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基金费率

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基金概况

财务数据

易方达瑞祥混合E(001836)

2024-11-22     1.4960-0.5980%
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
2024-09-3045,931.6710,848.9914,093.844.580.0015,661.630.00511.860.00
2024-06-3055,830.9813,362.072,360.274.4141,101.3938,915.440.0042.510.00
2024-03-3161,974.7913,273.20964.594.4040,998.7038,582.780.0012.020.00
2023-12-3152,989.9812,429.59472.364.8550,986.9533,337.050.0018.580.00
2023-09-3059,708.1312,345.491,741.485.0791,024.0122,102.980.0027.190.00
2023-06-3055,027.4812,233.882,889.2719.07121,923.1311,426.930.002.070.00
2023-03-3157,887.4413,040.18600.2219.17131,958.529,257.490.002.450.00
2022-12-3168,461.3513,641.981,390.4533.43141,384.8815,495.630.004,017.240.00
2022-09-3088,414.8712,651.701,568.160.00148,153.7121,134.640.006.530.00
2022-06-30115,640.2114,496.731,645.55521.33250,248.4216,439.520.00264.760.00
2022-03-31113,690.8014,301.191,757.97403.54298,814.5515,290.740.002,956.000.00
2021-12-31110,392.6516,814.262,580.00412.35376,851.0011,661.720.004,663.600.00
2021-09-30107,592.3116,263.911,512.91295.03365,817.506,603.380.001,440.540.00
2021-06-3096,370.3414,706.151,036.98284.15275,006.004,649.450.001,377.460.00
2021-03-3192,086.0914,181.553,150.75253.62240,148.004,594.320.001,543.070.00
2020-12-3186,541.9415,745.15888.36262.03249,642.004,282.500.002,568.840.00
2020-09-3083,646.8314,746.11698.93110.18198,697.004,111.370.001,274.790.00
2020-06-3075,107.5513,289.79712.31102.60157,608.003,647.510.00978.860.00
2020-03-3150,365.538,824.91292.93211.8178,859.002,577.980.00903.680.00
2019-12-3148,248.138,867.49151.01374.7762,568.002,515.290.00858.190.00
2019-09-3044,493.147,715.091,359.176.1062,809.002,330.870.00738.350.00
2019-06-3036,462.957,097.64442.6336.0062,673.002,603.000.00503.430.00
2019-03-31738.32297.6681.540.000.00149.990.007.660.00
2018-12-311,006.34247.1068.3231.440.00656.830.0020.390.00
2018-09-306,079.621,720.12141.451,607.254,952.003,454.800.00313.750.00