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东方红核心优选定开混合A(006353)

2024-11-22     1.3107-0.2587%
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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
2024-09-3045,970.696,978.751,335.371,637.05121,085.3428,451.410.00242.900.00
2024-06-3045,229.616,420.12934.461,836.3650,978.2144,281.610.0048.520.00
2024-03-3144,931.936,615.40835.551,854.4050,800.3139,189.390.008.680.00
2023-12-3149,691.907,264.4214,371.343,750.8840,504.685,061.950.0015,088.360.00
2023-09-3083,235.1512,272.271,646.031,317.39390,445.7459,768.390.006.780.00
2023-06-3083,167.6312,102.112,562.041,209.67371,724.3464,662.310.008.250.00
2023-03-3182,827.1712,127.793,435.671,950.21412,029.9936,938.020.00114.720.00
2022-12-3181,832.6611,919.055,407.498,313.78254,123.6721,662.000.0018.130.00
2022-09-30151,457.1420,539.268,657.6113,710.64253,873.4656,672.870.00311.470.00
2022-06-30152,116.9820,039.082,571.9817,868.66530,534.4865,179.960.0010.480.00
2022-03-31150,752.1118,936.924,940.0317,789.71504,440.3258,268.470.0014.860.00
2021-12-31152,778.2816,484.924,111.0217,823.32340,525.0039,134.000.001,474.190.00
2021-09-30186,084.8718,318.805,204.1825,196.54339,865.5233,055.100.003,035.830.00
2021-06-30183,658.2117,907.952,209.2719,032.95682,104.0059,118.200.003,878.110.00
2021-03-31181,839.0018,005.855,242.7113,773.17833,391.0061,171.800.007,500.020.00
2020-12-31178,364.2721,496.552,108.3014,061.30929,136.8847,156.700.002,004.140.00
2020-09-30282,018.7418,526.157,420.9824,578.18124,723.9529,042.100.003,668.800.00
2020-06-30273,579.8027,924.134,650.0526,255.86618,191.4340,091.120.004,438.930.00
2020-03-31270,641.6429,886.933,934.7026,107.02509,958.9450,775.260.003,630.820.00
2019-12-31269,093.4033,113.132,647.7325,544.37501,708.2767,295.540.006,287.600.00
2019-09-3037,974.46175.496,515.995,826.1561,323.707,991.600.00365.400.00
2019-06-3037,376.701,761.90825.723,079.34262,128.464,483.600.001,627.220.00
2019-03-3137,040.601,966.961,273.582,394.50306,822.702,987.810.003,353.130.00
2018-12-3135,508.991,866.99933.222,173.62457,998.365,152.920.001,103.690.00