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基金业绩

基金费率

投资组合

基金概况

财务数据

宝盈新锐混合A(001543)

2024-12-02     2.28501.6911%
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
2024-09-3013,009.1611,819.401,057.590.000.000.000.0085.640.00
2024-06-3011,356.0810,054.191,098.750.000.000.000.0024.760.00
2024-03-3114,254.0912,798.251,544.830.000.000.000.0011.620.00
2023-12-3115,104.5914,248.29889.480.000.000.000.0032.610.00
2023-09-3016,656.9615,330.861,377.360.000.000.000.0014.270.00
2023-06-3020,651.2418,271.121,111.930.000.000.000.001,435.550.00
2023-03-3123,353.4821,692.482,370.330.000.000.000.0043.920.00
2022-12-3124,947.3022,848.622,152.720.000.000.000.0029.630.00
2022-09-3025,574.4823,308.312,395.01104.750.000.000.0030.900.00
2022-06-3030,010.3427,936.273,114.070.000.000.000.00857.140.00
2022-03-3132,128.2129,961.412,261.920.000.000.000.0063.070.00
2021-12-3135,375.2933,142.412,742.990.000.000.000.00145.280.00
2021-09-3043,876.4940,551.893,534.370.000.000.000.0084.330.00
2021-06-3066,435.4462,909.233,842.980.000.000.000.00269.930.00
2021-03-3137,998.2135,874.492,320.350.000.000.000.0093.850.00
2020-12-3151,640.0348,821.683,055.010.000.000.000.00166.040.00
2020-09-3048,335.9741,953.326,695.910.000.000.000.00121.450.00
2020-06-3049,132.3346,584.542,782.870.000.000.000.00328.370.00
2020-03-3137,311.2135,252.402,095.220.000.000.000.00369.310.00
2019-12-3138,286.5936,239.282,829.070.000.000.000.00412.910.00
2019-09-3038,893.7136,413.032,467.840.000.000.000.00567.330.00
2019-06-3033,808.3132,091.871,940.780.000.000.000.00313.420.00
2019-03-3122,564.9021,384.99892.310.000.00600.060.00682.170.00
2018-12-3112,902.3112,198.01711.860.000.000.000.0081.450.00
2018-09-3014,612.6613,818.41865.110.000.000.000.0085.250.00