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基金业绩

基金费率

投资组合

基金概况

财务数据

博时新收益混合C(002096)

2025-01-27     1.0573-0.9462%
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
2024-12-3133,411.6831,703.842,682.80126.650.000.000.00316.210.00
2024-09-3042,279.7040,253.622,371.90127.940.000.000.0023.340.00
2024-06-3045,362.0542,615.952,745.03215.059,635.590.000.0011.000.00
2024-03-3138,834.6336,232.102,744.58206.939,508.450.000.0029.160.00
2023-12-3143,870.9540,262.373,115.53508.879,349.310.000.001,769.920.00
2023-09-3056,469.7150,498.284,996.42540.4721,493.200.000.00986.680.00
2023-06-3076,427.1268,359.685,577.55982.9125,378.750.000.00391.680.00
2023-03-3192,407.2681,820.276,972.731,039.5233,410.960.000.001,159.420.00
2022-12-3191,724.2981,353.846,782.25987.8137,993.000.000.003,281.040.00
2022-09-3078,939.9270,109.466,122.49508.6544,940.470.000.00572.280.00
2022-06-3088,166.8776,947.065,731.483,917.8654,642.730.000.00917.730.00
2022-03-3172,338.4161,058.004,637.693,678.0753,986.470.000.00713.210.00
2021-12-3168,902.8758,114.674,635.293,629.1256,425.200.000.00860.410.00
2021-09-3071,738.8256,651.824,814.624,915.9175,026.380.000.003,292.670.00
2021-06-3053,525.2339,357.023,490.264,696.9275,271.900.000.00537.990.00
2021-03-3143,143.8028,359.962,998.624,595.2275,172.600.000.00487.790.00
2020-12-3144,326.5728,239.362,762.705,988.3985,553.200.000.00569.510.00
2020-09-3039,079.4623,555.292,529.246,085.8286,167.800.000.00451.120.00
2020-06-3032,279.4512,959.82746.135,748.8565,883.001,411.490.002,262.160.00
2020-03-3124,154.187,554.16350.516,468.7458,438.201,417.460.00594.720.00
2019-12-3126,879.3512,020.601,950.088,398.5145,378.500.000.00139.570.00
2019-09-3026,390.8410,749.281,661.548,008.7910,042.006,070.800.00267.560.00
2019-06-3026,367.397,943.531,666.119,123.279,995.006,014.400.00140.580.00
2019-03-3125,659.545,144.35583.332,015.1214,989.5019,014.130.004,179.960.00
2018-12-3134,639.096,544.612,542.74236.850.0017,874.700.001,069.280.00