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基金业绩

基金费率

投资组合

基金概况

财务数据

博时鑫源混合C(003120)

2024-11-20     1.71390.0175%
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
2024-09-302,155.530.001,822.65204.550.000.000.00151.110.00
2024-06-303,301.150.003,278.0132.470.000.000.002.020.00
2024-03-312,798.490.001,860.660.000.000.000.002.110.00
2023-12-315,035.881,625.002,033.641,234.770.000.000.00279.170.00
2023-09-304,372.271,261.101,888.661,147.050.000.000.006.700.00
2023-06-305,646.931,500.012,618.031,396.700.000.000.00119.820.00
2023-03-319,868.137,327.283,307.59114.840.00510.850.008.110.00
2022-12-3132,880.063,317.70651.5255.49225,314.388,144.880.009.720.00
2022-09-3040,138.574,815.051,047.67578.76251,427.1316,295.510.009.560.00
2022-06-3051,009.529,533.671,122.9385.92305,703.0411,171.350.0051.210.00
2022-03-3171,332.399,329.382,615.220.10276,206.1815,281.130.00787.610.00
2021-12-3180,235.2614,148.162,409.6095.88210,741.307,061.600.001,163.610.00
2021-09-3097,178.1713,892.905,156.34199.41175,908.7014,155.800.001,302.060.00
2021-06-3086,558.2212,846.115,247.66186.86193,867.805,827.660.001,577.260.00
2021-03-3180,956.4012,690.405,618.16167.49182,221.904,812.900.001,056.270.00
2020-12-3181,856.3514,624.754,406.21409.85213,225.451,809.340.001,017.430.00
2020-09-3055,570.7515,036.173,771.79252.05138,032.501,691.680.002,373.420.00
2020-06-3033,746.1420,750.831,068.09265.390.001,851.480.0010,063.880.00
2020-03-3131,428.1525,591.12435.71304.620.001,857.400.003,321.380.00
2019-12-3136,347.2933,905.872,180.72313.990.000.000.00205.390.00
2019-09-3033,989.5230,931.392,638.05181.550.000.000.00355.780.00
2019-06-306,756.496,294.21499.60167.110.000.000.0064.850.00
2019-03-318,050.117,275.57229.35196.470.00420.040.00131.440.00
2018-12-318,284.877,620.85724.3156.530.000.000.0033.750.00
2018-09-309,627.788,737.93938.5458.590.000.000.0019.120.00