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基金业绩

基金费率

投资组合

基金概况

财务数据

鑫元安鑫宝B(001527)

2025-01-27     0.43370.0000%
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
2024-12-315,713,808.830.001,551,097.010.000.00209,857.730.0069,993.320.00
2024-09-305,083,965.820.003,093,525.020.000.00253,538.670.00986.540.00
2024-06-305,965,318.350.003,102,985.510.000.00352,685.980.0022,396.470.00
2024-03-313,838,679.340.001,511,489.730.000.00330,116.840.0010,169.610.00
2023-12-314,132,910.530.00930,659.680.0050,523.40313,996.550.001,937.280.00
2023-09-302,064,128.000.00595,963.750.0050,281.42171,825.400.001,368.370.00
2023-06-301,962,844.300.00723,305.990.0050,039.45146,971.410.008.040.00
2023-03-311,740,364.410.00466,448.100.000.0092,597.530.00302.460.00
2022-12-311,625,842.180.00235,840.080.000.0023,490.610.0025,863.130.00
2022-09-301,102,764.120.00147,306.730.000.0025,541.470.0091.310.00
2022-06-301,038,099.830.0068,786.780.000.0032,432.280.0073.160.00
2022-03-31714,709.290.0047,531.160.000.0029,667.330.0089.340.00
2021-12-3190,967.130.0028,036.730.000.002,000.310.00521.500.00
2021-09-3080,197.930.0013,311.150.000.003,003.020.00469.340.00
2021-06-3075,131.670.008,266.980.000.005,001.360.00519.280.00
2021-03-3156,998.270.002,090.280.000.002,997.410.00885.740.00
2020-12-3147,326.740.003,084.900.000.001,999.870.00963.870.00
2020-09-30106,555.690.007,068.690.000.000.000.00725.320.00
2020-06-30281,977.240.0017,813.640.000.007,030.110.001,885.000.00
2020-03-31349,714.750.00841.230.000.0030,098.360.002,068.800.00
2019-12-31332,109.000.0040.680.000.0028,065.380.001,288.160.00
2019-09-30334,420.330.0030,301.940.000.0030,075.600.001,817.590.00
2019-06-30566,861.000.0051,692.770.000.0026,013.940.002,866.920.00
2019-03-31381,738.520.007,130.720.000.0022,974.460.003,954.780.00
2018-12-31429,198.850.0011,945.810.000.0025,093.980.005,815.470.00