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基金业绩

基金费率

投资组合

基金概况

财务数据

鑫元鑫新收益C(001602)

2025-01-27     0.6536-1.6699%
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
2024-12-314,310.883,355.74965.100.000.000.000.003.310.00
2024-09-304,355.933,941.61393.460.000.000.000.00523.380.00
2024-06-304,070.212,718.621,146.060.000.000.000.00223.090.00
2024-03-314,233.013,667.84551.430.000.000.000.0059.780.00
2023-12-315,243.984,734.64525.820.000.000.000.008.000.00
2023-09-305,189.964,516.30667.350.000.000.000.0099.040.00
2023-06-306,311.585,645.49733.050.000.000.000.0011.230.00
2023-03-319,003.778,118.491,542.700.000.000.000.0010.520.00
2022-12-3110,218.798,012.371,114.370.000.000.000.001,160.980.00
2022-09-3012,907.628,012.591,834.080.000.000.000.001,114.900.00
2022-06-3015,266.4911,041.673,266.320.000.000.000.006.440.00
2022-03-317,190.936,248.89928.810.000.000.000.0043.920.00
2021-12-317,462.426,370.591,000.3226.500.000.000.0095.340.00
2021-09-307,383.834,866.98912.340.000.000.000.0013.210.00
2021-06-305,449.554,507.41693.890.000.000.000.00343.880.00
2021-03-3111,410.368,408.46999.540.000.000.000.00113.800.00
2020-12-3112,347.729,736.672,635.500.000.000.000.0018.610.00
2020-09-3011,255.137,716.791,177.730.000.000.000.0098.030.00
2020-06-3012,642.528,631.98276.300.000.00801.200.00121.780.00
2020-03-3110,163.478,989.20377.300.000.00806.000.0022.880.00
2019-12-3110,430.092,362.613,908.3115.700.000.000.00174.260.00
2019-09-3010,169.181,672.664,512.460.000.000.000.0025.000.00
2019-06-3010,051.391,124.515,004.590.000.000.000.00122.620.00
2019-03-3110,173.995,016.551,238.2819.5812,221.96500.050.00801.790.00
2018-12-319,511.632,211.353,016.570.000.00602.640.0038.930.00