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基金费率

投资组合

基金概况

财务数据

华夏新锦顺混合C(004047)

2024-11-20     0.86360.1275%
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
2024-09-301,312.83762.16452.40148.420.000.000.0031.840.00
2024-06-306,077.504,615.041,570.730.000.000.000.0019.960.00
2024-03-316,996.525,222.201,966.420.000.000.000.0044.610.00
2023-12-318,067.045,851.1817,828.1693.310.000.000.00798.140.00
2023-09-3074,720.1368,878.2535,321.15121.240.000.000.0011,140.220.00
2023-06-30222,061.84159,487.4255,860.556,895.740.00539.300.00159.100.00
2023-03-31297,065.86189,732.8058,117.067,609.510.00536.360.0010,710.650.00
2022-12-31255,799.83182,723.2532,128.8311,383.250.00533.740.00347.500.00
2022-09-30279,095.74170,434.4359,117.2911,851.510.00531.940.001,072.280.00
2022-06-30501,559.860.0051,646.558.030.00194,780.400.003.700.00
2022-03-315,188.98245.422,841.380.000.00831.090.000.610.00
2021-12-316,329.26753.541,551.620.000.000.000.0096.880.00
2021-09-305,809.1010.051,286.980.000.00509.050.0081.580.00
2021-06-3045,150.492,082.887,598.361,639.9081,085.004,257.390.001,121.610.00
2021-03-3144,768.00924.239,481.861,624.50101,170.004,236.540.00636.390.00
2020-12-3146,700.496,913.159,318.121,613.74101,222.005,230.840.001,393.410.00
2020-09-3044,458.8914,577.0513,593.843,073.0480,979.004,349.650.00606.270.00
2020-06-3054,948.7811,138.55552.31896.16115,011.503,584.720.00658.630.00
2020-03-3153,273.059,291.544,711.75536.99115,856.209,345.950.00696.350.00
2019-12-3156,097.7511,191.22334.440.00111,253.409,814.320.00897.960.00
2019-09-3053,804.849,601.99396.190.00111,560.506,832.080.00917.270.00
2019-06-3053,196.8210,267.91932.890.00121,147.203,831.780.00811.350.00
2019-03-3154,244.518,195.39418.750.00111,023.804,867.660.00729.600.00
2018-12-3152,788.212,011.50536.480.0090,642.805,863.440.00948.430.00
2018-09-3053,197.673,753.271,658.300.00109,268.906,912.480.00879.970.00