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基金业绩

基金费率

投资组合

基金概况

财务数据

金鹰元禧混合C(002425)

2024-11-22     1.4027-0.4471%
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
2024-09-301,747.38221.611,670.379.000.000.000.0036.790.00
2024-06-301,803.80376.801,494.510.000.000.000.0015.470.00
2024-03-311,822.73283.22523.800.000.001,015.030.0034.290.00
2023-12-311,888.99472.52265.3276.360.001,030.690.0022.570.00
2023-09-301,946.27592.85175.23117.700.001,023.060.002.020.00
2023-06-302,040.33418.54197.30233.650.001,018.030.001.350.00
2023-03-313,657.82416.90859.62167.340.002,005.230.003.360.00
2022-12-316,700.201,396.70909.410.000.002,049.130.0014.020.00
2022-09-3017,271.104,842.061,960.8210.380.007,200.090.0072.460.00
2022-06-3042,755.6310,350.922,774.5170.840.0041,070.230.00769.450.00
2022-03-3170,707.1615,964.1210,846.690.000.0050,179.360.004.480.00
2021-12-3179,763.0219,406.203,733.570.000.0052,069.380.00872.700.00
2021-09-3079,933.7317,076.804,593.780.000.0055,926.700.00762.700.00
2021-06-3071,732.6218,011.87251.5220.600.0046,216.700.00918.850.00
2021-03-3163,846.8915,529.92337.8650.700.0044,082.900.00760.890.00
2020-12-3165,476.4814,849.821,349.059.400.0022,982.000.002,552.050.00
2020-09-3066,891.6116,441.99266.330.0020,210.0018,975.700.00947.540.00
2020-06-3037,262.639,381.154,721.880.000.2011,870.460.002,547.320.00
2020-03-3129,960.178,492.636,792.14189.902,503.951,637.740.00342.500.00
2019-12-3131,530.375,533.11536.48207.662,517.701,081.600.003,658.910.00
2019-09-3030,133.195,841.19583.570.002,530.961,019.840.00393.240.00
2019-06-3029,902.585,935.36644.8099.942,545.661,154.190.00370.890.00
2019-03-313,135.010.00680.13197.484,557.211,323.430.00567.440.00
2018-12-313,502.68148.70964.08189.366,544.061,890.760.0074.450.00
2018-09-303,678.42407.7378.31190.8110,473.31503.000.0063.620.00