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基金费率

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基金概况

财务数据

泰信鑫利混合C(004228)

2024-11-22     1.17400.0511%
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
2024-09-30104,853.660.00206.610.00375,236.6213,670.940.002.500.00
2024-06-30104,600.580.0063.530.00134,535.9315,727.070.003,152.400.00
2024-03-31103,345.740.00196.430.0042,768.7213,532.860.001.310.00
2023-12-31101,988.490.00170.370.000.009,282.810.000.170.00
2023-09-30100,646.640.00765.400.0090,532.577,097.920.001.930.00
2023-06-30380.690.00384.560.000.000.000.000.030.00
2023-03-31415.470.00419.570.000.000.000.000.260.00
2022-12-311,058.710.00764.140.000.000.000.000.250.00
2022-09-301,047.820.00177.450.000.000.000.00576.720.00
2022-06-30304.7481.4180.68156.920.000.000.000.310.00
2022-03-31304.3181.8033.80123.250.000.000.000.180.00
2021-12-31407.46114.1729.13250.680.000.000.0011.160.00
2021-09-30356.3651.8724.72229.660.000.000.0010.200.00
2021-06-30136.0137.0415.5169.100.000.000.000.960.00
2021-03-312,302.41368.98200.661,484.640.000.000.00285.910.00
2020-12-312,690.46423.981,910.5667.880.000.000.00402.060.00
2020-09-302,706.04186.541,529.8368.870.000.000.002.580.00
2020-06-302,649.23303.31426.39446.140.001,513.500.0025.610.00
2020-03-313,199.4580.662,061.72288.070.00783.090.007.770.00
2019-12-313,238.07509.481,936.41794.580.000.000.0016.050.00
2019-09-303,314.00150.031,799.24201.520.001,001.600.00177.780.00
2019-06-303,407.4463.472,061.38242.510.001,012.000.0039.780.00
2019-03-313,578.55246.371,878.53450.910.001,014.100.0066.450.00
2018-12-313,691.08225.002,272.6860.840.001,092.720.0053.820.00
2018-09-303,852.14170.822,154.98186.280.001,299.920.0052.810.00