2021-03-3190,510.8614,060.801,077.85308.20329,205.934,293.720.001,615.240.00
2020-12-3187,714.0415,683.921,027.99263.67318,347.404,463.900.001,553.770.00
2020-09-3083,768.6115,667.57571.38112.58248,678.194,262.600.001,191.270.00
2020-06-3076,765.1414,391.47792.41104.83196,295.153,640.160.001,146.130.00
2020-03-3150,057.948,549.86393.76214.73111,155.732,499.950.001,685.850.00
2019-12-3148,388.998,268.41788.05377.9972,144.832,044.800.00832.680.00
2019-09-3045,262.877,583.871,301.086.4062,453.531,892.410.00841.950.00
2019-06-3036,648.927,130.35691.8234.9060,788.001,498.650.00629.640.00
2019-03-31233.150.0079.740.000.00150.010.005.750.00
2018-12-31532.650.00107.260.000.00406.500.0021.530.00