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基金业绩

基金费率

投资组合

基金概况

财务数据

鑫元臻利C(006632)

2024-11-20     1.00780.0099%
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
2024-09-30101,739.930.004,106.590.000.0042,314.490.000.170.00
2024-06-30813.610.00833.110.000.000.000.000.140.00
2024-03-3156,861.690.00320.820.0081,840.907,281.390.000.000.00
2023-12-3156,310.900.0040.540.0080,918.357,179.930.000.000.00
2023-09-3055,788.040.00174.750.0082,268.367,107.800.000.000.00
2023-06-3055,155.300.00158.420.0082,134.843,045.960.000.000.00
2023-03-3154,501.770.00181.930.0081,013.673,053.980.000.150.00
2022-12-3153,261.750.00391.200.0079,009.053,039.320.000.130.00
2022-09-3057,090.540.00887.320.0062,587.423,025.850.000.190.00
2022-06-3056,351.340.00113.350.0062,502.008,030.220.000.370.00
2022-03-3155,613.140.00160.210.0071,750.7213,289.130.000.290.00
2021-12-3155,305.400.00354.950.0040,944.0021,203.200.00766.710.00
2021-09-3054,789.560.00198.520.0032,021.0025,252.700.001,236.620.00
2021-06-3054,257.630.00141.300.0012,114.0024,195.300.00879.880.00
2021-03-3153,721.450.007,443.320.0012,168.0022,159.800.00794.600.00
2020-12-3153,202.100.0026.910.0032,525.0026,130.100.00804.550.00
2020-09-3052,781.710.0093.560.000.0025,202.200.00572.430.00
2020-06-3052,677.730.00284.210.000.0025,403.400.00459.460.00
2020-03-3152,528.900.0046.980.000.0025,646.800.001,211.020.00
2019-12-3151,721.300.0076.570.000.0025,336.500.00891.530.00
2019-09-3051,678.440.008,879.600.000.0020,249.200.00717.960.00
2019-06-3050,991.060.00191.670.000.0015,991.400.00590.550.00
2019-03-31100,720.110.0087,133.440.000.006,016.800.00321.420.00