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基金业绩

基金费率

投资组合

基金概况

财务数据

华夏海外聚享混合发起式(QDII)A(美元现钞)(006447)

2019-02-12     0.14910.0000%
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
2024-12-3135,068.860.003,175.000.000.000.000.00822.270.00
2024-09-3023,338.870.002,225.640.000.000.000.00564.420.00
2024-06-306,154.740.00507.820.000.000.000.00172.170.00
2024-03-314,879.540.00468.490.000.000.000.0060.680.00
2023-12-313,939.860.00308.340.000.000.000.00179.160.00
2023-09-303,856.750.00381.030.000.000.000.0021.010.00
2023-06-303,744.960.00340.750.000.000.000.0017.340.00
2023-03-313,960.310.00360.730.000.000.000.0017.410.00
2022-12-313,977.510.00324.420.000.000.000.0010.920.00
2022-09-303,804.320.00468.520.000.000.000.0022.670.00
2022-06-303,890.330.00432.660.000.000.000.0030.130.00
2022-04-204,237.250.001,305.790.000.000.000.0017.950.00
2022-03-316,162.540.003,491.990.000.000.000.0026.270.00
2021-12-313,448.590.00311.880.000.000.000.0038.010.00
2021-09-303,428.120.00384.280.000.000.000.00144.770.00
2021-06-303,911.730.00502.640.000.000.000.0068.520.00
2021-03-314,143.980.00497.520.000.000.000.0099.490.00
2020-12-315,801.320.00564.870.000.000.000.00108.940.00
2020-09-306,777.870.00817.190.000.000.000.0068.050.00
2020-06-307,169.680.00703.180.000.000.000.00184.780.00
2020-03-316,159.860.00332.800.000.000.000.00437.330.00
2019-12-318,648.510.00562.400.000.000.000.0057.120.00
2019-09-309,132.000.00771.700.000.000.000.0038.890.00
2019-06-3012,892.880.002,942.850.000.000.000.00206.650.00