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基金业绩

基金费率

投资组合

基金概况

财务数据

招商丰茂灵活混合发起式C(005907)

2025-01-27     1.22260.1474%
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
2024-12-316,181.851,120.75457.4441.1120,308.971,575.180.007.360.00
2024-09-306,322.621,083.77720.451,417.6414,250.14417.310.00128.830.00
2024-06-306,179.621,101.32487.442,220.6914,213.671,248.010.00524.420.00
2024-03-315,754.681,043.42411.881,916.2814,359.231,253.220.0030.480.00
2023-12-315,184.80930.80380.222,160.124,149.861,240.540.00608.920.00
2023-09-304,921.31787.95364.79516.4313,224.69468.020.006.700.00
2023-06-306,211.01957.57464.84597.5720,330.902,942.970.0028.790.00
2023-03-316,615.411,160.2284.2118.5720,105.012,227.210.0010.640.00
2022-12-316,930.52533.89727.9519.753,034.712,138.410.002.480.00
2022-09-306,267.05454.71669.1317.999,238.392,181.080.000.320.00
2022-06-306,837.55413.98685.429.949,857.192,189.84515.58400.680.00
2022-03-317,589.66448.62942.049.7912,831.391,148.43509.3417.980.00
2021-12-319,627.811,001.491,840.388.9012,660.181,624.460.0072.250.00
2021-09-3010,571.70250.981,379.4641.7340,599.000.000.0098.910.00
2021-06-3011,412.17830.77780.8450.3140,479.000.000.00191.770.00
2021-03-3113,396.24978.091,172.3262.1040,198.000.000.00235.710.00
2020-12-3116,419.14927.451,270.8259.1039,979.000.000.00497.950.00
2020-09-3022,413.321,618.171,703.4651.9149,522.000.000.00406.480.00
2020-06-3033,737.125,004.911,254.3649.2059,432.004,804.380.00556.100.00
2020-03-3150,924.955,931.161,159.080.0060,707.005,785.820.00620.710.00
2019-12-3148,697.183,614.888,369.9584.770.003,731.470.001,941.610.00
2019-09-306,296.76665.613,118.67136.980.000.000.0024.080.00
2019-06-3010,228.441,277.661,709.342,049.0410,220.000.000.00318.810.00
2019-03-3112,938.302,483.43684.822,258.6620,309.00890.690.00500.260.00
2018-12-3123,461.662,905.82512.802,946.0130,194.001,196.640.00934.430.00